VANGUARD EUROPEAN STOCK INDEX FUND ADMIRAL SHARES(VEUSX) USD 78.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.262USD0.26192023-03-17
20222.84%USD 2.24USD0.49422022-12-16
USD0.26892022-09-16
USD1.30762022-06-17
USD0.16962022-03-18
20213.28%USD 2.585USD0.84392021-12-17
USD0.48582021-09-17
USD0.92072021-06-18
USD0.33462021-03-19
20202.00%USD 1.58USD0.46912020-12-18
USD0.37582020-09-18
USD0.43082020-06-19
USD0.30422020-03-20
20193.02%USD 2.385USD0.41062019-12-20
USD0.3982019-09-23
USD1.19692019-06-14
USD0.37942019-03-22
20183.03%USD 2.39USD0.37672018-12-21
USD0.27722018-09-25
USD1.38842018-06-21
USD0.34762018-03-23
20172.53%USD 1.997USD0.39222017-12-18
USD0.2892017-09-19
USD0.9712017-06-20
USD0.3452017-03-21
20162.68%USD 2.112USD0.2822016-12-19
USD0.3312016-09-12
USD1.1582016-06-13
USD0.3412016-03-14
20152.57%USD 2.026USD0.2522015-12-18
USD0.2812015-09-24
USD1.0982015-06-25
USD0.3952015-03-24
20143.84%USD 3.03USD0.3652014-12-19
USD0.3372014-09-23
USD1.2312014-06-23
USD1.0972014-03-24
20132.57%USD 2.032USD0.2952013-12-19
USD0.2522013-09-20
USD1.1892013-06-21
USD0.2962013-03-21
20122.31%USD 1.825USD0.4822012-12-19
USD1.3432012-09-21
20113.03%USD 2.391USD2.3912011-12-20
20103.63%USD 2.862USD2.8622010-12-21
20093.02%USD 2.382USD2.3822009-12-23
20084.58%USD 3.616USD3.6162008-12-23
20073.72%USD 2.939USD2.9392007-12-21
20062.84%USD 2.242USD2.2422006-12-21
20052.13%USD 1.68USD1.682005-12-23
20041.78%USD 1.407USD1.4072004-12-17
20031.42%USD 1.118USD1.1182003-12-12
20021.24%USD 0.975USD0.9752002-12-13
20011.32%USD 1.04USD1.042001-12-26