VANGUARD INFLATION-PROTECTED SECURITIES FUND ADMIRAL SHARES(VAIPX) USD 23.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.23%USD 1.957USD0.59712022-12-22
USD0.42692022-09-30
USD0.62132022-06-30
USD0.31142022-03-31
20216.14%USD 1.459USD0.5782021-12-22
USD0.52982021-09-30
USD0.28692021-06-30
USD0.06382021-03-31
20201.65%USD 0.392USD0.30432020-12-22
USD0.07732020-09-30
USD0.01042020-03-31
20192.50%USD 0.594USD0.30462019-12-20
USD0.17632019-09-23
USD0.1132019-06-14
20183.22%USD 0.765USD0.32542018-12-18
USD0.19862018-09-21
USD0.1612018-06-15
USD0.082018-03-15
20172.60%USD 0.617USD0.38292017-12-22
USD0.1742017-09-21
USD0.0332017-06-22
USD0.0272017-03-28
20163.74%USD 0.889USD0.8842016-12-23
USD0.00512016-06-16
20150.94%USD 0.222USD0.2152015-12-24
USD0.00742015-03-26
20142.57%USD 0.612USD0.3632014-12-26
USD0.2332014-06-20
USD0.0162014-03-28
20132.33%USD 0.554USD0.2182013-12-26
USD0.1882013-09-26
USD0.0452013-06-27
USD0.1032013-03-27
20124.52%USD 1.075USD0.82012-12-19
USD0.1322012-09-27
USD0.0662012-06-28
USD0.0772012-03-29
20114.93%USD 1.172USD0.452011-12-27
USD0.1812011-09-29
USD0.3772011-06-29
USD0.1642011-03-30
20102.74%USD 0.652USD0.3422010-12-28
USD0.0712010-09-27
USD0.1042010-06-28
USD0.1352010-03-29
20091.88%USD 0.448USD0.4372009-12-23
USD0.0112009-03-26
20085.16%USD 1.227USD0.0322008-12-19
USD0.42008-09-25
USD0.4762008-06-26
USD0.3192008-03-27
20075.46%USD 1.297USD0.2212007-12-21
USD0.282007-09-21
USD0.6042007-06-22
USD0.1922007-03-23
20063.59%USD 0.853USD0.3422006-09-22
USD0.4852006-06-23
USD0.0262006-03-24
20055.64%USD 1.341USD0.6292005-12-28
USD0.2172005-09-23
USD0.4952005-06-24