Vanguard Short-Term Corporate Bond Index Fund ETF Shares(VCSH) USD 76.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.69%USD 0.527USD0.19082023-04-03
USD0.16392023-03-01
USD0.17232023-02-01
20221.99%USD 1.514USD0.16932022-12-23
USD0.14962022-12-01
USD0.14812022-11-01
USD0.14432022-10-03
USD0.13622022-09-01
USD0.12722022-08-01
USD0.11792022-07-01
USD0.11592022-06-01
USD0.10782022-05-02
USD0.10642022-04-01
USD0.09232022-03-01
USD0.0992022-02-01
20211.94%USD 1.473USD0.2822021-12-23
USD0.09882021-12-01
USD0.10092021-11-01
USD0.10782021-10-01
USD0.10582021-09-01
USD0.10822021-08-02
USD0.10312021-07-01
USD0.10982021-06-01
USD0.10732021-05-03
USD0.11622021-04-01
USD0.10852021-03-01
USD0.12452021-02-01
20202.48%USD 1.887USD0.13092020-12-23
USD0.1292020-12-01
USD0.13982020-11-02
USD0.1412020-10-01
USD0.14432020-09-01
USD0.15782020-08-03
USD0.15162020-07-01
USD0.17382020-06-01
USD0.16912020-05-01
USD0.2022020-04-01
USD0.16232020-03-02
USD0.18552020-02-03
20193.06%USD 2.326USD0.20252019-12-23
USD0.18322019-12-02
USD0.22019-11-01
USD0.18872019-10-01
USD0.19592019-09-03
USD0.20712019-08-01
USD0.19232019-07-01
USD0.20742019-06-03
USD0.19082019-05-01
USD0.21462019-04-01
USD0.17432019-03-01
USD0.16912019-02-01
20182.72%USD 2.067USD0.20492018-12-24
USD0.17842018-12-03
USD0.19042018-11-01
USD0.17422018-10-01
USD0.17372018-09-04
USD0.17992018-08-01
USD0.16452018-07-02
USD0.17412018-06-01
USD0.15812018-05-01
USD0.18322018-04-02
USD0.14222018-03-01
USD0.14292018-02-01
20172.35%USD 1.788USD0.17332017-12-26
USD0.1532017-12-01
USD0.1532017-11-01
USD0.1522017-10-02
USD0.1512017-09-01
USD0.1512017-08-01
USD0.1492017-07-03
USD0.152017-06-01
USD0.1472017-05-01
USD0.152017-04-03
USD0.142017-03-01
USD0.1192017-02-01
20162.19%USD 1.669USD0.1622016-12-22
USD0.1362016-12-01
USD0.1372016-11-01
USD0.142016-10-03
USD0.142016-09-01
USD0.1432016-08-01
USD0.1442016-07-01
USD0.1442016-06-01
USD0.1372016-05-02
USD0.142016-04-01
USD0.1352016-03-01
USD0.1112016-02-01
20152.16%USD 1.642USD0.232015-12-23
USD0.1332015-12-01
USD0.1342015-11-02
USD0.1322015-10-01
USD0.1282015-09-01
USD0.1312015-08-03
USD0.1282015-07-01
USD0.1282015-06-01
USD0.1242015-05-01
USD0.1342015-04-01
USD0.1242015-03-02
USD0.1162015-02-02
20142.10%USD 1.598USD0.2772014-12-23
USD0.1182014-12-01
USD0.1252014-11-03
USD0.1222014-10-01
USD0.1142014-09-02
USD0.1212014-08-01
USD0.1192014-07-01
USD0.1222014-06-02
USD0.1182014-05-01
USD0.1282014-04-01
USD0.1192014-03-03
USD0.1152014-02-03
20132.15%USD 1.637USD0.2982013-12-24
USD0.1192013-11-29
USD0.1222013-10-31
USD0.122013-09-30
USD0.1152013-08-30
USD0.1222013-07-31
USD0.1192013-06-28
USD0.1222013-05-31
USD0.1152013-04-30
USD0.1362013-03-28
USD0.1212013-02-28
USD0.1282013-01-31
20122.41%USD 1.838USD0.2492012-12-24
USD0.1322012-11-30
USD0.1362012-11-02
USD0.1392012-09-28
USD0.1452012-08-31
USD0.1512012-07-31
USD0.1482012-06-29
USD0.1522012-05-31
USD0.1442012-04-30
USD0.1532012-03-30
USD0.1432012-02-29
USD0.1462012-01-31
20112.49%USD 1.893USD0.2482011-12-23
USD0.1492011-11-30
USD0.1532011-10-31
USD0.1492011-09-30
USD0.1472011-08-31
USD0.1572011-07-29
USD0.1492011-06-30
USD0.1542011-05-31
USD0.1412011-04-29
USD0.1672011-03-31
USD0.1352011-02-28
USD0.1442011-01-31
20102.44%USD 1.855USD0.2262010-12-27
USD0.1482010-11-30
USD0.1562010-10-29
USD0.1542010-09-30
USD0.1522010-08-31
USD0.1612010-07-30
USD0.1422010-06-30
USD0.1592010-05-28
USD0.1322010-04-30
USD0.1712010-03-31
USD0.1272010-02-26
USD0.1272010-01-29
20090.22%USD 0.169USD0.1692009-12-24