VANGUARD 500 INDEX FUND INVESTOR SHARES(VFINX) USD 383.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 1.391USD1.3912023-03-23
20221.45%USD 5.562USD1.59432022-12-19
USD1.37822022-09-27
USD1.33032022-06-28
USD1.25962022-03-23
20211.31%USD 5.039USD1.43612021-12-20
USD1.20332021-09-28
USD1.23312021-06-28
USD1.16642021-03-25
20201.66%USD 6.366USD1.3112020-12-21
USD1.23282020-09-28
USD1.35462020-09-24
USD1.35462020-06-26
USD1.11292020-03-09
20191.38%USD 5.292USD1.36512019-12-20
USD1.22872019-09-25
USD1.30782019-06-26
USD1.39022019-03-20
20181.17%USD 4.5USD1.22382018-12-14
USD1.15022018-09-25
USD1.09832018-06-27
USD1.02772018-03-23
20171.09%USD 4.176USD1.12622017-12-22
USD1.1292017-09-19
USD0.962017-06-22
USD0.9612017-03-21
20161.04%USD 3.976USD1.2542016-12-21
USD0.8522016-09-12
USD0.9082016-06-20
USD0.9622016-03-18
20150.98%USD 3.747USD1.0422015-12-18
USD0.9112015-09-18
USD0.862015-06-19
USD0.9342015-03-20
20140.86%USD 3.303USD0.9812014-12-17
USD0.8262014-09-19
USD0.7622014-06-20
USD0.7342014-03-21
20130.77%USD 2.948USD0.8692013-12-23
USD0.7472013-09-20
USD0.6972013-06-21
USD0.6352013-03-21
20120.70%USD 2.699USD0.9052012-12-21
USD0.6512012-09-21
USD0.6072012-06-22
USD0.5362012-03-23
20110.59%USD 2.246USD0.6512011-12-22
USD0.5542011-09-22
USD0.5362011-06-23
USD0.5052011-03-24
20100.51%USD 1.966USD0.4942010-12-23
USD0.5292010-09-23
USD0.5062010-06-28
USD0.4372010-03-29
20090.55%USD 2.104USD0.6592009-12-28
USD0.4822009-09-28
USD0.4352009-06-23
USD0.5282009-03-26
20080.65%USD 2.505USD0.72008-12-26
USD0.6352008-09-25
USD0.572008-06-26
USD0.62008-03-27
20070.65%USD 2.49USD0.752007-12-21
USD0.622007-09-21
USD0.572007-06-22
USD0.552007-03-23
20060.56%USD 2.14USD0.652006-12-26
USD0.522006-09-22
USD0.482006-06-23
USD0.492006-03-17
20050.52%USD 1.98USD0.62005-12-28
USD0.532005-09-23
USD0.422005-06-24
USD0.432005-03-23
20040.51%USD 1.95USD0.832004-12-23
USD0.412004-09-24
USD0.352004-06-25
USD0.362004-03-26
20030.37%USD 1.43USD0.472003-12-26
USD0.362003-09-26
USD0.32003-06-20
USD0.32003-03-28
20020.35%USD 1.36USD0.422002-12-27
USD0.352002-09-27
USD0.32002-06-21
USD0.292002-03-22
20010.33%USD 1.275USD0.3852001-12-28
USD0.322001-09-21
USD0.282001-06-22
USD0.292001-03-16
20000.34%USD 1.3USD0.372000-12-26
USD0.322000-09-25
USD0.312000-06-26
USD0.32000-03-27