VANGUARD EUROPEAN STOCK INDEX FUND INVESTOR SHARES(VEURX) USD 33.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.30%USD 0.102USD0.10242023-03-17
20222.71%USD 0.917USD0.20172022-12-16
USD0.10492022-09-16
USD0.54972022-06-17
USD0.06112022-03-18
20213.14%USD 1.064USD0.35042021-12-17
USD0.19672021-09-17
USD0.3842021-06-18
USD0.1332021-03-19
20201.89%USD 0.641USD0.1922020-12-18
USD0.15232020-09-18
USD0.17662020-06-19
USD0.12052020-03-20
20192.91%USD 0.986USD0.16662019-12-20
USD0.16092019-09-23
USD0.50522019-06-14
USD0.1532019-03-22
20182.91%USD 0.986USD0.15652018-12-21
USD0.10982018-09-25
USD0.58462018-06-21
USD0.13542018-03-23
20172.39%USD 0.812USD0.15572017-12-18
USD0.1122017-09-19
USD0.4062017-06-20
USD0.1382017-03-21
20162.54%USD 0.863USD0.112016-12-19
USD0.1312016-09-12
USD0.4832016-06-13
USD0.1392016-03-14
20152.45%USD 0.831USD0.12015-12-18
USD0.1112015-09-24
USD0.462015-06-25
USD0.162015-03-24
20143.70%USD 1.256USD0.1472014-12-19
USD0.1332014-09-23
USD0.5162014-06-23
USD0.462014-03-24
20132.45%USD 0.832USD0.1162013-12-19
USD0.0992013-09-20
USD0.52013-06-21
USD0.1172013-03-21
20122.20%USD 0.747USD0.1842012-12-19
USD0.5632012-09-21
20112.94%USD 0.998USD0.9982011-12-20
20102.97%USD 1.007USD1.0072010-12-21
20092.90%USD 0.982USD0.9822009-12-23
20084.41%USD 1.497USD1.4972008-12-23
20073.58%USD 1.215USD1.2152007-12-21
20062.72%USD 0.924USD0.9242006-12-21
20052.06%USD 0.7USD0.72005-12-23
20041.71%USD 0.58USD0.582004-12-17
20031.36%USD 0.46USD0.462003-12-12
20021.18%USD 0.4USD0.42002-12-13
20011.33%USD 0.45USD0.442001-12-26
USD0.012001-03-23
20001.39%USD 0.473USD0.4232000-12-28
USD0.052000-03-27