VANGUARD EQUITY INCOME FUND INVESTOR SHARES(VEIPX) USD 40.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.61%USD 0.247USD0.24662023-03-17
20228.72%USD 3.51USD2.679912022-12-16
USD0.28562022-09-16
USD0.29412022-06-17
USD0.252022-03-22
20218.32%USD 3.352USD2.60152021-12-17
USD0.29262021-09-17
USD0.19882021-06-18
USD0.25912021-03-24
20202.61%USD 1.05USD0.32262020-12-18
USD0.24392020-09-28
USD0.24852020-06-26
USD0.23512020-03-20
20194.11%USD 1.655USD0.96532019-12-17
USD0.23572019-09-13
USD0.22082019-06-14
USD0.23362019-03-20
20188.55%USD 3.444USD2.75332018-12-18
USD0.25522018-09-21
USD0.25252018-06-15
USD0.1832018-03-15
20173.38%USD 1.36USD0.69882017-12-18
USD0.2292017-09-21
USD0.2072017-06-22
USD0.2252017-03-28
20163.06%USD 1.233USD0.58872016-12-23
USD0.2212016-09-16
USD0.2142016-06-16
USD0.2092016-03-16
20154.69%USD 1.89USD1.2672015-12-16
USD0.2172015-09-18
USD0.2082015-06-19
USD0.1982015-03-26
20144.60%USD 1.853USD1.2432014-12-17
USD0.192014-09-19
USD0.1952014-06-20
USD0.2252014-03-28
20133.84%USD 1.546USD12013-12-17
USD0.1742013-09-26
USD0.2042013-06-27
USD0.1682013-03-27
20121.70%USD 0.683USD0.1822012-12-17
USD0.1622012-09-27
USD0.1762012-06-28
USD0.1632012-03-29
20111.51%USD 0.609USD0.1642011-12-16
USD0.1422011-09-29
USD0.1612011-06-29
USD0.1422011-03-30
20101.34%USD 0.538USD0.1482010-12-16
USD0.1252010-09-27
USD0.1312010-06-28
USD0.1342010-03-29
20091.38%USD 0.556USD0.1382009-12-15
USD0.112009-09-28
USD0.1342009-06-25
USD0.1742009-03-26
20082.10%USD 0.846USD0.2812008-12-16
USD0.192008-09-25
USD0.1852008-06-26
USD0.192008-03-27
20075.21%USD 2.098USD1.5782007-12-17
USD0.192007-09-21
USD0.172007-06-22
USD0.162007-03-23
20065.28%USD 2.128USD1.6282006-12-15
USD0.172006-09-22
USD0.162006-06-23
USD0.172006-03-24
20054.31%USD 1.734USD1.2642005-12-16
USD0.172005-09-23
USD0.162005-06-24
USD0.142005-03-23
20044.39%USD 1.767USD1.3422004-12-17
USD0.142004-09-24
USD0.172004-06-25
USD0.1152004-03-26
20032.48%USD 0.997USD0.6372003-12-12
USD0.132003-09-26
USD0.122003-06-20
USD0.112003-03-28
20021.19%USD 0.48USD0.142002-12-20
USD0.122002-09-27
USD0.112002-06-21
USD0.112002-03-22
20011.66%USD 0.667USD0.2972001-12-14
USD0.122001-09-21
USD0.122001-06-22
USD0.132001-03-23
20004.77%USD 1.92USD1.312000-12-18
USD0.172000-12-15
USD0.162000-09-25
USD0.142000-06-26
USD0.142000-03-27