VANGUARD MID-CAP VALUE INDEX FUND ADMIRAL SHARES(VMVAX) USD 70.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.36USD0.35952023-03-22
20222.27%USD 1.593USD0.57132022-12-21
USD0.36462022-09-22
USD0.30162022-06-22
USD0.3552022-03-22
20211.98%USD 1.384USD0.44332021-12-23
USD0.29722021-09-23
USD0.35722021-06-23
USD0.28622021-03-24
20202.08%USD 1.456USD0.38772020-12-23
USD0.32812020-09-24
USD0.33652020-06-24
USD0.40372020-03-09
20191.81%USD 1.265USD0.43732019-12-23
USD0.2442019-09-13
USD0.31392019-06-26
USD0.27022019-03-27
20181.94%USD 1.356USD0.41112018-12-21
USD0.40462018-09-27
USD0.27262018-06-21
USD0.26732018-03-21
20171.53%USD 1.073USD0.34922017-12-20
USD0.252017-09-19
USD0.242017-06-20
USD0.2342017-03-23
20161.38%USD 0.963USD0.3182016-12-21
USD0.2552016-09-19
USD0.232016-06-13
USD0.162016-03-14
20151.30%USD 0.909USD0.2782015-12-22
USD0.6182015-09-22
USD0.0132015-03-24
20141.11%USD 0.774USD0.7642014-12-19
USD0.012014-03-24
20130.91%USD 0.634USD0.6252013-12-23
USD0.0092013-03-19
20120.84%USD 0.59USD0.58682012-12-21
USD0.0032012-03-21
20110.79%USD 0.552USD0.55182011-12-22