VANGUARD LONG-TERM CORPORATE BOND INDEX FUND INSTITUTIONAL SHARES(VLCIX) USD 26.26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.75%USD 0.196USD0.09372023-02-28
USD0.10232023-01-31
20224.26%USD 1.118USD0.10062022-12-22
USD0.09812022-11-30
USD0.09552022-10-31
USD0.09452022-09-30
USD0.09482022-08-31
USD0.09382022-07-29
USD0.09042022-06-30
USD0.0972022-05-31
USD0.09182022-04-29
USD0.08512022-03-31
USD0.0812022-02-28
USD0.09492022-01-31
20214.12%USD 1.081USD0.09212021-12-22
USD0.08662021-11-30
USD0.08862021-10-29
USD0.09192021-09-30
USD0.08962021-08-31
USD0.09122021-07-30
USD0.09152021-06-30
USD0.09222021-05-28
USD0.08882021-04-30
USD0.0932021-03-31
USD0.08262021-02-26
USD0.09272021-01-29
20204.45%USD 1.169USD0.0932020-12-22
USD0.08922020-11-30
USD0.09552020-10-30
USD0.09042020-09-30
USD0.09292020-08-31
USD0.09662020-07-31
USD0.09042020-06-30
USD0.10282020-05-29
USD0.10092020-04-30
USD0.11452020-03-31
USD0.09542020-02-28
USD0.10782020-01-31
20194.90%USD 1.287USD0.10992019-12-20
USD0.10122019-11-29
USD0.10962019-10-31
USD0.10482019-09-30
USD0.11222019-08-30
USD0.11232019-07-31
USD0.10312019-06-28
USD0.11222019-05-31
USD0.1032019-04-30
USD0.11432019-03-29
USD0.09842019-02-28
USD0.10642019-01-31
20184.95%USD 1.299USD0.11852018-12-21
USD0.1062018-11-30
USD0.11312018-10-31
USD0.10662018-09-28
USD0.10312018-08-31
USD0.11112018-07-31
USD0.1022018-06-29
USD0.11362018-05-31
USD0.10342018-04-30
USD0.12142018-03-29
USD0.09812018-02-28
USD0.10232018-01-31
20174.89%USD 1.284USD0.11832017-12-22
USD0.1052017-11-30
USD0.1072017-10-31
USD0.1092017-09-29
USD0.1072017-08-31
USD0.1072017-07-31
USD0.1062017-06-30
USD0.1072017-05-31
USD0.1072017-04-28
USD0.1062017-03-31
USD0.1142017-02-28
USD0.0912017-01-31
20164.94%USD 1.296USD0.1172016-12-21
USD0.1092016-11-30
USD0.1052016-10-31
USD0.112016-09-30
USD0.1072016-08-31
USD0.1072016-07-29
USD0.1082016-06-30
USD0.1092016-05-31
USD0.1072016-04-29
USD0.1052016-03-31
USD0.1132016-02-29
USD0.0992016-01-29
20155.02%USD 1.319USD0.1232015-12-22
USD0.1082015-11-30
USD0.1092015-10-30
USD0.1112015-09-30
USD0.112015-08-31
USD0.1092015-07-31
USD0.1122015-06-30
USD0.1112015-05-29
USD0.1132015-04-30
USD0.1132015-03-31
USD0.1052015-02-27
USD0.0952015-01-30
20145.06%USD 1.33USD0.1142014-12-22
USD0.1072014-11-28
USD0.1072014-10-31
USD0.1142014-09-30
USD0.1122014-08-29
USD0.112014-07-31
USD0.1122014-06-30
USD0.1062014-05-30
USD0.1092014-04-30
USD0.1142014-03-31
USD0.1092014-02-28
USD0.1162014-01-31
20135.12%USD 1.344USD0.1112013-12-23
USD0.1122013-11-27
USD0.1052013-10-30
USD0.1132013-09-27
USD0.1182013-08-29
USD0.1122013-07-30
USD0.1092013-06-27
USD0.112013-05-30
USD0.1182013-04-29
USD0.1132013-03-27
USD0.1132013-02-27
USD0.112013-01-30
20125.37%USD 1.409USD0.1882012-12-21
USD0.1092012-11-29
USD0.112012-11-01
USD0.1122012-09-27
USD0.1092012-08-30
USD0.1112012-07-30
USD0.1132012-06-28
USD0.1132012-05-30
USD0.1182012-04-27
USD0.1162012-03-29
USD0.1012012-02-28
USD0.1092012-01-30
20115.06%USD 1.33USD0.1112011-12-22
USD0.1132011-11-29
USD0.1112011-10-28
USD0.1122011-09-29
USD0.1052011-08-30
USD0.1092011-07-28
USD0.0952011-06-29
USD0.1142011-05-27
USD0.1152011-04-28
USD0.1312011-03-30
USD0.1072011-02-25
USD0.1072011-01-28
20105.70%USD 1.496USD0.2012010-12-23
USD0.1222010-11-29
USD0.1212010-10-28
USD0.1322010-09-29
USD0.1032010-08-30
USD0.1122010-07-29
USD0.1172010-06-29
USD0.122010-05-27
USD0.1172010-04-29
USD0.1322010-03-30
USD0.112010-02-25
USD0.1092010-01-28
20090.64%USD 0.168USD0.1682009-12-23