VANGUARD EXTENDED MARKET INDEX FUND INSTITUTIONAL SHARES(VIEIX) USD 105.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.332USD0.33152023-03-23
20221.10%USD 1.169USD0.51692022-12-21
USD0.34722022-09-22
USD0.18892022-06-22
USD0.11562022-03-22
20211.49%USD 1.578USD0.57772021-12-23
USD0.20612021-09-23
USD0.33072021-06-23
USD0.46362021-03-24
20201.28%USD 1.349USD0.61682020-12-23
USD0.30212020-09-28
USD0.30212020-06-26
USD0.1282020-03-25
20191.18%USD 1.254USD0.50492019-12-23
USD0.28452019-09-13
USD0.22512019-06-14
USD0.23922019-03-27
20181.20%USD 1.266USD0.37432018-12-18
USD0.35712018-09-25
USD0.28422018-06-27
USD0.24992018-03-23
20171.01%USD 1.073USD0.41172017-12-20
USD0.2192017-09-19
USD0.2152017-06-20
USD0.2272017-03-23
20161.00%USD 1.053USD0.4142016-12-21
USD0.2342016-09-12
USD0.1692016-06-20
USD0.2362016-03-18
20150.82%USD 0.869USD0.3042015-12-16
USD0.5362015-09-22
USD0.0292015-03-24
20140.84%USD 0.891USD0.8772014-12-19
USD0.0142014-03-24
20130.68%USD 0.72USD0.7022013-12-23
USD0.0182013-03-19
20120.72%USD 0.758USD0.74772012-12-21
USD0.012012-03-21
20110.43%USD 0.457USD0.44572011-12-22
USD0.0112011-03-22
20100.43%USD 0.455USD0.41672010-12-23
USD0.032010-04-30
USD0.0082010-03-22
20090.37%USD 0.388USD0.37362009-12-23
USD0.0142009-03-20
20080.44%USD 0.465USD0.45322008-12-23
USD0.0122008-03-11
20070.51%USD 0.536USD0.52712007-12-18
USD0.0092007-03-21
20060.49%USD 0.518USD0.42832006-12-21
USD0.05982006-03-17
USD0.032006-03-16
20050.37%USD 0.388USD0.3882005-12-23
20040.31%USD 0.333USD0.33322004-12-23
20030.23%USD 0.242USD0.23542003-12-22
USD0.0072003-03-28
20020.20%USD 0.21USD0.20952002-12-20
20010.99%USD 1.052USD0.24442001-12-21
USD0.8082001-03-23
20004.77%USD 5.042USD3.62282000-12-21
USD0.3122000-12-20
USD1.10722000-03-27