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VPLS Holdings Changes

Vanguard Core-Plus Bond ETF
1W: -0.7% 1M: -2.9% 3M: -4.6% YTD: -4.9% 1Y: -4.8%
$73.75
-0.07 (-0.09%)
 
Weekly Expected Move ±0.6%
$73 $73 $74 $74 $75
ETF NASDAQ · AUM $784.6M
Total Changes (90d)
3
New Holdings
1
Removed Holdings
2
274 changes · Page 1 of 6
Date Holding Name Ticker Change Type Old Value New Value
2026-08-17 ALCPB.PA ALCPB.PA New — 14500 shares
2026-07-16 CSIQ CSIQ Removed 15543 shares —
2026-07-16 ALCPB.PA ALCPB.PA Removed 7900 shares —
2026-06-22 CSIQ CSIQ shares 93698 15543
2026-05-21 SVC SVC shares 35000 350
2026-05-21 ALCPB.PA ALCPB.PA shares 790000 7900
2026-05-21 CSIQ CSIQ shares 187396 93698
2026-05-18 ALCPB.PA ALCPB.PA New — 790000 shares
2026-05-18 CSIQ CSIQ shares -6486 187396
2026-05-02 DNO DNO Removed 13500000 shares —
2026-04-18 SVC SVC shares 30000 35000
2026-04-18 DNO DNO New — 13500000 shares
2026-04-18 CSIQ CSIQ shares 2291 -6486
2026-04-11 CSIQ CSIQ shares 1146 2291
2026-03-21 CSIQ CSIQ shares 3863 1146
2026-03-21 BRE.AX BRE.AX Removed -71941 shares —
2026-03-14 IPG IPG Removed 25000 shares —
2026-03-14 HPE HPE Removed 3816000 shares —
2026-03-14 AXON AXON Removed 15000 shares —
2026-03-14 PRU PRU Removed 590000 shares —
2026-03-14 CMCSA CMCSA Removed 720000 shares —
2026-03-14 VAL VAL Removed 46000 shares —
2026-03-14 EMN EMN Removed 41000 shares —
2026-03-14 RF RF Removed 707000 shares —
2026-03-14 SNPS SNPS Removed 1030000 shares —
2026-03-14 NWG.L NWG.L Removed 320000 shares —
2026-03-14 8604.T 8604.T Removed 500000 shares —
2026-03-14 BAYN.DE BAYN.DE Removed 200000 shares —
2026-03-14 HRI HRI Removed 120000 shares —
2026-03-14 MO MO Removed 752000 shares —
2026-03-14 OKE OKE Removed 50000 shares —
2026-03-14 GLE.PA GLE.PA Removed 200000 shares —
2026-03-14 NWL NWL Removed 299000 shares —
2026-03-14 RY RY Removed 2570000 shares —
2026-03-14 BLL BLL Removed 154000 shares —
2026-03-14 SU SU Removed 30000 shares —
2026-03-14 HI HI Removed 70000 shares —
2026-03-14 RKT RKT Removed 205000 shares —
2026-03-14 HSBA.L HSBA.L Removed 3636000 shares —
2026-03-14 TRGP TRGP Removed 120000 shares —
2026-03-14 2282.HK 2282.HK Removed 195000 shares —
2026-03-14 KEY KEY Removed 50000 shares —
2026-03-14 SAN.MC SAN.MC Removed 875000 shares —
2026-03-14 STWD STWD Removed 85000 shares —
2026-03-14 PNW PNW Removed 160000 shares —
2026-03-14 ICAD.PA ICAD.PA Removed 200000 shares —
2026-03-14 NTR NTR Removed 75000 shares —
2026-03-14 EQT EQT Removed 29000 shares —
2026-03-14 CSIQ CSIQ New — 3863 shares
2026-03-14 STZ STZ Removed 300000 shares —
1 2 3 ... 6 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms