VANGUARD INDUSTRIALS INDEX FUND ADMIRAL SHARES(VINAX) USD 97.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.311USD0.31082023-03-23
20221.45%USD 1.419USD0.42492022-12-14
USD0.37152022-09-27
USD0.3192022-06-22
USD0.30392022-03-23
20211.19%USD 1.159USD0.31232021-12-15
USD0.32882021-09-28
USD0.25812021-06-23
USD0.25962021-03-25
20201.24%USD 1.211USD0.332020-12-16
USD0.28432020-09-10
USD0.25892020-06-19
USD0.33752020-03-09
20191.36%USD 1.332USD0.35132019-12-13
USD0.36892019-09-25
USD0.25942019-06-20
USD0.35252019-03-20
20181.21%USD 1.178USD0.33272018-12-12
USD0.30472018-09-21
USD0.28582018-06-27
USD0.25452018-03-15
20171.20%USD 1.173USD0.3172017-12-13
USD0.3022017-09-26
USD0.2742017-06-27
USD0.282017-03-23
20161.14%USD 1.112USD0.3122016-12-13
USD0.2922016-09-19
USD0.2492016-06-20
USD0.2592016-03-18
20151.03%USD 1.004USD0.2792015-12-22
USD0.7252015-09-22
20140.88%USD 0.861USD0.8612014-12-17
20130.55%USD 0.542USD0.5422013-12-19
20120.78%USD 0.762USD0.7622012-12-19
20110.64%USD 0.627USD0.6272011-12-20
20100.45%USD 0.439USD0.4392010-12-21
20090.35%USD 0.345USD0.3452009-12-21
20080.57%USD 0.557USD0.5572008-12-19
20070.51%USD 0.5USD0.52007-12-13
20060.39%USD 0.38USD0.382006-12-15
20050.24%USD 0.23USD0.232005-12-21