13D/13G Filings - The Vanguard Group

Real time Form 13D and 13G transaction reports:

  • Schedule 13D must be filed within ten days after a person or an organization acquires beneficial ownership of more than 5% of a voting class of a company's equity securities.
  • Due to inconsistent filing format, it is highly recommended that you read the orignal filing form.
  • Shares have beem adjusted for stock split.
"Insiders might sell their shares for any number of reasons, but they buy them for only one: they think the price will rise"
- Peter Lynch
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Reported
DateTime
Transaction
Date
Type Company
Symbol
Filed By
Symbol
Shares Owned
% Owned
Shares Vs. Prev Report View
2021-02-10
11:57 am
Sale
2020-12-31 13G U.S. Bancorp
USB
The Vanguard Group 107,252,670
7.120%
-6,193,231decrease
(-5.46%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G US Ecology, Inc.
ECOL
The Vanguard Group 1,965,326
6.240%
380,548increase
(+24.01%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G US Foods Holding Corp.
USFD
The Vanguard Group 17,902,803
8.110%
-2,155,275decrease
(-10.75%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G U.S. Physical Therapy, Inc.
USPH
The Vanguard Group 891,002
6.930%
-3,686decrease
(-0.41%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G USANA Health Sciences, Inc.
USNA
The Vanguard Group 1,427,660
6.790%
89,735increase
(+6.71%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Utah Medical Products, Inc.
UTMD
The Vanguard Group 188,937
5.190%
188,937increase
(New Position)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Utz Brands, Inc.
UTZ
The Vanguard Group 4,077,104
6.870%
4,077,104increase
(New Position)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Vail Resorts, Inc.
MTN
The Vanguard Group 3,538,135
8.790%
-274,209decrease
(-7.19%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Valley National Bancorp
VLY
The Vanguard Group 36,978,631
9.160%
-289,373decrease
(-0.78%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Valmont Industries, Inc.
VMI
The Vanguard Group 1,869,972
8.800%
-95,064decrease
(-4.84%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Valvoline Inc.
VVV
The Vanguard Group 16,741,914
9.050%
-1,398,964decrease
(-7.71%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Vanda Pharmaceuticals Inc.
VNDA
The Vanguard Group 3,959,080
7.240%
-501,703decrease
(-11.25%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Varex Imaging Corporation
VREX
The Vanguard Group 3,918,975
10.000%
-170,726decrease
(-4.17%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G VARIAN MEDICAL SYSTEMS INC
VAR
The Vanguard Group 9,765,102
10.690%
-256,002decrease
(-2.55%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Varonis Systems, Inc.
VRNS
The Vanguard Group 8,587,302
9.020%
369,756increase
(+4.50%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Vector Group Ltd.
VGR
The Vanguard Group 19,892,335
9.200%
652,014increase
(+3.39%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Veeco Instruments Inc.
VECO
The Vanguard Group 5,044,663
10.170%
112,035increase
(+2.27%)
Filing
History
2021-02-10
11:57 am
Sale
2020-12-31 13G Veeva Systems Inc.
VEEV
The Vanguard Group 12,408,653
9.100%
-414,232decrease
(-3.23%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Ventas, Inc.
VTR
The Vanguard Group 58,275,506
15.560%
9,160,459increase
(+18.65%)
Filing
History
2021-02-10
11:57 am
Purchase
2020-12-31 13G Veracyte, Inc.
VCYT
The Vanguard Group 4,257,170
7.350%
1,588,676increase
(+59.53%)
Filing
History
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