VANGUARD INFORMATION TECHNOLOGY INDEX FUND ADMIRAL SHARES(VITAX) USD 196.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.396USD0.39552023-03-23
20220.76%USD 1.49USD0.44652022-12-14
USD0.3922022-09-27
USD0.30422022-06-22
USD0.34682022-03-23
20210.76%USD 1.498USD0.42082021-12-15
USD0.45452021-09-28
USD0.29972021-06-23
USD0.32272021-03-25
20200.76%USD 1.493USD0.35372020-12-16
USD0.36292020-09-10
USD0.34572020-06-19
USD0.43112020-03-09
20190.71%USD 1.394USD0.33342019-12-13
USD0.42732019-09-25
USD0.32682019-06-20
USD0.30652019-03-20
20180.56%USD 1.106USD0.32852018-12-12
USD0.3332018-09-21
USD0.24982018-06-27
USD0.1952018-03-15
20170.43%USD 0.834USD0.22392017-12-13
USD0.2162017-09-26
USD0.2082017-06-27
USD0.1862017-03-23
20160.42%USD 0.815USD0.2222016-12-13
USD0.2062016-09-19
USD0.1792016-06-20
USD0.2082016-03-18
20150.36%USD 0.711USD0.2062015-12-22
USD0.5052015-09-22
20140.31%USD 0.601USD0.6012014-12-17
20130.24%USD 0.479USD0.4792013-12-19
20120.22%USD 0.434USD0.4342012-12-19
20110.13%USD 0.247USD0.2472011-12-20
20100.09%USD 0.185USD0.1852010-12-21
20090.06%USD 0.118USD0.1182009-12-21
20080.08%USD 0.156USD0.1562008-12-19
20070.04%USD 0.085USD0.0852007-12-13
20060.03%USD 0.06USD0.062006-12-15
20050.02%USD 0.038USD0.0382005-12-21
20040.16%USD 0.323USD0.3232004-12-21