Ariel Investments LLCVEA history

Issuer:
VANGUARD TAX-MANAGED FDS
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
0
Current value:
$0
Peak shares:
1,474,330 (Q4 2018)
Overall change:
-100%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026SOLD-24,473-100%
Q4 202524,473$1.53M$62.48-33,037-57%
Q3 202557,510$3.45M$59.92-188,029-77%
Q2 2025245,539$14.00M$57.01+112,626+85%
Q1 2025132,913$6.76M$50.83-116,176-47%
Q4 2024249,089$11.91M$47.82+249,089+100%
Q3 2024SOLD-182,114-100%
Q2 2024182,114$9.00M$49.42+26,375+17%
Q1 2024155,739$7.81M$50.17-172,544-53%
Q4 2023328,283$15.72M$47.90+6,157+2%
Q3 2023322,126$14.08M$43.72-264,351-45%
Q2 2023586,477$27.08M$46.18+136,228+30%
Q1 2023450,249$20.34M$45.17-63,229-12%
Q4 2022513,478$21.55M$41.97+36,918+8%
Q3 2022476,560$17.33M$36.36-88,914-16%
Q2 2022565,474$23.07M$40.80-100,495-15%
Q1 2022665,969$31.99M$48.03+147,674+28%
Q4 2021518,295$26.46M$51.06-21,751-4%
Q3 2021540,046$27.27M$50.49-30,701-5%
Q2 2021570,747$29.41M$51.52+135,352+31%
Q1 2021435,395$21.38M$49.11-886,857-67%
Q4 20201,322,252$62.42M$47.21+509,371+63%
Q3 2020812,881$33.25M$40.90+26,715+3%
Q2 2020786,166$30.50M$38.79-274,576-26%
Q1 20201,060,742$35.37M$33.34+290,843+38%
Q4 2019769,899$33.92M$44.06-14,299-2%
Q3 2019784,198$32.22M$41.08+40,476+5%
Q2 2019743,722$31.02M$41.71-73,772-9%
Q1 2019817,494$33.41M$40.87-656,836-45%
Q4 20181,474,330$54.70M$37.10+591,897+67%
Q3 2018882,433$38.18M$43.27-153,784-15%
Q2 20181,036,217$44.45M$42.90-2,0620%
Q1 20181,038,279$45.94M$44.25-39,324-4%
Q4 20171,077,603$48.34M$44.86+201,521+23%
Q3 2017876,082$38.03M$43.41+98,689+13%
Q2 2017777,393$32.12M$41.32-272,472-26%
Q1 20171,049,865$41.26M$39.30+392,126+60%
Q4 2016657,739$24.03M$36.54+173,191+36%
Q3 2016484,548$18.13M$37.41-73,209-13%
Q2 2016557,757$19.72M$35.36+54,471+11%
Q1 2016503,286$18.06M$35.88-100,366-17%
Q4 2015603,652$22.17M$36.72+211,717+54%
Q3 2015391,935$13.97M$35.64-109,280-22%
Q2 2015501,215$19.87M$39.65-57,001-10%
Q1 2015558,216$22.23M$39.83-557,992-50%
Q4 20141,116,208$42.28M$37.88+851,237+321%
Q3 2014264,971$10.53M$39.75+34,289+15%
Q2 2014230,682$9.82M$42.59NEW