VANGUARD INSTITUTIONAL INDEX FUND INSTITUTIONAL PLUS SHARES(VIIIX) USD 346.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.77%USD 2.655USD2.655152023-03-23
20223.14%USD 10.911USD4.82012022-12-28
USD1.41792022-09-22
USD1.33772022-06-22
USD3.33532022-03-22
20215.60%USD 19.423USD12.0472021-12-29
USD1.28362021-09-23
USD1.24422021-06-23
USD4.84792021-03-24
20202.94%USD 10.187USD4.84342020-12-29
USD1.2672020-09-28
USD1.36182020-06-26
USD2.71522020-03-25
20192.40%USD 8.311USD3.53622019-12-23
USD1.47192019-09-23
USD1.06482019-06-14
USD2.23822019-03-27
20181.61%USD 5.574USD2.03952018-12-18
USD1.3792018-09-21
USD1.14682018-06-15
USD1.00892018-03-15
20171.29%USD 4.479USD1.23662017-12-22
USD1.2142017-09-21
USD0.9842017-06-22
USD1.0442017-03-28
20161.40%USD 4.852USD1.86332016-12-23
USD1.0492016-09-16
USD0.9372016-06-16
USD1.0032016-03-16
20151.33%USD 4.607USD1.1272015-12-18
USD0.9752015-09-18
USD0.8922015-06-19
USD1.6132015-03-26
20141.03%USD 3.585USD1.0572014-12-19
USD0.92014-09-19
USD0.812014-06-20
USD0.8182014-03-28
20130.73%USD 2.548USD0.92013-12-26
USD0.7922013-09-26
USD0.7882013-06-27
USD0.06782013-03-27
20120.82%USD 2.855USD0.9222012-12-26
USD0.7182012-09-27
USD0.6382012-06-28
USD0.5772012-03-29
20110.69%USD 2.386USD0.6842011-12-27
USD0.5952011-09-29
USD0.5632011-06-29
USD0.5442011-03-30
20100.62%USD 2.145USD0.5942010-12-28
USD0.5642010-09-27
USD0.5222010-06-28
USD0.4652010-03-29
20090.64%USD 2.23USD0.7212009-12-28
USD0.512009-09-28
USD0.4612009-06-23
USD0.5382009-03-26
20080.73%USD 2.55USD0.6722008-12-26
USD0.6642008-09-25
USD0.5962008-06-26
USD0.6182008-03-27
20070.75%USD 2.595USD0.7592007-12-21
USD0.6482007-09-21
USD0.6092007-06-22
USD0.5792007-03-23
20060.65%USD 2.269USD0.6772006-12-26
USD0.5472006-09-22
USD0.5292006-06-23
USD0.5162006-03-17
20050.60%USD 2.078USD0.6082005-12-28
USD0.5672005-09-23
USD0.4462005-06-24
USD0.4572005-03-23
20040.59%USD 2.046USD0.8372004-12-21
USD0.4462004-09-24
USD0.3762004-06-25
USD0.3872004-03-26
20030.45%USD 1.552USD0.4862003-12-23
USD0.3862003-09-26
USD0.3352003-06-20
USD0.3452003-03-28
20020.41%USD 1.432USD0.4142002-12-26
USD0.3762002-09-27
USD0.3252002-06-21
USD0.3172002-03-22
20010.41%USD 1.406USD0.4062001-12-26
USD0.3622001-09-21
USD0.312001-06-22
USD0.3282001-03-16
20000.42%USD 1.447USD0.3932000-12-26
USD0.3522000-09-25
USD0.3512000-06-26
USD0.3512000-03-27