VANGUARD PACIFIC STOCK INDEX FUND INSTITUTIONAL SHARES(VPKIX) USD 13.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.21%USD 0.028USD0.02762023-03-17
20222.57%USD 0.335USD0.19422022-12-16
USD0.02822022-09-16
USD0.10272022-06-17
USD0.00972022-03-18
20213.61%USD 0.47USD0.27812021-12-17
USD0.06872021-09-17
USD0.09342021-06-18
USD0.02952021-03-19
20202.09%USD 0.272USD0.16682020-12-18
USD0.05942020-09-18
USD0.04362020-06-19
USD0.00222020-03-20
20192.88%USD 0.375USD0.20212019-12-20
USD0.04962019-09-23
USD0.09912019-06-14
USD0.02392019-03-22
20182.70%USD 0.352USD0.1832018-12-21
USD0.04642018-09-25
USD0.09962018-06-21
USD0.02252018-03-23
20172.75%USD 0.358USD0.18262017-12-18
USD0.0562017-09-19
USD0.0932017-06-20
USD0.0262017-03-21
20162.26%USD 0.294USD0.1432016-12-19
USD0.0412016-09-12
USD0.0872016-06-13
USD0.0232016-03-14
20152.02%USD 0.263USD0.1182015-12-18
USD0.0382015-09-24
USD0.0852015-06-25
USD0.0222015-03-24
20142.25%USD 0.293USD0.122014-12-19
USD0.062014-09-23
USD0.092014-06-23
USD0.0232014-03-24
20132.24%USD 0.292USD0.1492013-12-19
USD0.0392013-09-20
USD0.0782013-06-21
USD0.0262013-03-21
20122.53%USD 0.329USD0.1842012-12-19
USD0.1452012-09-21
20112.33%USD 0.304USD0.3042011-12-20
20103.26%USD 0.424USD0.4242010-12-21
20092.07%USD 0.269USD0.2692009-12-23
20081.21%USD 0.158USD0.1582008-12-23
20072.44%USD 0.318USD0.3182007-12-21
20062.17%USD 0.283USD0.2832006-12-21
20051.35%USD 0.176USD0.1762005-12-23
20041.31%USD 0.17USD0.172004-12-23
20030.91%USD 0.118USD0.1182003-12-19
20020.58%USD 0.075USD0.0752002-12-20
20010.29%USD 0.038USD0.0382001-12-26
20001.01%USD 0.131USD0.1312000-12-27