VANGUARD GROWTH INDEX FUND ADMIRAL SHARES(VIGAX) USD 128.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.17%USD 0.218USD0.2182023-03-22
20220.59%USD 0.758USD0.2282022-12-21
USD0.21782022-09-22
USD0.16152022-06-22
USD0.15092022-03-22
20210.61%USD 0.778USD0.23752021-12-23
USD0.1592021-09-23
USD0.18872021-06-23
USD0.19272021-03-24
20200.67%USD 0.856USD0.23412020-12-23
USD0.20642020-09-24
USD0.21332020-06-24
USD0.20242020-03-25
20190.69%USD 0.885USD0.25882019-12-23
USD0.19612019-09-13
USD0.21032019-06-26
USD0.21982019-03-27
20180.71%USD 0.907USD0.26552018-12-21
USD0.24062018-09-27
USD0.21582018-06-21
USD0.18472018-03-21
20170.64%USD 0.828USD0.24362017-12-20
USD0.2122017-09-21
USD0.1762017-06-22
USD0.1962017-03-23
20160.62%USD 0.796USD0.2712016-12-21
USD0.1942016-09-12
USD0.1662016-06-13
USD0.1652016-03-18
20150.56%USD 0.715USD0.2132015-12-16
USD0.1782015-09-18
USD0.1532015-06-19
USD0.1712015-03-24
20140.51%USD 0.649USD0.2082014-12-19
USD0.1572014-09-23
USD0.1422014-06-23
USD0.1422014-03-24
20130.44%USD 0.571USD0.1792013-12-23
USD0.1432013-09-20
USD0.1332013-06-21
USD0.1162013-03-21
20120.43%USD 0.552USD0.2182012-12-21
USD0.1272012-09-21
USD0.1082012-06-22
USD0.0992012-03-23
20110.93%USD 1.195USD0.1172011-12-22
USD0.892011-09-22
USD0.12011-06-23
USD0.0882011-03-24
20100.28%USD 0.359USD0.1022010-12-23
USD0.1042010-09-23
USD0.0782010-06-23
USD0.0752010-03-24
20090.25%USD 0.315USD0.0922009-12-21
USD0.0732009-09-23
USD0.0742009-06-23
USD0.0762009-03-24
20080.23%USD 0.295USD0.0852008-12-19
USD0.0712008-09-23
USD0.0712008-06-23
USD0.0682008-03-24
20070.24%USD 0.308USD0.082007-12-19
USD0.082007-09-21
USD0.082007-06-22
USD0.0682007-03-23
20060.21%USD 0.27USD0.0782006-12-21
USD0.0572006-09-22
USD0.0592006-06-23
USD0.0762006-03-17
20050.18%USD 0.235USD0.0732005-12-23
USD0.0582005-09-23
USD0.0472005-06-24
USD0.0572005-03-23
20040.25%USD 0.32USD0.1922004-12-23
USD0.0472004-09-24
USD0.0362004-06-25
USD0.0452004-03-26
20030.15%USD 0.195USD0.0422003-12-26
USD0.0352003-09-26
USD0.0442003-06-20
USD0.0742003-03-28
20020.19%USD 0.242USD0.0712002-12-27
USD0.0642002-09-27
USD0.0542002-06-21
USD0.0532002-03-22
20010.16%USD 0.2USD0.0762001-12-28
USD0.0482001-09-21
USD0.0332001-06-22
USD0.0432001-03-16
20000.03%USD 0.038USD0.0382000-12-26