United Services Automobile Association’s Vanguard Short-Term Bond ETF BSV Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.31M Sell
16,661
-336,687
-95% -$26.5M 0.14% 17
2025
Q1
$27.7M Buy
353,348
+112,131
+46% +$8.78M 0.85% 24
2024
Q4
$18.6M Sell
241,217
-15,830
-6% -$1.22M 0.61% 45
2024
Q3
$20.2M Sell
257,047
-106,722
-29% -$8.4M 0.52% 42
2024
Q2
$27.9M Sell
363,769
-44,298
-11% -$3.4M 0.71% 35
2024
Q1
$31.3M Buy
408,067
+6,937
+2% +$532K 0.77% 32
2023
Q4
$30.9M Sell
401,130
-2,212
-0.5% -$170K 0.69% 30
2023
Q3
$30.3M Hold
403,342
0.76% 29
2023
Q2
$30.5M Hold
403,342
0.87% 31
2023
Q1
$30.9M Hold
403,342
0.99% 28
2022
Q4
$30.4M Sell
403,342
-66,156
-14% -$4.98M 0.7% 33
2022
Q3
$35.1M Hold
469,498
0.98% 25
2022
Q2
$36.1M Sell
469,498
-62,697
-12% -$4.81M 0.94% 29
2022
Q1
$41.5M Sell
532,195
-405,023
-43% -$31.6M 0.77% 24
2021
Q4
$75.8M Sell
937,218
-98,486
-10% -$7.96M 1.27% 15
2021
Q3
$84.9M Hold
1,035,704
1.48% 13
2021
Q2
$85.1M Sell
1,035,704
-216,279
-17% -$17.8M 1.56% 9
2021
Q1
$103M Sell
1,251,983
-18,152
-1% -$1.49M 1.87% 10
2020
Q4
$105M Buy
1,270,135
+34,860
+3% +$2.89M 1.78% 10
2020
Q3
$103M Hold
1,235,275
1.99% 8
2020
Q2
$103M Buy
1,235,275
+257,034
+26% +$21.4M 2.17% 7
2020
Q1
$80.4M Sell
978,241
-169,987
-15% -$14M 1.08% 16
2019
Q4
$92.5M Hold
1,148,228
1.05% 17
2019
Q3
$92.8M Sell
1,148,228
-933,156
-45% -$75.4M 1.16% 16
2019
Q2
$168M Sell
2,081,384
-657,269
-24% -$52.9M 0.42% 47
2019
Q1
$218M Sell
2,738,653
-1,398,140
-34% -$111M 0.56% 29
2018
Q4
$325M Buy
4,136,793
+1,282,545
+45% +$101M 0.94% 12
2018
Q3
$223M Sell
2,854,248
-159,696
-5% -$12.5M 0.56% 29
2018
Q2
$236M Buy
3,013,944
+74,867
+3% +$5.86M 0.63% 27
2018
Q1
$231M Sell
2,939,077
-881,711
-23% -$69.2M 0.62% 23
2017
Q4
$302M Hold
3,820,788
0.83% 18
2017
Q3
$305M Buy
3,820,788
+221,463
+6% +$17.7M 0.89% 15
2017
Q2
$287M Buy
3,599,325
+855,986
+31% +$68.4M 0.87% 16
2017
Q1
$219M Sell
2,743,339
-821,162
-23% -$65.5M 0.69% 25
2016
Q4
$283M Buy
3,564,501
+1,201,362
+51% +$95.4M 0.95% 13
2016
Q3
$191M Buy
2,363,139
+136,271
+6% +$11M 0.65% 29
2016
Q2
$181M Sell
2,226,868
-1,149,710
-34% -$93.2M 0.64% 27
2016
Q1
$272M Buy
3,376,578
+1,149,710
+52% +$92.7M 0.98% 13
2015
Q4
$177M Hold
2,226,868
0.63% 27
2015
Q3
$179M Buy
2,226,868
+638,743
+40% +$51.3M 0.67% 24
2015
Q2
$127M Hold
1,588,125
0.45% 41
2015
Q1
$128M Sell
1,588,125
-384,909
-20% -$31M 0.45% 45
2014
Q4
$158M Buy
1,973,034
+13,709
+0.7% +$1.1M 0.56% 32
2014
Q3
$157M Buy
1,959,325
+603,700
+45% +$48.3M 0.57% 31
2014
Q2
$109M Buy
1,355,625
+20,235
+2% +$1.63M 0.4% 54
2014
Q1
$107M Buy
1,335,390
+105,699
+9% +$8.47M 0.42% 49
2013
Q4
$98.3M Sell
1,229,691
-17,544
-1% -$1.4M 0.39% 51
2013
Q3
$100M Buy
1,247,235
+126,270
+11% +$10.1M 0.43% 46
2013
Q2
$89.8M Buy
+1,120,965
New +$89.8M 0.42% 47