VANGUARD INDEX FDS TOTAL STK MKT Connecticut Wealth Management LLC holding in Form 13-F

VTI NYSE Arca

Connecticut Wealth Management LLC reported holding of VTI

Connecticut Wealth Management LLC reported holding of VTI

This chart displays the historical ownership data of VTI by Connecticut Wealth Management LLC. At the end of Q4 2016 the holding was valued at $3,787,000. This increased to $21,449,458 at the end of Q1 2025.

Connecticut Wealth Management LLC reported holding of VTI
Date Holding Value
3787000
3946000
4100000
3926000
4230000
3725000
3974000
4139000
3555000
4040000
8100000
8121000
8450000
6599000
8056000
8168000
9233000
0
10221000
10208000
11005000
10436000
8619000
8195000
8651910
17887569
19579502
18628315
20335942
22128144
22069879
22820200
0
21449458

About VANGUARD INDEX FDS TOTAL STK MKT

The investment seeks to track the performance of the CRSP US Total Market Index that measures the investment return of the overall stock market. The fund employs an indexing investment approach designed to track the performance of the index, which represents approximately 100% of the investable U.S. stock market and includes large-, mid-, small-, and micro-cap stocks regularly traded on the New York Stock Exchange and Nasdaq. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. Source

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Connecticut Wealth Management LLC reported holdings of VTI from Q4 2016 to Q1 2025

Historical holdings data showing quarterly positions, market values, shares held, and portfolio percentages for VTI held by Connecticut Wealth Management LLC from Q4 2016 to Q1 2025
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Connecticut Wealth Management LLC reported holdings of VTI from Q4 2016 to Q1 2025
Reporting period Holding Type Market Value % of portfolio Shares Change in shares % Change in shares
Q4 2016 Stock $3,787,000 2.41% 32,301 123 0.38%
Q1 2017 Stock $3,946,000 2.4% 32,721 420 1.3%
Q2 2017 Stock $4,100,000 2.49% 32,901 180 0.55%
Q3 2017 Stock $3,926,000 2.31% 29,987 -2,914 -8.86%
Q4 2017 Stock $4,230,000 2.27% 30,063 76 0.25%
Q1 2018 Stock $3,725,000 2.11% 28,082 -1,981 -6.59%
Q2 2018 Stock $3,974,000 1.9% 28,229 147 0.52%
Q3 2018 Stock $4,139,000 1.83% 27,615 -614 -2.18%
Q4 2018 Stock $3,555,000 1.54% 27,857 242 0.88%
Q1 2019 Stock $4,040,000 1.38% 27,920 63 0.23%
Q2 2019 Stock $8,100,000 1.0% 53,968 26,048 93.3%
Q3 2019 Stock $8,121,000 1.0% 53,783 -185 -0.34%
Q4 2019 Stock $8,450,000 0.93% 51,646 -2,137 -3.97%
Q1 2020 Stock $6,599,000 0.99% 51,194 -452 -0.88%
Q2 2020 Stock $8,056,000 1.0% 51,600 406 0.79%
Q3 2020 Stock $8,168,000 0.9% 47,959 -3,641 -7.06%
Q4 2020 Stock $9,233,000 0.98% 47,609 -350 -0.73%
Q1 2021 Stock $0 0 0 -47,609 -100.0%
Q2 2021 Stock $10,221,000 0.9% 45,873 45,873 0
Q3 2021 Stock $10,208,000 0.89% 45,971 98 0.21%
Q4 2021 Stock $11,005,000 0.85% 45,583 -388 -0.84%
Q1 2022 Stock $10,436,000 0.8% 45,840 257 0.56%
Q2 2022 Stock $8,619,000 0.75% 45,695 -145 -0.32%
Q3 2022 Stock $8,195,000 0.76% 45,660 -35 -0.08%
Q4 2022 Stock $8,651,910 0.73% 45,253 -407 -0.89%
Q1 2023 Stock $17,887,569 1.35% 87,641 42,388 93.67%
Q2 2023 Stock $19,579,502 1.36% 88,885 1,244 1.42%
Q3 2023 Stock $18,628,315 1.27% 87,700 -1,185 -1.33%
Q4 2023 Stock $20,335,942 1.17% 85,726 -1,974 -2.25%
Q1 2024 Stock $22,128,144 1.18% 85,141 -585 -0.68%
Q2 2024 Stock $22,069,879 1.14% 82,501 -2,640 -3.1%
Q3 2024 Stock $22,820,200 1.1% 80,591 -1,910 -2.32%
Q4 2024 Stock $0 0 0 -80,591 -100.0%
Q1 2025 Stock $21,449,458 1.12% 78,043 78,043 0
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