A detailed history of Colony Group LLC transactions in Vanguard Ftse Developed Market stock. As of the latest transaction made, Colony Group LLC holds 1,108,197 shares of VEA stock, worth $54.9 Million. This represents 0.73% of its overall portfolio holdings.

Number of Shares
1,108,197
Previous 1,014,977 9.18%
Holding current value
$54.9 Million
Previous $46.9 Million 3.37%
% of portfolio
0.73%
Previous 0.67%

Shares

24 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2023

Nov 14, 2023

BUY
$43.5 - $47.63 $4.06 Million - $4.44 Million
93,220 Added 9.18%
1,108,197 $48.5 Million
Q2 2023

Aug 15, 2023

BUY
$44.63 - $47.33 $82,699 - $87,702
1,853 Added 0.18%
1,014,977 $46.9 Million
Q1 2023

May 16, 2023

SELL
$42.2 - $46.17 $3.17 Million - $3.46 Million
-75,042 Reduced 6.9%
1,013,124 $45.8 Million
Q4 2022

Feb 14, 2023

BUY
$36.19 - $43.78 $257,129 - $311,056
7,105 Added 0.66%
1,088,166 $45.7 Million
Q3 2022

Nov 15, 2022

BUY
$36.19 - $43.74 $144,651 - $174,828
3,997 Added 0.37%
1,081,061 $39.3 Million
Q2 2022

Aug 16, 2022

SELL
$40.38 - $48.66 $211,873 - $255,319
-5,247 Reduced 0.48%
1,077,064 $43.9 Million
Q1 2022

May 16, 2022

BUY
$44.13 - $51.72 $230,579 - $270,237
5,225 Added 0.49%
1,082,311 $52 Million
Q4 2021

Feb 15, 2022

BUY
$49.38 - $52.95 $641,643 - $688,032
12,994 Added 1.22%
1,077,086 $55 Million
Q3 2021

Nov 17, 2021

SELL
$50.07 - $53.43 $209,042 - $223,070
-4,175 Reduced 0.39%
1,064,092 $53.7 Million
Q2 2021

Aug 18, 2021

SELL
$49.75 - $53.3 $370,587 - $397,031
-7,449 Reduced 0.69%
1,068,267 $55 Million
Q1 2021

May 21, 2021

SELL
$46.87 - $50.05 $3.09 Million - $3.3 Million
-66,019 Reduced 5.78%
1,075,716 $52.8 Million
Q4 2020

Feb 16, 2021

SELL
$39.45 - $47.53 $5.2 Million - $6.27 Million
-131,816 Reduced 10.35%
1,141,735 $53.9 Million
Q3 2020

Nov 17, 2020

SELL
$38.92 - $42.44 $12.7 Million - $13.8 Million
-326,016 Reduced 20.38%
1,273,551 $52.1 Million
Q2 2020

Aug 13, 2020

SELL
$31.83 - $40.85 $2.67 Million - $3.42 Million
-83,790 Reduced 4.98%
1,599,567 $62 Million
Q1 2020

May 18, 2020

SELL
$28.78 - $44.66 $3.26 Million - $5.05 Million
-113,134 Reduced 6.3%
1,683,357 $56.1 Million
Q4 2019

Feb 18, 2020

BUY
$39.9 - $44.4 $27 Million - $30 Million
675,738 Added 60.29%
1,796,491 $79.2 Million
Q3 2019

Nov 26, 2019

BUY
$38.87 - $42.25 $1.14 Million - $1.24 Million
29,410 Added 2.69%
1,120,753 $46 Million
Q2 2019

Aug 19, 2019

BUY
$39.84 - $42.1 $2.51 Million - $2.65 Million
63,048 Added 6.13%
1,091,343 $45.5 Million
Q1 2019

May 15, 2019

BUY
$36.75 - $41.54 $6.59 Million - $7.45 Million
179,445 Added 21.14%
1,028,295 $42 Million
Q4 2018

Feb 15, 2019

SELL
$35.84 - $43.38 $11.2 Million - $13.6 Million
-313,829 Reduced 26.99%
848,850 $31.5 Million
Q3 2018

Nov 14, 2018

SELL
$41.81 - $43.94 $578,065 - $607,514
-13,826 Reduced 1.18%
1,162,679 $50.3 Million
Q2 2018

Aug 15, 2018

BUY
$42.43 - $45.59 $2.29 Million - $2.46 Million
53,995 Added 4.81%
1,176,505 $50.5 Million
Q1 2018

May 15, 2018

BUY
$43.31 - $47.88 $47.8 Million - $52.9 Million
1,104,297 Added 6063.24%
1,122,510 $49.7 Million
Q3 2017

Nov 15, 2017

BUY
$42.16 - $43.57 $767,860 - $793,540
18,213
18,213 $791,000

Others Institutions Holding VEA

About VANGUARD FTSE DEVELOPED MARKET


  • Ticker VEA
  • Sector ETFs
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