VANGUARD EUROPEAN STOCK INDEX FUND INSTITUTIONAL SHARES(VESIX) USD 33.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.113USD0.11332023-03-17
20222.86%USD 0.962USD0.21212022-12-16
USD0.11622022-09-16
USD0.55932022-06-17
USD0.07412022-03-18
20213.30%USD 1.109USD0.36182021-12-17
USD0.20892021-09-17
USD0.39412021-06-18
USD0.14442021-03-19
20202.02%USD 0.679USD0.20152020-12-18
USD0.16172020-09-18
USD0.18492020-06-19
USD0.13122020-03-20
20193.04%USD 1.023USD0.17652019-12-20
USD0.17152019-09-23
USD0.5122019-06-14
USD0.16322019-03-22
20183.05%USD 1.026USD0.16442018-12-21
USD0.11832018-09-25
USD0.59292018-06-21
USD0.152018-03-23
20172.55%USD 0.859USD0.16892017-12-18
USD0.1252017-09-19
USD0.4152017-06-20
USD0.152017-03-21
20162.69%USD 0.904USD0.1212016-12-19
USD0.1422016-09-12
USD0.4952016-06-13
USD0.1462016-03-14
20152.59%USD 0.873USD0.1092015-12-18
USD0.1222015-09-24
USD0.4712015-06-25
USD0.1712015-03-24
20143.87%USD 1.301USD0.1582014-12-19
USD0.1462014-09-23
USD0.5272014-06-23
USD0.472014-03-24
20132.60%USD 0.874USD0.1282013-12-19
USD0.112013-09-20
USD0.5082013-06-21
USD0.1282013-03-21
20122.33%USD 0.785USD0.212012-12-19
USD0.5752012-09-21
20113.07%USD 1.032USD1.0322011-12-20
20103.72%USD 1.251USD1.2282010-12-21
USD0.0232010-04-15
20093.00%USD 1.008USD1.0082009-12-23
20084.62%USD 1.553USD1.5532008-12-23
20073.75%USD 1.261USD1.2612007-12-21
20062.88%USD 0.97USD0.972006-12-21
20052.19%USD 0.738USD0.7382005-12-23
20041.82%USD 0.611USD0.6112004-12-17
20031.46%USD 0.49USD0.492003-12-12
20021.26%USD 0.425USD0.4252002-12-13
20011.40%USD 0.471USD0.4592001-12-26
USD0.0122001-03-23
20001.30%USD 0.437USD0.4372000-12-27