Vanguard Long-Term Treasury Index Fund ETF Shares(VGLT) USD 64.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.74%USD 0.48USD0.16742023-04-03
USD0.15112023-03-01
USD0.16122023-02-01
20222.71%USD 1.747USD0.15842022-12-23
USD0.14852022-12-01
USD0.15542022-11-01
USD0.15312022-10-03
USD0.15242022-09-01
USD0.15142022-08-01
USD0.1442022-07-01
USD0.14692022-06-01
USD0.1352022-05-02
USD0.14812022-04-01
USD0.12532022-03-01
USD0.12862022-02-01
20212.53%USD 1.627USD0.13732021-12-23
USD0.13382021-12-01
USD0.13622021-11-01
USD0.13492021-10-01
USD0.14212021-09-01
USD0.14312021-08-02
USD0.13182021-07-01
USD0.14032021-06-01
USD0.13312021-05-03
USD0.1362021-04-01
USD0.12342021-03-01
USD0.13492021-02-01
20203.20%USD 2.059USD0.4262020-12-23
USD0.13312020-12-01
USD0.13572020-11-02
USD0.13452020-10-01
USD0.14392020-09-01
USD0.14472020-08-03
USD0.14582020-07-01
USD0.15522020-06-01
USD0.15532020-05-01
USD0.17412020-04-01
USD0.14552020-03-02
USD0.16482020-02-03
20193.19%USD 2.052USD0.17362019-12-23
USD0.15772019-12-02
USD0.16862019-11-01
USD0.16922019-10-01
USD0.17222019-09-03
USD0.17772019-08-01
USD0.16832019-07-01
USD0.17982019-06-03
USD0.17042019-05-01
USD0.17712019-04-01
USD0.16342019-03-01
USD0.17392019-02-01
20183.15%USD 2.027USD0.18572018-12-24
USD0.16132018-12-03
USD0.17022018-11-01
USD0.17022018-10-01
USD0.17452018-09-04
USD0.17482018-08-01
USD0.17242018-07-02
USD0.16812018-06-01
USD0.16782018-05-01
USD0.17462018-04-02
USD0.14752018-03-01
USD0.15952018-02-01
20173.09%USD 1.987USD0.18612017-12-26
USD0.172017-12-01
USD0.152017-11-01
USD0.1752017-10-02
USD0.1652017-09-01
USD0.1742017-08-01
USD0.162017-07-03
USD0.1652017-06-01
USD0.1692017-05-01
USD0.1552017-04-03
USD0.1692017-03-01
USD0.1492017-02-01
20163.07%USD 1.979USD0.1892016-12-22
USD0.1612016-12-01
USD0.162016-11-01
USD0.1662016-10-03
USD0.1642016-09-01
USD0.1662016-08-01
USD0.1712016-07-01
USD0.1612016-06-01
USD0.1742016-05-02
USD0.1622016-04-01
USD0.1612016-03-01
USD0.1442016-02-01
20153.71%USD 2.393USD0.2012015-12-23
USD0.1732015-12-01
USD0.1672015-11-02
USD0.1772015-10-01
USD0.1652015-09-01
USD0.1712015-08-03
USD0.1792015-07-01
USD0.1682015-06-01
USD0.17772015-05-01
USD0.1622015-04-01
USD0.3142015-03-25
USD0.1722015-03-02
USD0.1662015-02-02
20143.32%USD 2.14USD0.1812014-12-23
USD0.1722014-12-01
USD0.1792014-11-03
USD0.1742014-10-01
USD0.1782014-09-02
USD0.1772014-08-01
USD0.1782014-07-01
USD0.1732014-06-02
USD0.1812014-05-01
USD0.1692014-04-01
USD0.1822014-03-03
USD0.1962014-02-03
20133.17%USD 2.042USD0.1572013-12-24
USD0.1862013-11-29
USD0.1672013-10-31
USD0.1632013-09-30
USD0.1962013-08-30
USD0.1722013-07-31
USD0.1862013-06-28
USD0.1772013-05-31
USD0.1782013-04-30
USD0.1592013-03-28
USD0.1632013-02-28
USD0.1382013-01-31
20123.53%USD 2.275USD0.3142012-12-24
USD0.1712012-11-30
USD0.1652012-11-02
USD0.182012-09-28
USD0.1752012-08-31
USD0.1832012-07-31
USD0.1822012-06-29
USD0.1762012-05-31
USD0.1882012-04-30
USD0.1822012-03-30
USD0.1882012-02-29
USD0.1712012-01-31
20113.61%USD 2.326USD0.1912011-12-23
USD0.1852011-11-30
USD0.1912011-10-31
USD0.1922011-09-30
USD0.22011-08-31
USD0.22011-07-29
USD0.1982011-06-30
USD0.1912011-05-31
USD0.1912011-04-29
USD0.1992011-03-31
USD0.1942011-02-28
USD0.1942011-01-31
20103.48%USD 2.243USD0.2542010-12-27
USD0.1892010-11-30
USD0.1942010-10-29
USD0.1832010-09-30
USD0.1572010-08-31
USD0.1092010-07-30
USD0.1942010-06-30
USD0.2032010-05-28
USD0.1992010-04-30
USD0.2042010-03-31
USD0.1612010-02-26
USD0.1962010-01-29
20090.41%USD 0.266USD0.2662009-12-24