Vanguard Total International Bond Index Fund ETF Shares(BNDX) USD 48.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.40%USD 0.193USD0.07162023-04-03
USD0.05882023-03-01
USD0.06272023-02-01
20221.48%USD 0.718USD0.21532022-12-23
USD0.05982022-12-01
USD0.05412022-11-01
USD0.04952022-10-03
USD0.04842022-09-01
USD0.04882022-08-01
USD0.04312022-07-01
USD0.04192022-06-01
USD0.03752022-05-02
USD0.03792022-04-01
USD0.03452022-03-01
USD0.04692022-02-01
20214.25%USD 2.062USD1.6182021-12-23
USD0.03392021-12-01
USD0.0392021-11-01
USD0.03822021-10-01
USD0.04012021-09-01
USD0.04052021-08-02
USD0.04152021-07-01
USD0.04082021-06-01
USD0.03882021-05-03
USD0.04132021-04-01
USD0.04512021-03-01
USD0.0452021-02-01
20201.34%USD 0.649USD0.1362020-12-23
USD0.04522020-12-01
USD0.0472020-11-02
USD0.04612020-10-01
USD0.04672020-09-01
USD0.04752020-08-03
USD0.04722020-07-01
USD0.04752020-06-01
USD0.04652020-05-01
USD0.05052020-04-01
USD0.0442020-03-02
USD0.0452020-02-03
20193.97%USD 1.926USD1.35192019-12-23
USD0.04992019-12-02
USD0.05162019-11-01
USD0.05192019-10-01
USD0.05342019-09-03
USD0.0542019-08-01
USD0.05452019-07-01
USD0.05432019-06-03
USD0.05122019-05-01
USD0.0532019-04-01
USD0.04622019-03-01
USD0.05392019-02-01
20183.37%USD 1.633USD1.09422018-12-24
USD0.05182018-12-03
USD0.05422018-11-01
USD0.05032018-10-01
USD0.05082018-09-04
USD0.04992018-08-01
USD0.04822018-07-02
USD0.04712018-06-01
USD0.04262018-05-01
USD0.05212018-04-02
USD0.04312018-03-01
USD0.04872018-02-01
20172.50%USD 1.212USD0.6912017-12-26
USD0.0482017-12-01
USD0.0482017-11-01
USD0.0492017-10-02
USD0.0492017-09-01
USD0.0482017-08-01
USD0.0492017-07-03
USD0.0472017-06-01
USD0.0462017-05-01
USD0.0462017-04-03
USD0.0462017-03-01
USD0.0452017-02-01
20162.12%USD 1.027USD0.4042016-12-22
USD0.0662016-12-01
USD0.0612016-11-01
USD0.0562016-10-03
USD0.0562016-09-01
USD0.052016-08-01
USD0.0562016-07-01
USD0.0552016-06-01
USD0.0562016-05-02
USD0.0562016-04-01
USD0.0552016-03-01
USD0.0562016-02-01
20151.77%USD 0.86USD0.1352015-12-23
USD0.112015-12-01
USD0.0812015-11-02
USD0.0622015-10-01
USD0.0572015-09-01
USD0.0512015-08-03
USD0.0622015-07-01
USD0.0512015-06-01
USD0.0612015-05-01
USD0.0562015-04-01
USD0.0622015-03-02
USD0.0722015-02-02
20141.68%USD 0.817USD0.0932014-12-23
USD0.0852014-12-01
USD0.0742014-11-03
USD0.0552014-10-01
USD0.0642014-09-02
USD0.0752014-08-01
USD0.0592014-07-01
USD0.062014-06-02
USD0.0682014-05-01
USD0.0652014-04-01
USD0.062014-03-03
USD0.0592014-02-03
20130.88%USD 0.429USD0.0732013-12-24
USD0.052013-12-02
USD0.0642013-11-01
USD0.0692013-10-01
USD0.0492013-09-03
USD0.072013-08-01
USD0.0542013-07-01