VANGUARD MID-CAP INDEX FUND INSTITUTIONAL SHARES(VMCIX) USD 57.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.208USD0.20812023-03-22
20221.54%USD 0.894USD0.30672022-12-21
USD0.22022022-09-22
USD0.16142022-06-22
USD0.20522022-03-22
20211.35%USD 0.783USD0.25172021-12-23
USD0.16932021-09-23
USD0.18922021-06-23
USD0.17262021-03-24
20201.42%USD 0.82USD0.25652020-12-23
USD0.18132020-09-24
USD0.18052020-06-24
USD0.20122020-03-09
20191.25%USD 0.724USD0.27122019-12-23
USD0.1472019-09-13
USD0.15622019-06-26
USD0.14912019-03-27
20181.19%USD 0.69USD0.18622018-12-21
USD0.20752018-09-27
USD0.15472018-06-21
USD0.14192018-03-21
20170.99%USD 0.575USD0.17822017-12-20
USD0.142017-09-26
USD0.132017-06-22
USD0.1272017-03-28
20160.91%USD 0.524USD0.1782016-12-21
USD0.142016-09-19
USD0.1282016-06-13
USD0.0782016-03-14
20150.84%USD 0.485USD0.1662015-12-22
USD0.3122015-09-22
USD0.0072015-03-24
20140.75%USD 0.436USD0.4312014-12-19
USD0.0052014-03-24
20130.61%USD 0.355USD0.352013-12-23
USD0.0052013-03-19
20120.56%USD 0.322USD0.31992012-12-21
USD0.0022012-03-21
20110.47%USD 0.272USD0.26892011-12-22
USD0.0032011-03-22
20100.43%USD 0.249USD0.24592010-12-23
USD0.0032010-03-22
20090.35%USD 0.205USD0.19592009-12-23
USD0.0092009-03-20
20080.44%USD 0.257USD0.25162008-12-23
USD0.0052008-03-11
20070.52%USD 0.303USD0.29262007-12-19
USD0.012007-03-21
20060.47%USD 0.275USD0.27452006-12-21
20050.36%USD 0.211USD0.21062005-12-23
20040.31%USD 0.18USD0.17972004-12-23
20030.24%USD 0.137USD0.13682003-12-26
20020.41%USD 0.235USD0.15272002-12-27
USD0.08192002-03-15
20010.57%USD 0.33USD0.12082001-12-28
USD0.20962001-03-23
20001.83%USD 1.056USD0.90652000-12-21
USD0.14972000-03-27