VANGUARD UTILITIES INDEX FUND ADMIRAL SHARES(VUIAX) USD 75.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.76%USD 0.574USD0.57362023-03-23
20223.06%USD 2.297USD0.59962022-12-14
USD0.64362022-09-27
USD0.54612022-06-22
USD0.50732022-03-23
20212.82%USD 2.119USD0.53332021-12-15
USD0.5962021-09-28
USD0.50852021-06-18
USD0.48092021-03-25
20202.90%USD 2.182USD0.6672020-12-16
USD0.44482020-09-10
USD0.63082020-06-19
USD0.43932020-03-09
20192.69%USD 2.025USD0.51312019-12-13
USD0.54592019-09-25
USD0.49232019-06-20
USD0.47392019-03-20
20182.54%USD 1.91USD0.51072018-12-12
USD0.46872018-09-21
USD0.50972018-06-27
USD0.42082018-03-15
20172.48%USD 1.86USD0.46932017-12-13
USD0.4842017-09-26
USD0.442017-06-27
USD0.4672017-03-23
20162.28%USD 1.711USD0.4722016-12-13
USD0.4622016-09-19
USD0.4192016-06-20
USD0.3582016-03-18
20152.28%USD 1.714USD0.4412015-12-16
USD0.4392015-09-24
USD0.4212015-06-25
USD0.4132015-03-20
20142.06%USD 1.55USD0.4142014-12-17
USD0.3972014-09-19
USD0.3732014-06-20
USD0.3662014-03-21
20132.09%USD 1.573USD0.4142013-12-19
USD0.4022013-09-20
USD0.3942013-06-21
USD0.3632013-03-21
20122.01%USD 1.512USD0.4042012-12-19
USD0.3962012-09-21
USD0.3562012-06-22
USD0.3562012-03-23
20111.78%USD 1.334USD0.3462011-12-20
USD0.3432011-09-22
USD0.3332011-06-23
USD0.3122011-03-24
20101.70%USD 1.277USD0.362010-12-21
USD0.3222010-09-23
USD0.312010-06-23
USD0.2852010-03-24
20091.64%USD 1.229USD0.3082009-12-21
USD0.3022009-09-23
USD0.3092009-06-23
USD0.312009-03-24
20081.55%USD 1.168USD0.3242008-12-19
USD0.3082008-09-23
USD0.2582008-06-23
USD0.2782008-03-24
20071.44%USD 1.08USD0.32007-12-13
USD0.292007-09-21
USD0.252007-06-22
USD0.242007-03-23
20061.45%USD 1.089USD0.2792006-12-15
USD0.272006-09-22
USD0.32006-06-23
USD0.242006-03-17
20051.27%USD 0.958USD0.2782005-12-21
USD0.22005-09-23
USD0.272005-06-24
USD0.212005-03-23
20041.04%USD 0.785USD0.7852004-12-21