VANGUARD DEVELOPED MARKETS INDEX FUND ADMIRAL SHARES(VTMGX) USD 14.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.051USD0.05062023-03-17
20222.62%USD 0.39USD0.15672022-12-16
USD0.03782022-09-16
USD0.16962022-06-17
USD0.02592022-03-18
20213.46%USD 0.515USD0.24632021-12-17
USD0.06352021-09-17
USD0.13212021-06-18
USD0.07352021-03-19
20202.06%USD 0.308USD0.13262020-12-18
USD0.07032020-09-18
USD0.06322020-06-19
USD0.04162020-03-20
20192.87%USD 0.428USD0.14082019-12-20
USD0.08782019-09-23
USD0.14412019-06-14
USD0.05542019-03-27
20182.67%USD 0.398USD0.12162018-12-21
USD0.05092018-09-25
USD0.17362018-06-21
USD0.05192018-03-23
20172.68%USD 0.4USD0.13862017-12-20
USD0.0582017-09-19
USD0.1552017-06-20
USD0.0482017-03-23
20162.41%USD 0.359USD0.0972016-12-21
USD0.0562016-09-12
USD0.1552016-06-13
USD0.0512016-03-14
20152.31%USD 0.344USD0.072015-12-18
USD0.0512015-09-24
USD0.1652015-06-25
USD0.0582015-03-24
20143.02%USD 0.45USD0.0772014-12-19
USD0.0692014-09-23
USD0.1652014-06-23
USD0.1392014-03-24
20132.33%USD 0.348USD0.0682013-12-19
USD0.0532013-09-20
USD0.1752013-06-21
USD0.0522013-03-21
20122.25%USD 0.336USD0.1112012-12-19
USD0.2212012-09-21
USD0.0042012-03-21
20112.27%USD 0.338USD0.33492011-12-20
USD0.0032011-03-22
20101.89%USD 0.282USD0.27882010-12-21
USD0.0032010-03-22
20091.72%USD 0.257USD0.25082009-12-23
USD0.0062009-03-20
20081.93%USD 0.289USD0.28352008-12-23
USD0.0052008-03-11
20072.25%USD 0.335USD0.33042007-12-21
USD0.0052007-03-21
20062.25%USD 0.335USD0.33142006-12-28
USD0.0042006-03-24
20051.72%USD 0.257USD0.25462005-12-28
USD0.0022005-03-18
20041.35%USD 0.202USD0.19972004-12-29
USD0.0022004-03-19
20031.02%USD 0.153USD0.15272003-12-26
20020.94%USD 0.14USD0.13982002-12-27
20010.84%USD 0.125USD0.12482001-12-28
20000.74%USD 0.11USD0.10982000-12-27