Vanguard Short-Term Bond Index Fund ETF Shares(BSV) USD 76.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.50%USD 0.385USD0.138362023-04-03
USD0.118082023-03-01
USD0.128342023-02-01
20221.48%USD 1.126USD0.121172022-12-23
USD0.112652022-12-01
USD0.112162022-11-01
USD0.100252022-10-03
USD0.097562022-09-01
USD0.09452022-08-01
USD0.092062022-07-01
USD0.082162022-06-01
USD0.074722022-05-02
USD0.0992022-04-01
USD0.066272022-03-01
USD0.073912022-02-01
20211.54%USD 1.174USD0.2942021-12-23
USD0.071832021-12-01
USD0.073142021-11-01
USD0.07282021-10-01
USD0.075752021-09-01
USD0.071612021-08-02
USD0.078452021-07-01
USD0.08272021-06-01
USD0.084392021-05-03
USD0.089042021-04-01
USD0.084292021-03-01
USD0.096242021-02-01
20201.94%USD 1.481USD0.101952020-12-23
USD0.101842020-12-01
USD0.106992020-11-02
USD0.109172020-10-01
USD0.115912020-09-01
USD0.120262020-08-03
USD0.121762020-07-01
USD0.132092020-06-01
USD0.136352020-05-01
USD0.14452020-04-01
USD0.136562020-03-02
USD0.153352020-02-03
20192.42%USD 1.843USD0.15012019-12-23
USD0.14722019-12-02
USD0.152632019-11-01
USD0.15532019-10-01
USD0.155752019-09-03
USD0.156082019-08-01
USD0.153362019-07-01
USD0.1582019-06-03
USD0.156622019-05-01
USD0.153742019-04-01
USD0.140912019-03-01
USD0.163562019-02-01
20182.05%USD 1.565USD0.143232018-12-24
USD0.140382018-12-03
USD0.144022018-11-01
USD0.134542018-10-01
USD0.137672018-09-04
USD0.134482018-08-01
USD0.123962018-07-02
USD0.129252018-06-01
USD0.123372018-05-01
USD0.125722018-04-02
USD0.110342018-03-01
USD0.118182018-02-01
20171.71%USD 1.303USD0.116232017-12-26
USD0.110782017-12-01
USD0.114472017-11-01
USD0.109672017-10-02
USD0.11272017-09-01
USD0.111782017-08-01
USD0.107332017-07-03
USD0.109092017-06-01
USD0.105972017-05-01
USD0.111592017-04-03
USD0.094842017-03-01
USD0.098362017-02-01
20161.55%USD 1.178USD0.109872016-12-22
USD0.098362016-12-01
USD0.10042016-11-01
USD0.097292016-10-03
USD0.100832016-09-01
USD0.100872016-08-01
USD0.099752016-07-01
USD0.09752016-06-01
USD0.094462016-05-02
USD0.09622016-04-01
USD0.088822016-03-01
USD0.094142016-02-01
20151.46%USD 1.116USD0.144052015-12-23
USD0.087192015-12-01
USD0.087942015-11-02
USD0.087482015-10-01
USD0.087792015-09-01
USD0.089062015-08-03
USD0.085352015-07-01
USD0.087732015-06-01
USD0.085852015-05-01
USD0.110712015-04-01
USD0.07852015-03-02
USD0.084292015-02-02
20141.52%USD 1.156USD0.1832014-12-23
USD0.0842014-12-22
USD0.081522014-12-01
USD0.084612014-11-03
USD0.079332014-10-01
USD0.082162014-09-02
USD0.082442014-08-01
USD0.079642014-07-01
USD0.080852014-06-02
USD0.077992014-05-01
USD0.093582014-04-01
USD0.070692014-03-03
USD0.076412014-02-03
20131.56%USD 1.186USD0.260122013-12-24
USD0.073312013-12-02
USD0.076442013-11-01
USD0.073132013-10-01
USD0.075842013-09-03
USD0.075192013-08-01
USD0.076272013-07-01
USD0.081192013-06-03
USD0.08142013-05-01
USD0.1382013-04-01
USD0.081142013-03-01
USD0.094082013-02-01
20121.95%USD 1.483USD0.307742012-12-24
USD0.093242012-12-03
USD0.09762012-11-01
USD0.096052012-10-01
USD0.101192012-09-04
USD0.103942012-08-01
USD0.101242012-07-02
USD0.107642012-06-01
USD0.108642012-05-01
USD0.1442012-04-02
USD0.106672012-03-01
USD0.115072012-02-01
20112.59%USD 1.973USD0.4912011-12-23
USD0.114282011-12-01
USD0.128392011-11-01
USD0.113472011-10-03
USD0.128412011-09-01
USD0.132312011-08-01
USD0.128352011-07-01
USD0.135152011-06-01
USD0.131712011-05-02
USD0.140312011-04-01
USD0.0612011-03-23
USD0.12832011-03-01
USD0.140532011-02-01
20102.83%USD 2.155USD0.4512010-12-27
USD0.139442010-12-01
USD0.145892010-11-01
USD0.142792010-10-01
USD0.147442010-09-01
USD0.149372010-08-02
USD0.148232010-07-01
USD0.155232010-06-01
USD0.154512010-05-03
USD0.2122010-04-01
USD0.145422010-03-01
USD0.163282010-02-01
20092.89%USD 2.204USD0.166342009-12-28
USD0.0082009-12-24
USD0.160152009-12-01
USD0.167212009-11-02
USD0.16652009-10-01
USD0.176892009-09-01
USD0.182842009-08-03
USD0.178172009-07-01
USD0.192112009-06-01
USD0.192932009-05-01
USD0.199882009-04-01
USD0.192212009-03-02
USD0.221062009-02-02
20083.78%USD 2.886USD0.222432008-12-24
USD0.227722008-12-01
USD0.241892008-11-03
USD0.220252008-10-01
USD0.235112008-09-02
USD0.241392008-08-01
USD0.234182008-07-01
USD0.246012008-06-02
USD0.238132008-05-01
USD0.261012008-04-01
USD0.246582008-03-03
USD0.270972008-02-01
20072.95%USD 2.249USD0.276072007-12-24
USD0.26972007-12-03
USD0.277672007-11-01
USD0.259332007-10-01
USD0.288062007-09-04
USD0.263532007-08-01
USD0.270982007-07-02
USD0.256152007-06-01
USD0.087852007-05-01