VANGUARD 500 INDEX FUND ADMIRAL SHARES(VFIAX) USD 383.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 1.489USD1.48922023-03-23
20221.55%USD 5.953USD1.67652022-12-19
USD1.47132022-09-27
USD1.43292022-06-28
USD1.3722022-03-23
20211.42%USD 5.437USD1.53512021-12-20
USD1.30742021-09-28
USD1.33272021-06-28
USD1.26152021-03-25
20201.38%USD 5.311USD1.38622020-12-21
USD1.31042020-09-28
USD1.4352020-06-26
USD1.17942020-03-09
20191.46%USD 5.581USD1.43262019-12-20
USD1.30282019-09-25
USD1.38932019-06-26
USD1.45612019-03-20
20181.24%USD 4.753USD1.28112018-12-14
USD1.21482018-09-25
USD1.1662018-06-27
USD1.09072018-03-23
20171.15%USD 4.401USD1.19232017-12-22
USD1.1872017-09-19
USD1.0172017-06-22
USD1.0052017-03-21
20161.09%USD 4.169USD1.3052016-12-21
USD0.892016-09-12
USD0.9592016-06-20
USD1.0152016-03-18
20151.03%USD 3.961USD1.1022015-12-18
USD0.9592015-09-18
USD0.9092015-06-19
USD0.9912015-03-20
20140.92%USD 3.517USD1.0342014-12-17
USD0.8832014-09-19
USD0.8152014-06-20
USD0.7852014-03-21
20130.82%USD 3.132USD0.922013-12-23
USD0.7932013-09-20
USD0.7432013-06-21
USD0.6762013-03-21
20120.74%USD 2.856USD0.9462012-12-21
USD0.692012-09-21
USD0.6462012-06-22
USD0.5742012-03-23
20110.62%USD 2.39USD0.6912011-12-22
USD0.5862011-09-22
USD0.5742011-06-23
USD0.5392011-03-24
20100.54%USD 2.084USD0.5292010-12-23
USD0.5582010-09-23
USD0.5322010-06-28
USD0.4652010-03-29
20090.57%USD 2.203USD0.6932009-12-28
USD0.5122009-09-28
USD0.4542009-06-23
USD0.5442009-03-26
20080.68%USD 2.594USD0.7172008-12-26
USD0.6562008-09-25
USD0.5942008-06-26
USD0.6272008-03-27
20070.68%USD 2.599USD0.7772007-12-21
USD0.6482007-09-21
USD0.5982007-06-22
USD0.5762007-03-23
20060.59%USD 2.252USD0.682006-12-26
USD0.5472006-09-22
USD0.5092006-06-23
USD0.5162006-03-17
20050.54%USD 2.082USD0.6272005-12-28
USD0.5572005-09-23
USD0.4442005-06-24
USD0.4542005-03-23
20040.53%USD 2.04USD0.8582004-12-23
USD0.4312004-09-24
USD0.3722004-06-25
USD0.3792004-03-26
20030.39%USD 1.487USD0.4882003-12-26
USD0.3752003-09-26
USD0.3132003-06-20
USD0.3112003-03-28
20020.37%USD 1.414USD0.4322002-12-27
USD0.3632002-09-27
USD0.3142002-06-21
USD0.3052002-03-22
20010.35%USD 1.338USD0.4012001-12-28
USD0.3352001-09-21
USD0.2972001-06-22
USD0.3052001-03-16
20000.10%USD 0.381USD0.3812000-12-26