Vanguard Long-Term Bond Index Fund ETF Shares(BLV) USD 75.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.96%USD 0.73USD0.258682023-04-03
USD0.236622023-03-01
USD0.234262023-02-01
20223.99%USD 3.019USD0.252592022-12-23
USD0.239962022-12-01
USD0.250922022-11-01
USD0.235342022-10-03
USD0.244222022-09-01
USD0.244562022-08-01
USD0.238682022-07-01
USD0.247182022-06-01
USD0.235932022-05-02
USD0.3592022-04-01
USD0.22552022-03-01
USD0.244912022-02-01
20214.58%USD 3.468USD0.4562021-12-23
USD0.24172021-12-01
USD0.24742021-11-01
USD0.23862021-10-01
USD0.248592021-09-01
USD0.249032021-08-02
USD0.240792021-07-01
USD0.248432021-06-01
USD0.244152021-05-03
USD0.5582021-04-01
USD0.235592021-03-01
USD0.259232021-02-01
20208.45%USD 6.4USD3.1322020-12-23
USD0.253122020-12-01
USD0.263012020-11-02
USD0.269182020-10-01
USD0.269412020-09-01
USD0.263232020-08-03
USD0.266762020-07-01
USD0.277112020-06-01
USD0.260072020-05-01
USD0.6062020-04-01
USD0.259932020-03-02
USD0.280012020-02-03
20194.73%USD 3.582USD0.4612019-12-23
USD0.266922019-12-02
USD0.282242019-11-01
USD0.28022019-10-01
USD0.285992019-09-03
USD0.288052019-08-01
USD0.28262019-07-01
USD0.283672019-06-03
USD0.275372019-05-01
USD0.298132019-04-01
USD0.292582019-03-01
USD0.28512019-02-01
20184.71%USD 3.563USD0.263242018-12-24
USD0.285472018-12-03
USD0.290252018-11-01
USD0.28112018-10-01
USD0.291642018-09-04
USD0.292862018-08-01
USD0.288212018-07-02
USD0.29482018-06-01
USD0.286282018-05-01
USD0.440262018-04-02
USD0.271952018-03-01
USD0.277182018-02-01
20174.56%USD 3.456USD0.293242017-12-26
USD0.282712017-12-01
USD0.292972017-11-01
USD0.287752017-10-02
USD0.29672017-09-01
USD0.290092017-08-01
USD0.281232017-07-03
USD0.293852017-06-01
USD0.288272017-05-01
USD0.291432017-04-03
USD0.268932017-03-01
USD0.288692017-02-01
20164.90%USD 3.709USD0.452152016-12-22
USD0.298622016-12-01
USD0.292742016-11-01
USD0.283562016-10-03
USD0.300712016-09-01
USD0.336622016-08-01
USD0.282022016-07-01
USD0.292012016-06-01
USD0.290132016-05-02
USD0.29762016-04-01
USD0.281522016-03-01
USD0.301742016-02-01
20155.01%USD 3.795USD0.442262015-12-23
USD0.304472015-12-01
USD0.301292015-11-02
USD0.28552015-10-01
USD0.243412015-09-01
USD0.318722015-08-03
USD0.302242015-07-01
USD0.310352015-06-01
USD0.298032015-05-01
USD0.400972015-04-01
USD0.278532015-03-02
USD0.309492015-02-02
20144.86%USD 3.679USD0.3242014-12-23
USD0.022014-12-22
USD0.301022014-12-01
USD0.300742014-11-03
USD0.293332014-10-01
USD0.280022014-09-02
USD0.303822014-08-01
USD0.309012014-07-01
USD0.316432014-06-02
USD0.300212014-05-01
USD0.326932014-04-01
USD0.283962014-03-03
USD0.319622014-02-03
20135.24%USD 3.964USD0.328412013-12-24
USD0.318642013-12-02
USD0.318922013-11-01
USD0.324322013-10-01
USD0.319592013-09-03
USD0.32722013-08-01
USD0.310252013-07-01
USD0.311392013-06-03
USD0.304662013-05-01
USD0.5022013-04-01
USD0.288152013-03-01
USD0.31012013-02-01
20126.59%USD 4.987USD1.3832012-12-24
USD0.309892012-12-03
USD0.321842012-11-01
USD0.310032012-10-01
USD0.320722012-09-04
USD0.320262012-08-01
USD0.311742012-07-02
USD0.311192012-06-01
USD0.319432012-05-01
USD0.4722012-04-02
USD0.306972012-03-01
USD0.299672012-02-01
20116.21%USD 4.701USD1.132011-12-23
USD0.317642011-12-01
USD0.323862011-11-01
USD0.30472011-10-03
USD0.33122011-09-01
USD0.344012011-08-01
USD0.325292011-07-01
USD0.321492011-06-01
USD0.327972011-05-02
USD0.33712011-04-01
USD0.304232011-03-01
USD0.333652011-02-01
20106.11%USD 4.629USD1.0042010-12-27
USD0.337852010-12-01
USD0.343042010-11-01
USD0.32362010-10-01
USD0.316022010-09-01
USD0.34072010-08-02
USD0.323722010-07-01
USD0.319762010-06-01
USD0.33012010-05-03
USD0.345342010-04-01
USD0.302762010-03-01
USD0.342532010-02-01
20095.29%USD 4.005USD0.336972009-12-28
USD0.336952009-12-01
USD0.335612009-11-02
USD0.300862009-10-01
USD0.337532009-09-01
USD0.328552009-08-03
USD0.334692009-07-01
USD0.329962009-06-01
USD0.334342009-05-01
USD0.342322009-04-01
USD0.343172009-03-02
USD0.343952009-02-02
20085.29%USD 4.004USD0.334832008-12-24
USD0.324562008-12-01
USD0.328612008-11-03
USD0.324422008-10-01
USD0.331142008-09-02
USD0.328122008-08-01
USD0.340132008-07-01
USD0.347182008-06-02
USD0.336022008-05-01
USD0.345862008-04-01
USD0.315032008-03-03
USD0.347892008-02-01
20073.62%USD 2.74USD0.329632007-12-24
USD0.334462007-12-03
USD0.32282007-11-01
USD0.33482007-10-01
USD0.344722007-09-04
USD0.283322007-08-01
USD0.235412007-07-02
USD0.255292007-06-01
USD0.300042007-05-01