VANGUARD EMERGING MARKETS STOCK INDEX FUND ADMIRAL SHARES(VEMAX) USD 33.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.05%USD 0.018USD0.01832023-03-17
20223.87%USD 1.312USD0.52332022-12-16
USD0.43512022-09-16
USD0.24872022-06-17
USD0.10532022-03-18
20213.11%USD 1.054USD0.38882021-12-17
USD0.38442021-09-17
USD0.22872021-06-18
USD0.05242021-03-19
20202.30%USD 0.779USD0.24582020-12-18
USD0.35042020-09-18
USD0.13842020-06-19
USD0.04472020-03-20
20193.48%USD 1.181USD0.46032019-12-20
USD0.42512019-09-23
USD0.2292019-06-14
USD0.06622019-03-22
20182.67%USD 0.905USD0.20822018-12-21
USD0.39472018-09-25
USD0.22842018-06-21
USD0.07392018-03-23
20172.60%USD 0.88USD0.17612017-12-20
USD0.4342017-09-19
USD0.2112017-06-20
USD0.0592017-03-21
20162.20%USD 0.747USD0.1412016-12-19
USD0.3742016-09-12
USD0.1862016-06-13
USD0.0462016-03-14
20152.62%USD 0.888USD0.1332015-12-18
USD0.3752015-09-24
USD0.3212015-06-25
USD0.0592015-03-24
20142.80%USD 0.95USD0.1442014-12-19
USD0.372014-09-23
USD0.3482014-06-23
USD0.0882014-03-24
20132.77%USD 0.937USD0.1812013-12-19
USD0.2882013-09-20
USD0.422013-06-21
USD0.0482013-03-21
20122.38%USD 0.808USD0.3732012-12-19
USD0.4352012-09-21
20112.22%USD 0.752USD0.7522011-12-20
20101.93%USD 0.653USD0.6532010-12-21
20091.31%USD 0.445USD0.4452009-12-23
20082.86%USD 0.969USD0.9692008-12-23
20072.42%USD 0.82USD0.822007-12-21
20061.58%USD 0.534USD0.5342006-12-21