VANGUARD BALANCED INDEX FUND INSTITUTIONAL SHARES(VBAIX) USD 41.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.86%USD 0.358USD0.357962023-03-22
20222.70%USD 1.126USD0.376882022-12-28
USD0.19492022-09-22
USD0.18762022-06-22
USD0.36672022-03-22
20213.76%USD 1.569USD0.88562021-12-29
USD0.16932021-09-23
USD0.1672021-06-23
USD0.34732021-03-24
20202.82%USD 1.177USD0.55272020-12-29
USD0.17482020-09-24
USD0.17742020-06-24
USD0.27242020-03-25
20192.16%USD 0.899USD0.29132019-12-23
USD0.1922019-09-13
USD0.19032019-06-26
USD0.22582019-03-27
20181.84%USD 0.768USD0.20412018-12-21
USD0.20322018-09-27
USD0.18142018-06-21
USD0.17912018-03-21
20171.63%USD 0.679USD0.19082017-12-22
USD0.1792017-09-21
USD0.1522017-06-22
USD0.1572017-03-28
20161.56%USD 0.652USD0.1962016-12-23
USD0.1612016-09-16
USD0.152016-06-16
USD0.1452016-03-16
20151.48%USD 0.615USD0.1832015-12-24
USD0.1532015-09-18
USD0.1332015-06-19
USD0.1462015-03-26
20141.37%USD 0.573USD0.1682014-12-26
USD0.1422014-09-19
USD0.1262014-06-20
USD0.1372014-03-28
20131.22%USD 0.51USD0.1432013-12-26
USD0.1272013-09-26
USD0.1262013-06-27
USD0.1142013-03-27
20121.23%USD 0.514USD0.1562012-12-26
USD0.1262012-09-27
USD0.1232012-06-28
USD0.1092012-03-29
20111.23%USD 0.513USD0.1382011-12-27
USD0.1292011-09-29
USD0.1252011-06-29
USD0.1212011-03-30
20101.24%USD 0.517USD0.1382010-12-28
USD0.1362010-09-27
USD0.1242010-06-28
USD0.1192010-03-29
20091.30%USD 0.544USD0.1582009-12-28
USD0.1272009-09-28
USD0.1222009-06-25
USD0.1372009-03-26
20081.51%USD 0.628USD0.1632008-12-26
USD0.1492008-09-25
USD0.182008-06-26
USD0.1362008-03-27
20071.65%USD 0.687USD0.2072007-12-21
USD0.1762007-09-21
USD0.1572007-06-22
USD0.1472007-03-23
20061.50%USD 0.624USD0.1862006-12-26
USD0.1562006-09-22
USD0.1452006-06-23
USD0.1372006-03-24
20051.33%USD 0.553USD0.1662005-12-28
USD0.1462005-09-23
USD0.1262005-06-24
USD0.1152005-03-23
20041.25%USD 0.522USD0.1752004-12-21
USD0.1252004-09-24
USD0.1162004-06-25
USD0.1062004-03-26
20031.13%USD 0.47USD0.1452003-12-26
USD0.1062003-09-26
USD0.1052003-06-20
USD0.1142003-03-28
20021.30%USD 0.54USD0.1462002-12-27
USD0.1442002-09-27
USD0.1252002-06-21
USD0.1252002-03-22
20011.54%USD 0.643USD0.1822001-12-21
USD0.1562001-09-21
USD0.1352001-06-22
USD0.172001-03-16
20000.67%USD 0.279USD0.2792000-12-26