Wells Fargo
VCSH icon

Wells Fargo’s Vanguard Short-Term Corporate Bond ETF VCSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$465M Sell
5,843,635
-69,547
-1% -$5.53M 0.1% 180
2025
Q1
$467M Sell
5,913,182
-96,140
-2% -$7.59M 0.11% 171
2024
Q4
$469M Sell
6,009,322
-112,149
-2% -$8.75M 0.11% 165
2024
Q3
$486M Sell
6,121,471
-288,011
-4% -$22.9M 0.11% 163
2024
Q2
$495M Sell
6,409,482
-77,194
-1% -$5.97M 0.12% 157
2024
Q1
$501M Sell
6,486,676
-673,536
-9% -$52.1M 0.12% 153
2023
Q4
$554M Sell
7,160,212
-391,083
-5% -$30.3M 0.14% 137
2023
Q3
$567M Sell
7,551,295
-327,610
-4% -$24.6M 0.17% 124
2023
Q2
$596M Buy
7,878,905
+397,403
+5% +$30.1M 0.16% 128
2023
Q1
$570M Sell
7,481,502
-92,392
-1% -$7.04M 0.16% 129
2022
Q4
$569M Sell
7,573,894
-892,659
-11% -$67.1M 0.17% 125
2022
Q3
$629M Buy
8,466,553
+311,682
+4% +$23.2M 0.2% 111
2022
Q2
$622M Sell
8,154,871
-544,946
-6% -$41.6M 0.19% 117
2022
Q1
$679M Buy
8,699,817
+1,416,351
+19% +$111M 0.17% 127
2021
Q4
$592M Buy
7,283,466
+185,134
+3% +$15M 0.15% 142
2021
Q3
$585M Buy
7,098,332
+279,865
+4% +$23.1M 0.13% 151
2021
Q2
$564M Sell
6,818,467
-90,003
-1% -$7.44M 0.12% 157
2021
Q1
$570M Sell
6,908,470
-422,371
-6% -$34.8M 0.13% 157
2020
Q4
$610M Sell
7,330,841
-284,013
-4% -$23.6M 0.15% 144
2020
Q3
$631M Buy
7,614,854
+23,032
+0.3% +$1.91M 0.17% 129
2020
Q2
$628M Sell
7,591,822
-543,923
-7% -$45M 0.18% 123
2020
Q1
$644M Sell
8,135,745
-2,355,603
-22% -$186M 0.22% 100
2019
Q4
$850M Sell
10,491,348
-926,559
-8% -$75.1M 0.23% 103
2019
Q3
$925M Sell
11,417,907
-313,107
-3% -$25.4M 0.26% 82
2019
Q2
$946M Sell
11,731,014
-1,014,576
-8% -$81.9M 0.27% 76
2019
Q1
$1.02B Buy
12,745,590
+16,283
+0.1% +$1.3M 0.3% 67
2018
Q4
$992M Sell
12,729,307
-991,023
-7% -$77.2M 0.33% 56
2018
Q3
$1.07B Sell
13,720,330
-616,074
-4% -$48.2M 0.3% 67
2018
Q2
$1.12B Buy
14,336,404
+4,884,248
+52% +$381M 0.33% 56
2018
Q1
$741M Sell
9,452,156
-435,389
-4% -$34.1M 0.22% 97
2017
Q4
$784M Buy
9,887,545
+70,494
+0.7% +$5.59M 0.23% 93
2017
Q3
$787M Buy
9,817,051
+177,526
+2% +$14.2M 0.24% 85
2017
Q2
$772M Sell
9,639,525
-122,049
-1% -$9.77M 0.25% 83
2017
Q1
$778M Buy
9,761,574
+302,217
+3% +$24.1M 0.25% 81
2016
Q4
$751M Buy
9,459,357
+416,339
+5% +$33M 0.27% 81
2016
Q3
$728M Buy
9,043,018
+2,047,183
+29% +$165M 0.27% 76
2016
Q2
$566M Buy
6,995,835
+491,234
+8% +$39.7M 0.22% 108
2016
Q1
$521M Buy
6,504,601
+367,991
+6% +$29.5M 0.21% 111
2015
Q4
$485M Buy
6,136,610
+340,097
+6% +$26.9M 0.19% 114
2015
Q3
$462M Buy
5,796,513
+498,162
+9% +$39.7M 0.19% 111
2015
Q2
$422M Buy
5,298,351
+990,378
+23% +$78.8M 0.16% 139
2015
Q1
$346M Sell
4,307,973
-182,023
-4% -$14.6M 0.13% 186
2014
Q4
$358M Sell
4,489,996
-12,740
-0.3% -$1.01M 0.14% 177
2014
Q3
$360M Buy
4,502,736
+329,379
+8% +$26.3M 0.15% 164
2014
Q2
$335M Sell
4,173,357
-613,186
-13% -$49.3M 0.14% 186
2014
Q1
$383M Buy
4,786,543
+118,447
+3% +$9.47M 0.16% 154
2013
Q4
$372M Sell
4,668,096
-931,875
-17% -$74.3M 0.16% 152
2013
Q3
$446M Buy
5,599,971
+1,564,030
+39% +$124M 0.21% 111
2013
Q2
$319M Buy
+4,035,941
New +$319M 0.17% 152