VANGUARD REIT INDEX FUND ADMIRAL SHARES(VGSLX) USD 117.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.93%USD 1.092USD1.09162023-03-23
20223.90%USD 4.573USD1.6492022-12-21
USD1.29882022-09-22
USD0.80782022-06-22
USD0.81732022-03-22
20213.58%USD 4.201USD1.49182021-12-23
USD0.9312021-09-23
USD1.03272021-06-23
USD0.74532021-03-24
20204.03%USD 4.725USD1.89532020-12-23
USD0.83642020-09-24
USD1.07512020-06-24
USD0.91812020-03-09
20193.80%USD 4.456USD1.35632019-12-17
USD1.05342019-09-23
USD1.17332019-06-26
USD0.87272019-03-27
20184.27%USD 5.005USD1.34542018-12-12
USD1.62062018-09-21
USD1.03722018-06-15
USD1.00162018-03-23
20174.25%USD 4.978USD1.79072017-12-20
USD1.212017-09-21
USD1.1352017-06-22
USD0.8422017-03-21
20164.81%USD 5.632USD2.4012016-12-21
USD0.8472016-09-12
USD1.0822016-06-20
USD1.3022016-03-18
20153.78%USD 4.427USD1.5552015-12-22
USD1.0652015-09-22
USD1.0822015-06-25
USD0.7252015-03-24
20143.53%USD 4.135USD1.5622014-12-19
USD0.9462014-09-23
USD0.9882014-06-23
USD0.6392014-03-24
20133.38%USD 3.957USD1.4292013-12-23
USD0.8772013-09-20
USD0.8942013-06-21
USD0.7572013-03-21
20122.83%USD 3.318USD1.1292012-12-21
USD0.7442012-09-21
USD0.7352012-06-22
USD0.712012-03-23
20112.48%USD 2.905USD0.9112011-12-22
USD0.7032011-09-22
USD0.7072011-06-23
USD0.5842011-03-24
20102.31%USD 2.711USD0.8382010-12-23
USD0.6522010-09-23
USD0.6592010-06-23
USD0.0372010-04-30
USD0.5252010-03-24
20092.37%USD 2.782USD0.8272009-12-23
USD0.5892009-09-23
USD0.6872009-06-23
USD0.6792009-03-24
20083.63%USD 4.254USD1.3232008-12-23
USD1.0952008-09-23
USD1.1322008-06-23
USD0.7042008-03-24
20073.76%USD 4.41USD1.4382007-12-19
USD1.052007-09-21
USD1.2642007-06-22
USD0.6582007-03-23
20063.92%USD 4.591USD2.1132006-12-21
USD0.9572006-09-22
USD0.9552006-06-23
USD0.5662006-03-17
20054.29%USD 5.033USD2.3032005-12-23
USD0.9582005-09-23
USD0.9092005-06-24
USD0.8632005-03-23
20043.49%USD 4.091USD1.8052004-12-21
USD0.8572004-09-21
USD0.8672004-06-25
USD0.5622004-03-26
20032.87%USD 3.367USD1.1622003-12-23
USD0.9512003-09-26
USD0.7322003-06-20
USD0.5222003-03-28
20022.79%USD 3.275USD1.2052002-12-26
USD0.8612002-09-27
USD0.7322002-06-21
USD0.4772002-03-22
20011.06%USD 1.245USD1.2452001-12-28