VANGUARD TOTAL STOCK MARKET INDEX FUND INSTITUTIONAL SHARES(VITSX) USD 100.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.383USD0.38282023-03-22
20221.55%USD 1.55USD0.45312022-12-21
USD0.38732022-09-22
USD0.36472022-06-22
USD0.34522022-03-22
20211.42%USD 1.427USD0.41822021-12-23
USD0.35252021-09-23
USD0.32882021-06-23
USD0.3272021-03-24
20201.34%USD 1.348USD0.38042020-12-23
USD0.32812020-09-24
USD0.34062020-06-24
USD0.29882020-03-25
20191.41%USD 1.414USD0.43112019-12-23
USD0.34082019-09-13
USD0.26652019-06-14
USD0.37562019-03-22
20181.26%USD 1.269USD0.34942018-12-21
USD0.34812018-09-27
USD0.29452018-06-21
USD0.27652018-03-21
20171.14%USD 1.143USD0.32692017-12-20
USD0.272017-09-21
USD0.2812017-06-20
USD0.2652017-03-23
20161.08%USD 1.083USD0.3552016-12-19
USD0.2632016-09-12
USD0.232016-06-13
USD0.2352016-03-14
20151.01%USD 1.009USD0.2862015-12-18
USD0.2472015-09-24
USD0.2292015-06-25
USD0.2472015-03-24
20140.91%USD 0.913USD0.2742014-12-19
USD0.2272014-09-23
USD0.2052014-06-23
USD0.2072014-03-24
20130.81%USD 0.816USD0.2412013-12-19
USD0.2082013-09-20
USD0.1892013-06-21
USD0.1782013-03-21
20120.76%USD 0.762USD0.2652012-12-19
USD0.1782012-09-21
USD0.1682012-06-22
USD0.1512012-03-23
20110.60%USD 0.601USD0.1762011-12-20
USD0.1492011-09-22
USD0.1382011-06-23
USD0.1382011-03-24
20100.56%USD 0.565USD0.1722010-12-21
USD0.1452010-09-23
USD0.1322010-06-23
USD0.1162010-03-24
20090.54%USD 0.541USD0.1732009-12-21
USD0.1212009-09-23
USD0.112009-06-23
USD0.1372009-03-24
20080.62%USD 0.617USD0.1652008-12-19
USD0.1452008-09-23
USD0.1542008-06-23
USD0.1532008-03-24
20070.60%USD 0.599USD0.192007-12-19
USD0.1582007-09-21
USD0.1412007-06-22
USD0.112007-03-23
20060.56%USD 0.564USD0.1752006-12-21
USD0.1292006-09-22
USD0.1312006-06-23
USD0.1292006-03-17
20050.51%USD 0.511USD0.1642005-12-23
USD0.142005-09-23
USD0.0992005-06-24
USD0.1082005-03-23
20040.47%USD 0.475USD0.1922004-12-23
USD0.0972004-09-24
USD0.0982004-06-25
USD0.0882004-03-26
20030.35%USD 0.352USD0.1132003-12-22
USD0.0872003-09-26
USD0.0762003-06-20
USD0.0762003-03-28
20020.32%USD 0.319USD0.0982002-12-20
USD0.0772002-09-27
USD0.0672002-06-21
USD0.0772002-03-22
20010.33%USD 0.328USD0.0992001-12-21
USD0.082001-09-24
USD0.0712001-06-22
USD0.0782001-03-16
20000.68%USD 0.687USD0.1842000-12-26
USD0.1042000-12-20
USD0.0972000-09-25
USD0.0882000-06-23
USD0.1372000-03-27
USD0.0772000-03-24