VANGUARD EMERGING MARKETS STOCK INDEX FUND INSTITUTIONAL SHARES(VEMIX) USD 25.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.06%USD 0.017USD0.01652023-03-17
20223.91%USD 1.009USD0.40022022-12-16
USD0.33332022-09-16
USD0.19192022-06-17
USD0.08312022-03-18
20213.16%USD 0.815USD0.29882021-12-17
USD0.29542021-09-17
USD0.17732021-06-18
USD0.04322021-03-19
20202.34%USD 0.604USD0.19032020-12-18
USD0.2692020-09-18
USD0.10752020-06-19
USD0.03682020-03-20
20193.53%USD 0.909USD0.35272019-12-20
USD0.32642019-09-23
USD0.17692019-06-14
USD0.05282019-03-22
20182.71%USD 0.699USD0.16242018-12-21
USD0.30232018-09-25
USD0.17582018-06-21
USD0.05842018-03-23
20172.62%USD 0.676USD0.1362017-12-20
USD0.3322017-09-19
USD0.1622017-06-20
USD0.0462017-03-21
20162.24%USD 0.577USD0.112016-12-19
USD0.2872016-09-12
USD0.1432016-06-13
USD0.0372016-03-14
20152.03%USD 0.522USD0.1032015-12-18
USD0.2872015-09-24
USD0.0852015-06-25
USD0.0472015-03-24
20142.83%USD 0.729USD0.112014-12-19
USD0.2842014-09-23
USD0.2672014-06-23
USD0.0682014-03-24
20132.80%USD 0.72USD0.142013-12-19
USD0.2192013-09-20
USD0.3222013-06-21
USD0.0392013-03-21
20122.47%USD 0.637USD0.2972012-12-19
USD0.342012-09-21
20112.28%USD 0.588USD0.5882011-12-20
20102.05%USD 0.528USD0.5282010-12-21
20091.35%USD 0.349USD0.3492009-12-23
20082.93%USD 0.754USD0.7542008-12-23
20072.45%USD 0.632USD0.6322007-12-21
20061.67%USD 0.429USD0.4292006-12-21
20051.33%USD 0.342USD0.3422005-12-23
20041.07%USD 0.276USD0.2762004-12-23
20030.72%USD 0.186USD0.1862003-12-19
20020.52%USD 0.135USD0.1352002-12-20
20010.86%USD 0.222USD0.2112001-12-26
USD0.0112001-03-23