Who owns Vanguard Emerging Markets ETF?

Key details on Vanguard Emerging Markets ETF (Ticker: VWO)

Who owns Vanguard Emerging Markets ETF?

Is VWO a good stock to own? Find out who bought Vanguard Emerging Markets ETF, who sold Vanguard Emerging Markets ETF (VWO) stock, and who holds a large position in Vanguard Emerging Markets ETF.

Fund Name Number of Shares Share Valuation As Of
Schroder Investment Management 119.02M $4.78B Sept. 30, 2013
Bridgewater Associates 105.48M $4.28B March 31, 2014
Wells Fargo & Company 60.58M $2.46B March 31, 2014
Bank of America Corporation 43.79M $1.78B March 31, 2014
GOLDMAN SACHS 35.05M $1.42B March 31, 2014
Allianz Global Investors of America 34.83M $1.51B March 31, 2012
BlackRock 25.89M $1.05B March 31, 2014
MORGAN STANLEY 23.62M $971.91M March 31, 2014
Allianz Asset Management AG 20.53M $796.10M June 30, 2013
Vanguard 17.98M $729.82M March 31, 2014
Norinchukin Bank, The 14.10M $588.34M Sept. 30, 2012
Alberta Investment Management Corporation 13.46M $523.19M Dec. 31, 2011
NORTHERN TRUST 12.88M $522.72M March 31, 2014
TEACHER RETIREMENT SYSTEM OF TEXAS 12.57M $546.61M March 31, 2012
United Services Automobile Association 12.56M $538.90M March 31, 2013
SUSQUEHANNA INTERNATIONAL 12.14M $486.85M Sept. 30, 2013
THE ALLSTATE CORPORATION 11.10M $445.83M Sept. 30, 2013
Citi 10.46M $430.17M Dec. 31, 2013
Jane Street Holding 10.43M $418.51M Sept. 30, 2013
Callan Capital 10.36M $10.36M Dec. 31, 2013
JPMORGAN CHASE & CO 10.22M $420.60M Dec. 31, 2013
Creative Planning 9.79M $397.32M March 31, 2014
TD Asset Management 9.25M $412.00M Dec. 31, 2012
Windhaven Investment 8.91M $374.00M Sept. 30, 2012
PNC FINANCIAL SERVICES 8.88M $365.35M Dec. 31, 2013
Discovery Capital Management 8.64M $346.72M Sept. 30, 2013
BANK OF MONTREAL /CAN/ 8.56M $346.42M March 31, 2014
Mason Street Advisors 8.31M $317.46M Dec. 31, 2011

Who sold Vanguard Emerging Markets ETF?

Fund Name Date Sold Number of Shares Sold Share Valuation
STATE STREET CORPORATION Sept. 30, 2011 11.11M $398.64M
Credit Suisse AG June 30, 2011 8.55M $415.61M