VANGUARD VALUE INDEX FUND INSTITUTIONAL SHARES(VIVIX) USD 55.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.58%USD 0.321USD0.32052023-03-22
20222.50%USD 1.378USD0.4062022-12-21
USD0.3372022-09-22
USD0.32582022-06-22
USD0.30892022-03-22
20212.23%USD 1.231USD0.35222021-12-23
USD0.31412021-09-23
USD0.28932021-06-23
USD0.27542021-03-24
20202.15%USD 1.185USD0.30772020-12-23
USD0.27912020-09-24
USD0.3022020-06-24
USD0.29652020-03-25
20192.12%USD 1.17USD0.35452019-12-23
USD0.25652019-09-13
USD0.27252019-06-26
USD0.28632019-03-27
20181.89%USD 1.043USD0.27432018-12-21
USD0.28632018-09-27
USD0.24592018-06-21
USD0.23612018-03-21
20171.73%USD 0.954USD0.25322017-12-20
USD0.2642017-09-21
USD0.2182017-06-22
USD0.2192017-03-23
20161.62%USD 0.89USD0.2722016-12-21
USD0.2192016-09-12
USD0.1892016-06-13
USD0.212016-03-18
20151.51%USD 0.831USD0.232015-12-18
USD0.2052015-09-18
USD0.22015-06-19
USD0.1962015-03-24
20141.33%USD 0.733USD0.2012014-12-19
USD0.1862014-09-23
USD0.1782014-06-23
USD0.1682014-03-24
20131.20%USD 0.662USD0.1932013-12-23
USD0.1632013-09-20
USD0.1532013-06-21
USD0.1532013-03-21
20121.15%USD 0.631USD0.1922012-12-21
USD0.1522012-09-21
USD0.1522012-06-22
USD0.1352012-03-23
20111.00%USD 0.551USD0.162011-12-22
USD0.142011-09-22
USD0.1262011-06-23
USD0.1252011-03-24
20100.90%USD 0.498USD0.142010-12-23
USD0.1292010-09-23
USD0.1222010-06-23
USD0.1072010-03-24
20090.98%USD 0.539USD0.1632009-12-21
USD0.122009-09-23
USD0.1072009-06-23
USD0.1492009-03-24
20081.25%USD 0.686USD0.1692008-12-19
USD0.182008-09-23
USD0.1642008-06-23
USD0.1732008-03-24
20071.30%USD 0.718USD0.2212007-12-19
USD0.1792007-09-21
USD0.1492007-06-22
USD0.1692007-03-23
20061.13%USD 0.623USD0.22006-12-21
USD0.1482006-09-22
USD0.1292006-06-23
USD0.1462006-03-17
20051.06%USD 0.584USD0.1832005-12-23
USD0.1572005-09-23
USD0.1272005-06-24
USD0.1172005-03-23
20040.88%USD 0.484USD0.1562004-12-23
USD0.1162004-09-24
USD0.1062004-06-25
USD0.1062004-03-26
20030.72%USD 0.394USD0.1382003-12-26
USD0.1162003-09-26
USD0.0652003-06-20
USD0.0752003-03-28
20020.61%USD 0.334USD0.12002-12-27
USD0.0852002-09-27
USD0.0752002-06-21
USD0.0742002-03-22
20012.35%USD 1.295USD0.1772001-12-21
USD0.0852001-09-21
USD0.0872001-06-22
USD0.9462001-03-16
20002.47%USD 1.36USD0.6732000-12-26
USD0.0972000-09-25
USD0.0952000-06-26
USD0.4952000-03-27