VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND ADMIRAL SHARES(VTIAX) USD 30.34
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.062USD0.06192023-03-17
20222.79%USD 0.848USD0.33562022-12-16
USD0.1482022-09-16
USD0.31372022-06-17
USD0.05072022-03-18
20213.44%USD 1.044USD0.50182021-12-17
USD0.18712021-09-17
USD0.27412021-06-18
USD0.08092021-03-19
20202.25%USD 0.682USD0.31422020-12-18
USD0.17962020-09-18
USD0.13372020-06-19
USD0.05452020-03-20
20192.99%USD 0.908USD0.33512019-12-20
USD0.15872019-09-23
USD0.32622019-06-20
USD0.08772019-03-22
20182.64%USD 0.802USD0.26262018-12-21
USD0.14432018-09-25
USD0.31872018-06-21
USD0.07652018-03-23
20172.75%USD 0.835USD0.28962017-12-20
USD0.162017-09-19
USD0.2992017-06-20
USD0.0862017-03-23
20162.38%USD 0.722USD0.2092016-12-19
USD0.1482016-09-12
USD0.2882016-06-13
USD0.0772016-03-14
20152.27%USD 0.688USD0.1892015-12-18
USD0.1212015-09-24
USD0.2942015-06-25
USD0.0842015-03-24
20142.92%USD 0.885USD0.2152014-12-19
USD0.1472014-09-23
USD0.3252014-06-23
USD0.1982014-03-24
20132.50%USD 0.758USD0.2462013-12-19
USD0.1232013-09-20
USD0.3232013-06-21
USD0.0662013-03-21
20122.46%USD 0.746USD0.342012-12-19
USD0.4062012-09-21
20112.22%USD 0.675USD0.6752011-12-20
20101.37%USD 0.417USD0.4172010-12-29