Vanguard Group
VICI icon

Vanguard Group’s VICI Properties VICI Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$5.09B Buy
156,015,244
+1,849,545
+1% +$60.3M 0.08% 233
2025
Q1
$5.03B Buy
154,165,699
+192,866
+0.1% +$6.29M 0.09% 211
2024
Q4
$4.5B Buy
153,972,833
+221,879
+0.1% +$6.48M 0.08% 245
2024
Q3
$5.12B Sell
153,750,954
-124,413
-0.1% -$4.14M 0.09% 202
2024
Q2
$4.41B Buy
153,875,367
+200,519
+0.1% +$5.74M 0.08% 216
2024
Q1
$4.58B Buy
153,674,848
+6,755,553
+5% +$201M 0.09% 214
2023
Q4
$4.68B Buy
146,919,295
+1,052,009
+0.7% +$33.5M 0.1% 179
2023
Q3
$4.24B Sell
145,867,286
-61,140
-0% -$1.78M 0.1% 180
2023
Q2
$4.59B Sell
145,928,426
-854,803
-0.6% -$26.9M 0.11% 168
2023
Q1
$4.79B Buy
146,783,229
+2,651,263
+2% +$86.5M 0.12% 149
2022
Q4
$4.67B Buy
144,131,966
+2,994,127
+2% +$97M 0.13% 152
2022
Q3
$4.21B Buy
141,137,839
+600,096
+0.4% +$17.9M 0.12% 153
2022
Q2
$4.19B Buy
140,537,743
+41,782,152
+42% +$1.24B 0.12% 162
2022
Q1
$2.81B Buy
98,755,591
+10,248,110
+12% +$292M 0.07% 310
2021
Q4
$2.66B Buy
88,507,481
+1,673,865
+2% +$50.4M 0.06% 343
2021
Q3
$2.47B Buy
86,833,616
+9,513,916
+12% +$270M 0.06% 339
2021
Q2
$2.4B Buy
77,319,700
+921,218
+1% +$28.6M 0.06% 354
2021
Q1
$2.16B Buy
76,398,482
+1,849,150
+2% +$52.2M 0.06% 368
2020
Q4
$1.9B Buy
74,549,332
+11,533,733
+18% +$294M 0.06% 376
2020
Q3
$1.47B Buy
63,015,599
+4,696,361
+8% +$110M 0.05% 406
2020
Q2
$1.18B Sell
58,319,238
-1,181,396
-2% -$23.9M 0.04% 450
2020
Q1
$990M Buy
59,500,634
+309,763
+0.5% +$5.15M 0.04% 441
2019
Q4
$1.51B Buy
59,190,871
+3,663,684
+7% +$93.6M 0.05% 412
2019
Q3
$1.26B Buy
55,527,187
+14,431,862
+35% +$327M 0.05% 444
2019
Q2
$906M Sell
41,095,325
-988,323
-2% -$21.8M 0.03% 550
2019
Q1
$921M Sell
42,083,648
-563,242
-1% -$12.3M 0.04% 534
2018
Q4
$801M Buy
42,646,890
+4,669,866
+12% +$87.7M 0.04% 535
2018
Q3
$821M Buy
37,977,024
+3,525,855
+10% +$76.2M 0.03% 578
2018
Q2
$711M Buy
34,451,169
+22,672,392
+192% +$468M 0.03% 616
2018
Q1
$216M Buy
+11,778,777
New +$216M 0.01% 1239