VANGUARD EXTENDED DURATION TREASURY INDEX FUND INSTITUTIONAL SHARES(VEDTX) USD 26.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.12%USD 0.819USD0.20872022-12-22
USD0.20582022-09-30
USD0.21332022-06-30
USD0.19122022-03-31
20213.14%USD 0.825USD0.20632021-12-22
USD0.20922021-09-30
USD0.21262021-06-30
USD0.19652021-03-31
20209.74%USD 2.556USD1.84652020-12-22
USD0.21312020-09-30
USD0.24232020-06-30
USD0.25452020-03-31
20195.25%USD 1.379USD0.63872019-12-20
USD0.25252019-09-25
USD0.24012019-06-20
USD0.24812019-03-20
20183.80%USD 0.999USD0.252018-12-12
USD0.25422018-09-21
USD0.25442018-06-15
USD0.24022018-03-15
20174.08%USD 1.07USD0.35082017-12-22
USD0.2492017-09-26
USD0.2572017-06-27
USD0.2132017-03-21
20166.71%USD 1.761USD1.03872016-12-13
USD0.2622016-09-19
USD0.252016-06-20
USD0.212016-03-18
20155.56%USD 1.459USD0.6882015-12-16
USD0.2662015-09-18
USD0.2762015-06-19
USD0.2292015-03-20
20144.46%USD 1.17USD0.4122014-12-17
USD0.2592014-09-19
USD0.2662014-06-20
USD0.2332014-03-21
20135.17%USD 1.356USD0.6772013-12-19
USD0.1782013-09-20
USD0.2672013-06-21
USD0.2342013-03-21
201210.08%USD 2.646USD1.8532012-12-19
USD0.2842012-09-21
USD0.2652012-06-22
USD0.2442012-03-23
20117.20%USD 1.889USD1.0932011-12-20
USD0.2842011-09-22
USD0.2692011-06-23
USD0.2432011-03-24
20104.47%USD 1.173USD0.3852010-12-21
USD0.2722010-09-23
USD0.2722010-06-23
USD0.2442010-03-24
200917.50%USD 4.593USD3.6992009-12-21
USD0.2642009-09-23
USD0.3462009-06-23
USD0.2842009-03-24
20084.43%USD 1.164USD0.432008-12-19
USD0.2642008-09-23
USD0.262008-06-23
USD0.212008-03-24
20070.40%USD 0.105USD0.1052007-12-21