Nations Financial Group’s Vanguard Short-Term Corporate Bond ETF VCSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$742K Buy
9,329
+161
+2% +$12.8K 0.05% 362
2025
Q1
$724K Sell
9,168
-592
-6% -$46.7K 0.06% 340
2024
Q4
$761K Buy
9,760
+1,238
+15% +$96.6K 0.06% 339
2024
Q3
$677K Sell
8,522
-2,723
-24% -$216K 0.05% 367
2024
Q2
$869K Buy
11,245
+107
+1% +$8.27K 0.07% 286
2024
Q1
$861K Sell
11,138
-785
-7% -$60.7K 0.07% 284
2023
Q4
$922K Sell
11,923
-805
-6% -$62.3K 0.09% 260
2023
Q3
$957K Sell
12,728
-461
-3% -$34.6K 0.1% 233
2023
Q2
$998K Sell
13,189
-1,857
-12% -$141K 0.1% 237
2023
Q1
$1.15M Sell
15,046
-1,066
-7% -$81.3K 0.12% 203
2022
Q4
$1.21M Sell
16,112
-2,976
-16% -$224K 0.14% 186
2022
Q3
$1.42M Sell
19,088
-2,035
-10% -$151K 0.21% 117
2022
Q2
$1.61M Buy
21,123
+3,815
+22% +$291K 0.22% 118
2022
Q1
$1.35M Sell
17,308
-691
-4% -$54K 0.16% 154
2021
Q4
$1.46M Sell
17,999
-533
-3% -$43.3K 0.19% 129
2021
Q3
$1.53M Buy
18,532
+3,004
+19% +$248K 0.23% 108
2021
Q2
$1.28M Buy
15,528
+2,902
+23% +$240K 0.22% 122
2021
Q1
$1.04M Sell
12,626
-1,219
-9% -$101K 0.24% 119
2020
Q4
$1.15M Buy
13,845
+1,694
+14% +$141K 0.3% 89
2020
Q3
$1.01M Buy
12,151
+2,733
+29% +$226K 0.31% 91
2020
Q2
$779K Sell
9,418
-1,089
-10% -$90.1K 0.28% 110
2020
Q1
$831K Buy
10,507
+1,299
+14% +$103K 0.35% 80
2019
Q4
$746K Sell
9,208
-558
-6% -$45.2K 0.26% 125
2019
Q3
$794K Buy
9,766
+1,884
+24% +$153K 0.29% 107
2019
Q2
$636K Buy
7,882
+439
+6% +$35.4K 0.42% 68
2019
Q1
$594K Buy
7,443
+2,554
+52% +$204K 0.41% 69
2018
Q4
$381K Sell
4,889
-1,562
-24% -$122K 0.31% 94
2018
Q3
$504K Buy
6,451
+1,343
+26% +$105K 0.36% 79
2018
Q2
$399K Buy
5,108
+1,198
+31% +$93.6K 0.33% 90
2018
Q1
$307K Buy
3,910
+620
+19% +$48.7K 0.28% 103
2017
Q4
$261K Hold
3,290
0.24% 125
2017
Q3
$264K Hold
3,290
0.26% 121
2017
Q2
$263K Sell
3,290
-58
-2% -$4.64K 0.22% 136
2017
Q1
$267K Sell
3,348
-327
-9% -$26.1K 0.26% 116
2016
Q4
$292K Hold
3,675
0.32% 99
2016
Q3
$296K Sell
3,675
-166
-4% -$13.4K 0.29% 107
2016
Q2
$311K Buy
3,841
+1
+0% +$81 0.33% 96
2016
Q1
$307K Sell
3,840
-823
-18% -$65.8K 0.35% 89
2015
Q4
$368K Buy
+4,663
New +$368K 0.48% 68