Plante Moran Financial Advisors’s Vanguard FTSE Developed Markets ETF VEA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$111M Buy
1,944,613
+162,447
+9% +$9.26M 7.79% 3
2025
Q1
$90.6M Sell
1,782,166
-132,846
-7% -$6.75M 7.79% 3
2024
Q4
$91.6M Buy
1,915,012
+130,941
+7% +$6.26M 7.61% 3
2024
Q3
$94.2M Buy
1,784,071
+29,620
+2% +$1.56M 8.04% 2
2024
Q2
$86.7M Sell
1,754,451
-185,395
-10% -$9.16M 8.67% 2
2024
Q1
$97.3M Buy
1,939,846
+139,972
+8% +$7.02M 10.46% 2
2023
Q4
$86.2M Buy
1,799,874
+105,483
+6% +$5.05M 9.01% 2
2023
Q3
$74.1M Buy
1,694,391
+132,264
+8% +$5.78M 8.9% 2
2023
Q2
$72.1M Buy
1,562,127
+111,924
+8% +$5.17M 8.54% 2
2023
Q1
$65.5M Buy
1,450,203
+38,116
+3% +$1.72M 8.95% 3
2022
Q4
$59.3M Buy
1,412,087
+132,336
+10% +$5.55M 8.6% 4
2022
Q3
$46.5M Buy
1,279,751
+163,993
+15% +$5.96M 7.97% 4
2022
Q2
$45.5M Sell
1,115,758
-321,699
-22% -$13.1M 7.61% 4
2022
Q1
$69M Buy
1,437,457
+455,670
+46% +$21.9M 12.89% 2
2021
Q4
$50.1M Buy
981,787
+278,564
+40% +$14.2M 8.2% 3
2021
Q3
$35.5M Buy
703,223
+151,576
+27% +$7.65M 7.88% 3
2021
Q2
$28.4M Buy
551,647
+170,896
+45% +$8.8M 6.9% 4
2021
Q1
$18.7M Buy
380,751
+212,990
+127% +$10.5M 5.11% 5
2020
Q4
$7.92M Buy
167,761
+111,756
+200% +$5.28M 2.45% 8
2020
Q3
$2.29M Buy
56,005
+49,785
+800% +$2.04M 0.81% 18
2020
Q2
$241K Hold
6,220
0.1% 113
2020
Q1
$207K Sell
6,220
-1,623
-21% -$54K 0.09% 111
2019
Q4
$346K Sell
7,843
-573
-7% -$25.3K 0.12% 105
2019
Q3
$346K Sell
8,416
-2,470
-23% -$102K 0.1% 113
2019
Q2
$454K Buy
10,886
+2,904
+36% +$121K 0.14% 90
2019
Q1
$326K Sell
7,982
-124
-2% -$5.06K 0.1% 109
2018
Q4
$301K Sell
8,106
-1,602
-17% -$59.5K 0.1% 107
2018
Q3
$420K Buy
9,708
+68
+0.7% +$2.94K 0.14% 85
2018
Q2
$414K Buy
9,640
+297
+3% +$12.8K 0.21% 83
2018
Q1
$413K Buy
9,343
+2,631
+39% +$116K 0.22% 82
2017
Q4
$301K Buy
6,712
+2,260
+51% +$101K 0.17% 99
2017
Q3
$193K Buy
4,452
+821
+23% +$35.6K 0.11% 135
2017
Q2
$150K Sell
3,631
-2,362
-39% -$97.6K 0.09% 150
2017
Q1
$236K Buy
5,993
+3,716
+163% +$146K 0.14% 114
2016
Q4
$83K Sell
2,277
-774
-25% -$28.2K 0.05% 241
2016
Q3
$114K Hold
3,051
0.08% 184
2016
Q2
$108K Hold
3,051
0.08% 176
2016
Q1
$109K Sell
3,051
-851
-22% -$30.4K 0.08% 165
2015
Q4
$143K Buy
+3,902
New +$143K 0.11% 143
2015
Q3
Sell
-5,000
Closed -$198K 746
2015
Q2
$198K Hold
5,000
0.14% 114
2015
Q1
$199K Hold
5,000
0.14% 110
2014
Q4
$189K Sell
5,000
-4,363
-47% -$165K 0.14% 108
2014
Q3
$372K Buy
9,363
+9,290
+12,726% +$369K 0.33% 61
2014
Q2
$3K Buy
+73
New +$3K ﹤0.01% 737
2014
Q1
Sell
-600
Closed -$25K 703
2013
Q4
$25K Hold
600
0.01% 324
2013
Q3
$24K Buy
+600
New +$24K 0.01% 271