Vanguard Long-Term Corporate Bond Index Fund ETF Shares(VCLT) USD 79.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.14%USD 0.898USD0.30932023-04-03
USD0.28172023-03-01
USD0.30742023-02-01
20224.25%USD 3.36USD0.3022022-12-23
USD0.29482022-12-01
USD0.28722022-11-01
USD0.28392022-10-03
USD0.28492022-09-01
USD0.2822022-08-01
USD0.2722022-07-01
USD0.29162022-06-01
USD0.27622022-05-02
USD0.25652022-04-01
USD0.24372022-03-01
USD0.28562022-02-01
20214.11%USD 3.253USD0.2772021-12-23
USD0.26072021-12-01
USD0.26662021-11-01
USD0.27692021-10-01
USD0.27282021-09-01
USD0.2772021-08-02
USD0.27422021-07-01
USD0.27682021-06-01
USD0.26622021-05-03
USD0.27892021-04-01
USD0.24772021-03-01
USD0.27812021-02-01
20204.43%USD 3.507USD0.27892020-12-23
USD0.26752020-12-01
USD0.28652020-11-02
USD0.27112020-10-01
USD0.27882020-09-01
USD0.28982020-08-03
USD0.27152020-07-01
USD0.30822020-06-01
USD0.30252020-05-01
USD0.34312020-04-01
USD0.28612020-03-02
USD0.32342020-02-03
20194.88%USD 3.865USD0.32972019-12-23
USD0.30362019-12-02
USD0.32882019-11-01
USD0.31452019-10-01
USD0.33892019-09-03
USD0.33942019-08-01
USD0.31142019-07-01
USD0.33772019-06-03
USD0.30792019-05-01
USD0.34172019-04-01
USD0.2942019-03-01
USD0.31732019-02-01
20184.90%USD 3.878USD0.35442018-12-24
USD0.31662018-12-03
USD0.33772018-11-01
USD0.31832018-10-01
USD0.30732018-09-04
USD0.33192018-08-01
USD0.30472018-07-02
USD0.33912018-06-01
USD0.30862018-05-01
USD0.36242018-04-02
USD0.29282018-03-01
USD0.30452018-02-01
20174.85%USD 3.837USD0.35382017-12-26
USD0.3142017-12-01
USD0.322017-11-01
USD0.3252017-10-02
USD0.3212017-09-01
USD0.3192017-08-01
USD0.3162017-07-03
USD0.3212017-06-01
USD0.3212017-05-01
USD0.3162017-04-03
USD0.342017-03-01
USD0.272017-02-01
20164.89%USD 3.873USD0.3522016-12-22
USD0.3262016-12-01
USD0.3132016-11-01
USD0.3272016-10-03
USD0.322016-09-01
USD0.3232016-08-01
USD0.3232016-07-01
USD0.3262016-06-01
USD0.3212016-05-02
USD0.312016-04-01
USD0.342016-03-01
USD0.2922016-02-01
20154.98%USD 3.94USD0.3692015-12-23
USD0.3252015-12-01
USD0.3252015-11-02
USD0.3312015-10-01
USD0.3272015-09-01
USD0.3272015-08-03
USD0.3342015-07-01
USD0.332015-06-01
USD0.3372015-05-01
USD0.3382015-04-01
USD0.3132015-03-02
USD0.2842015-02-02
20145.01%USD 3.965USD0.342014-12-23
USD0.3182014-12-01
USD0.3282014-11-03
USD0.3292014-10-01
USD0.3352014-09-02
USD0.332014-08-01
USD0.3362014-07-01
USD0.3172014-06-02
USD0.3242014-05-01
USD0.3392014-04-01
USD0.3262014-03-03
USD0.3432014-02-03
20135.07%USD 4.01USD0.3322013-12-24
USD0.3322013-11-29
USD0.3132013-10-31
USD0.3392013-09-30
USD0.3512013-08-30
USD0.3352013-07-31
USD0.3262013-06-28
USD0.3242013-05-31
USD0.3532013-04-30
USD0.3392013-03-28
USD0.3392013-02-28
USD0.3272013-01-31
20125.31%USD 4.203USD0.5622012-12-24
USD0.3282012-11-30
USD0.3272012-11-02
USD0.3312012-09-28
USD0.3282012-08-31
USD0.3292012-07-31
USD0.342012-06-29
USD0.342012-05-31
USD0.3512012-04-30
USD0.3442012-03-30
USD0.32012-02-29
USD0.3232012-01-31
20114.99%USD 3.951USD0.3292011-12-23
USD0.3382011-11-30
USD0.3292011-10-31
USD0.332011-09-30
USD0.3142011-08-31
USD0.3282011-07-29
USD0.282011-06-30
USD0.3382011-05-31
USD0.342011-04-29
USD0.3912011-03-31
USD0.3192011-02-28
USD0.3152011-01-31
20105.62%USD 4.445USD0.5992010-12-27
USD0.3642010-11-30
USD0.3562010-10-29
USD0.392010-09-30
USD0.3072010-08-31
USD0.3342010-07-30
USD0.3472010-06-30
USD0.3562010-05-28
USD0.3472010-04-30
USD0.3942010-03-31
USD0.3262010-02-26
USD0.3252010-01-29
20090.63%USD 0.496USD0.4962009-12-24