VANGUARD EQUITY INCOME FUND ADMIRAL SHARES(VEIRX) USD 84.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.64%USD 0.536USD0.53622023-03-17
20228.81%USD 7.436USD5.636152022-12-16
USD0.61792022-09-16
USD0.63652022-06-17
USD0.54522022-03-22
20218.42%USD 7.106USD5.47382021-12-17
USD0.6342021-09-17
USD0.43592021-06-18
USD0.56242021-03-24
20202.69%USD 2.268USD0.69152020-12-18
USD0.52812020-09-28
USD0.53712020-06-26
USD0.51132020-03-20
20194.19%USD 3.538USD2.04142019-12-17
USD0.51122019-09-13
USD0.47882019-06-14
USD0.50632019-03-20
20188.64%USD 7.291USD5.78842018-12-18
USD0.55452018-09-21
USD0.54712018-06-15
USD0.40122018-03-15
20173.45%USD 2.916USD1.48162017-12-18
USD0.4962017-09-21
USD0.4492017-06-22
USD0.4892017-03-28
20163.14%USD 2.646USD1.25082016-12-23
USD0.482016-09-16
USD0.4642016-06-16
USD0.4512016-03-16
20154.76%USD 4.017USD2.6672015-12-16
USD0.472015-09-18
USD0.452015-06-19
USD0.432015-03-26
20144.67%USD 3.945USD2.6212014-12-17
USD0.4152014-09-19
USD0.4212014-06-20
USD0.4882014-03-28
20133.90%USD 3.294USD2.1092013-12-17
USD0.3782013-09-26
USD0.4412013-06-27
USD0.3662013-03-27
20121.75%USD 1.479USD0.3932012-12-17
USD0.3522012-09-27
USD0.382012-06-28
USD0.3542012-03-29
20111.56%USD 1.317USD0.3542011-12-16
USD0.3052011-09-29
USD0.3482011-06-29
USD0.312011-03-30
20101.37%USD 1.16USD0.3172010-12-16
USD0.2622010-09-27
USD0.2842010-06-28
USD0.2972010-03-29
20091.43%USD 1.205USD0.2982009-12-15
USD0.2392009-09-28
USD0.2922009-06-25
USD0.3762009-03-26
20082.16%USD 1.825USD0.5982008-12-16
USD0.4112008-09-25
USD0.4042008-06-26
USD0.4122008-03-27
20075.29%USD 4.462USD3.3242007-12-17
USD0.4122007-09-21
USD0.3722007-06-22
USD0.3542007-03-23
20065.37%USD 4.535USD3.4292006-12-15
USD0.3752006-09-22
USD0.3522006-06-23
USD0.3792006-03-24
20054.38%USD 3.699USD2.6632005-12-16
USD0.3792005-09-23
USD0.3512005-06-24
USD0.3062005-03-23
20044.45%USD 3.755USD2.8262004-12-17
USD0.3042004-09-24
USD0.3672004-06-25
USD0.2582004-03-26
20032.53%USD 2.131USD1.3442003-12-12
USD0.2832003-09-26
USD0.2632003-06-20
USD0.2412003-03-28
20021.23%USD 1.035USD0.3012002-12-20
USD0.2572002-09-27
USD0.2392002-06-21
USD0.2382002-03-22
20011.06%USD 0.895USD0.6382001-12-14
USD0.2572001-09-21