VANGUARD WELLINGTON FUND ADMIRAL SHARES(VWENX) USD 68.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.36USD0.362023-03-17
20227.97%USD 5.49USD4.408032022-12-28
USD0.36452022-09-16
USD0.37642022-06-17
USD0.34092022-03-18
202110.61%USD 7.309USD6.12532021-12-29
USD0.32642021-09-17
USD0.35082021-06-18
USD0.50682021-03-19
20208.72%USD 6.012USD4.75062020-12-29
USD0.37962020-09-18
USD0.40352020-06-19
USD0.47782020-03-20
20195.16%USD 3.554USD2.13312019-12-27
USD0.47292019-09-23
USD0.49042019-06-14
USD0.45792019-03-20
20188.91%USD 6.141USD4.69162018-12-18
USD0.48852018-09-21
USD0.54112018-06-15
USD0.422018-03-15
20176.90%USD 4.753USD3.40122017-12-22
USD0.4422017-09-21
USD0.4852017-06-22
USD0.4252017-03-28
20164.43%USD 3.052USD1.75442016-12-23
USD0.4392016-09-16
USD0.4542016-06-16
USD0.4052016-03-16
20156.07%USD 4.183USD2.9082015-12-24
USD0.4332015-09-18
USD0.4332015-06-19
USD0.4092015-03-26
20146.35%USD 4.375USD3.0952014-12-26
USD0.4322014-09-19
USD0.4172014-06-20
USD0.4312014-03-28
20136.31%USD 4.346USD3.1262013-12-26
USD0.4112013-09-26
USD0.4282013-06-27
USD0.3812013-03-27
20123.59%USD 2.473USD1.2452012-12-28
USD0.42012-09-27
USD0.4252012-06-28
USD0.4032012-03-29
20112.43%USD 1.675USD0.4592011-12-27
USD0.4222011-09-29
USD0.4312011-06-29
USD0.3632011-03-30
20102.19%USD 1.511USD0.3892010-12-28
USD0.372010-09-27
USD0.4072010-06-28
USD0.3452010-03-29
20092.32%USD 1.6USD0.4382009-12-28
USD0.372009-09-28
USD0.4282009-06-25
USD0.3642009-03-26
20082.68%USD 1.849USD0.4862008-12-26
USD0.4462008-09-25
USD0.5032008-06-26
USD0.4142008-03-27
20076.37%USD 4.391USD3.0472007-12-27
USD0.4652007-09-21
USD0.4812007-06-22
USD0.3982007-03-23
20066.07%USD 4.182USD2.9222006-12-26
USD0.4322006-09-22
USD0.4482006-06-23
USD0.382006-03-24
20054.81%USD 3.314USD2.1872005-12-28
USD0.3852005-09-23
USD0.3812005-06-24
USD0.3612005-03-23
20044.57%USD 3.15USD2.0632004-12-23
USD0.382004-09-24
USD0.3792004-06-25
USD0.3282004-03-26
20032.00%USD 1.378USD0.3852003-12-19
USD0.3412003-09-26
USD0.3262003-06-20
USD0.3262003-03-28
20022.18%USD 1.5USD0.3932002-12-20
USD0.3732002-09-27
USD0.3772002-06-21
USD0.3572002-03-22
20013.25%USD 2.238USD1.4232001-12-21
USD0.4152001-09-21
USD0.42001-06-22