FIRST MERCHANTS CORP – Vanguard Information Technology Index Fund Transaction History
FIRST MERCHANTS CORP portfolio value:
$16.35M
portfolio value
FIRST MERCHANTS CORP quarter portfolio value change:
-5.87%
quarter
Vanguard Information Technology Index Fund 13F transactions
Quarter | Transaction type | Change | Relative change | Absolute change | Change value | Avg. price | Shares |
---|---|---|---|---|---|---|---|
Q3 2022 | share | Increase | +0.13% | 70 shares | -998K | $307.37 | 53.21K |
Q2 2022 | share | Decrease | -0.53% | -284 shares | -4.89M | $326.55 | 53.14K |
Q1 2022 | share | Decrease | -1.90% | -1.03K shares | -2.70M | $416.48 | 53.42K |
Q4 2021 | share | Decrease | -2.48% | -1.38K shares | 2.54M | $460.46 | 54.46K |
Q3 2021 | share | Decrease | -11.66% | -7.36K shares | -2.79M | $401.29 | 55.84K |
Q2 2021 | share | Increase | +1.84% | 1.14K shares | 2.95M | $397.9 | 63.21K |
Q1 2021 | share | Increase | +0.56% | 348 shares | 414K | $357.17 | 62.07K |
Q4 2020 | share | Increase | +5.35% | 3.13K shares | 3.59M | $351.87 | 61.72K |
Q3 2020 | share | Decrease | -4.10% | -2.50K shares | 1.22M | $309.15 | 58.59K |
Q2 2020 | share | Decrease | -3.38% | -2.13K shares | 3.62M | $276 | 61.10K |
Q1 2020 | share | Increase | +1.11% | 694 shares | -1.91M | $209.33 | 63.23K |
Q4 2019 | share | Decrease | -4.11% | -2.68K shares | 1.25M | $241 | 62.54K |
Q3 2019 | share | Decrease | -6.60% | -4.60K shares | -667K | $211.59 | 65.22K |
Q2 2019 | share | Decrease | -4.07% | -2.96K shares | 121K | $206.22 | 69.83K |
Q1 2019 | share | Decrease | -4.22% | -3.20K shares | 1.92M | $195.6 | 72.79K |
Q4 2018 | share | Decrease | -4.34% | -3.44K shares | -3.41M | $162.17 | 76K |
Q3 2018 | share | Decrease | -0.78% | -625 shares | 1.56M | $196.19 | 79.44K |
Q2 2018 | share | Decrease | -1.34% | -1.09K shares | 645K | $175.13 | 80.07K |
Q1 2018 | share | Increase | +0.14% | 110 shares | 528K | $164.65 | 81.16K |
Q4 2017 | share | Decrease | -4.33% | -3.67K shares | 474K | $158.28 | 81.05K |
Q3 2017 | share | Increase | +528.18% | 71.23K shares | 10.97M | $145.66 | 84.72K |
Q2 2017 | share | Increase | +35.21% | 3.51K shares | 547K | $134.6 | 13.48K |
Q1 2017 | share | Increase | +20.81% | 1.71K shares | 350K | $129.25 | 9.97K |
Q4 2016 | share | Decrease | -1.41% | -118 shares | -5K | $115.47 | 8.25K |
Q3 2016 | share | Decrease | -9.60% | -889 shares | 16K | $114 | 8.37K |
Q2 2016 | share | Increase | +83.30% | 4.21K shares | 438K | $101.08 | 9.26K |
Q1 2016 | share | Decrease | -21.84% | -1.41K shares | -146K | $103.05 | 5.05K |