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Autus Asset Management, LLC > VCIT

DateNameTickerSharesChangeValueChangePrice
12/31/2022VANGUARD SCOTTSDALE FUNDSVCIT221,796-3,12417,191,449,00017,174,428,000$77,510.19
09/30/2022VANGUARD SCOTTSDALE FUNDSVCIT224,92044817,021,000-941,000$75.68
06/30/2022VANGUARD SCOTTSDALE FUNDSVCIT224,472-109,18317,962,000-13,537,000$80.02
09/30/2021VANGUARD SCOTTSDALE FUNDSVCIT333,65526,08531,499,0002,885,000$94.41
06/30/2021VANGUARD SCOTTSDALE FUNDSVCIT320,00612,43630,423,0001,809,000$95.07
03/31/2021VANGUARD SCOTTSDALE FUNDSVCIT307,57054,59228,614,0004,040,000$93.03
12/31/2020VANGUARD SCOTTSDALE FUNDSVCIT252,978-11,85924,574,000-797,000$97.14
09/30/2020VANGUARD SCOTTSDALE FUNDSVCIT264,8379,30125,371,0001,059,000$95.80
06/30/2020VANGUARD SCOTTSDALE FUNDSVCIT255,536-2,12824,312,0001,872,000$95.14
03/31/2020VANGUARD SCOTTSDALE FUNDSVCIT257,6645,96422,440,000-548,000$87.09
12/31/2019VANGUARD SCOTTSDALE FUNDSVCIT251,7007,86122,988,000740,000$91.33
09/30/2019VANGUARD SCOTTSDALE FUNDSVCIT243,8394,07422,248,000705,000$91.24
06/30/2019VANGUARD SCOTTSDALE FUNDSVCIT239,7657,55621,543,0001,370,000$89.85
03/31/2019VANGUARD SCOTTSDALE FUNDSVCIT232,20993620,173,0001,009,000$86.87
12/31/2018VANGUARD SCOTTSDALE FUNDSVCIT231,273-1,44819,164,000-275,000$82.86
09/30/2018VANGUARD SCOTTSDALE FUNDSVCIT232,7218,67919,439,000727,000$83.53
06/30/2018VANGUARD SCOTTSDALE FUNDSVCIT224,0423,66218,712,00015,000$83.52
03/31/2018VANGUARD SCOTTSDALE FUNDSVCIT220,3808,75318,697,000203,000$84.84
12/31/2017VANGUARD SCOTTSDALE FUNDSVCIT211,62715,12718,494,0001,200,000$87.39
09/30/2017VANGUARD SCOTTSDALE FUNDSVCIT196,5006,16117,294,000633,000$88.01
06/30/2017VANGUARD SCOTTSDALE FUNDSVCIT190,3395,47716,661,000693,000$87.53
03/31/2017VANGUARD SCOTTSDALE FUNDSVCIT184,862184,86215,968,00015,968,000$86.38
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