Form 13F security

VANGUARD INDEX FDS

Class SML CP GRW ETF

As filed on Form 13F — long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Tracked managers holding it

Share and principal positions

ManagerQuarterValue% of portfolioSH/PRN qtyPut/call
Point72 Asset Management, L.P.2026-06-30$0.6M<0.1%SH 1,577
Fisher Asset Management, LLC — Ken Fisher2026-06-30<$1M<0.1%SH 1,097

Total $1.0M across 2 of 69 managers.

Put positions

ManagerQuarterValue% of portfolioSH/PRN qtyPut/call
Point72 Asset Management, L.P.2026-06-30$2.0M<0.1%SH 5,400[PUT]

Total $2.0M across 1 of 69 managers.

Call positions

ManagerQuarterValue% of portfolioSH/PRN qtyPut/call
Point72 Asset Management, L.P.2026-06-30$1.1M<0.1%SH 3,100[CALL]

Total $1.1M across 1 of 69 managers.

Sums are across tracked reports, not unique economic ownership.

Filed rows (4) — as filed
ManagerClassPut/callValue% of portfolioSH/PRN qtySource
Point72 Asset Management, L.P.SML CP GRW ETF[PUT]$2.0M<0.1%SH 5,4000000919574-26-005520
Point72 Asset Management, L.P.SML CP GRW ETF[CALL]$1.1M<0.1%SH 3,1000000919574-26-005520
Point72 Asset Management, L.P.SML CP GRW ETF$0.6M<0.1%SH 1,5770000919574-26-005520
Fisher Asset Management, LLCCOM<$1M<0.1%SH 1,0970000850529-26-000006

Quarter-to-quarter notes

Reported change, not a confirmed trade: this compares quarter-end reports filed up to 45 days later, and the position may since have changed. Amendments, corporate actions, and changes in reporting scope can also move these rows. Value change compares period-end reported values; for continuing rows it includes market price movement.

Newly reported by Fisher Asset Management, LLC — Ken Fisher.

Changes appear only where the prior quarter's validated report exists.