VANGUARD INSTITUTIONAL TOTAL STOCK MARKET INDEX FUND INSTITUTIONAL PLUS SHARES(VITPX) USD 72.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.39USD0.390252023-03-22
20226.02%USD 4.343USD1.027862022-12-28
USD0.28162022-09-22
USD0.26712022-06-22
USD2.76632022-03-22
20216.58%USD 4.742USD3.97492021-12-29
USD0.26372021-09-23
USD0.25442021-06-23
USD0.2492021-03-24
202011.87%USD 8.558USD7.37142020-12-29
USD0.28062020-09-24
USD0.29242020-06-24
USD0.61342020-03-25
20192.77%USD 1.998USD0.96072019-12-23
USD0.30432019-09-13
USD0.22182019-06-26
USD0.51132019-03-27
20183.30%USD 2.378USD1.33732018-12-21
USD0.36682018-09-27
USD0.26192018-06-21
USD0.4122018-03-21
20171.99%USD 1.436USD0.6742017-12-22
USD0.2752017-09-21
USD0.2182017-06-27
USD0.26892017-03-28
20161.95%USD 1.409USD0.70912016-12-23
USD0.2562016-09-16
USD0.2122016-06-16
USD0.2322016-03-16
20151.47%USD 1.058USD0.2732015-12-18
USD0.2332015-09-18
USD0.1952015-06-19
USD0.3572015-03-26
20141.17%USD 0.843USD0.2612014-12-19
USD0.2092014-09-19
USD0.1812014-06-20
USD0.1922014-03-28
20131.02%USD 0.735USD0.2192013-12-26
USD0.1842013-09-26
USD0.1752013-06-27
USD0.1572013-03-27
20120.97%USD 0.7USD0.2372012-12-26
USD0.1622012-09-27
USD0.1542012-06-28
USD0.1472012-03-29
20110.74%USD 0.536USD0.1542011-12-27
USD0.1352011-09-29
USD0.1242011-06-29
USD0.1232011-03-30
20100.69%USD 0.501USD0.1462010-12-28
USD0.1272010-09-27
USD0.1212010-06-28
USD0.1072010-03-29
20090.68%USD 0.487USD0.1632009-12-28
USD0.1112009-09-28
USD0.12009-06-23
USD0.1132009-03-26
20080.77%USD 0.557USD0.1492008-12-26
USD0.1332008-09-25
USD0.142008-06-26
USD0.1352008-03-27
20070.77%USD 0.552USD0.1682007-12-21
USD0.1412007-09-21
USD0.1312007-06-22
USD0.1122007-03-23
20060.70%USD 0.506USD0.1522006-12-26
USD0.1112006-09-22
USD0.1212006-06-23
USD0.1222006-03-17
20050.56%USD 0.403USD0.0882005-12-21
USD0.1122005-09-23
USD0.1012005-06-24
USD0.1022005-03-23
20040.60%USD 0.432USD0.1762004-12-21
USD0.0922004-09-24
USD0.0822004-06-25
USD0.0822004-03-26
20030.47%USD 0.337USD0.1122003-12-23
USD0.0822003-09-26
USD0.0722003-06-20
USD0.0712003-03-28
20020.45%USD 0.327USD0.1122002-12-26
USD0.0812002-09-27
USD0.0622002-06-21
USD0.0722002-03-22
20010.21%USD 0.151USD0.0912001-12-26
USD0.052001-09-21
USD0.012001-06-22