Vanguard Wellesley Income Fund(VWINX) USD 24.79
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.79%USD 0.197USD0.1972023-03-17
20227.57%USD 1.877USD1.321252022-12-19
USD0.1932022-09-16
USD0.19272022-06-17
USD0.16982022-03-22
20217.05%USD 1.747USD1.22472021-12-20
USD0.18732021-09-17
USD0.14972021-06-18
USD0.18512021-03-24
20204.91%USD 1.217USD0.6582020-12-21
USD0.18462020-09-28
USD0.1862020-06-26
USD0.18872020-03-20
20194.34%USD 1.075USD0.51132019-12-17
USD0.18932019-09-13
USD0.18542019-06-14
USD0.18912019-03-20
20187.45%USD 1.848USD1.27582018-12-18
USD0.20022018-09-21
USD0.20272018-06-15
USD0.16892018-03-15
20174.35%USD 1.078USD0.52352017-12-18
USD0.1942017-09-21
USD0.192017-06-22
USD0.172017-03-28
20164.11%USD 1.019USD0.49462016-12-23
USD0.1752016-09-16
USD0.1872016-06-16
USD0.1622016-03-16
20155.53%USD 1.372USD0.8312015-12-16
USD0.1882015-09-18
USD0.182015-06-19
USD0.1732015-03-26
20145.08%USD 1.259USD0.6722014-12-17
USD0.1842014-09-19
USD0.1812014-06-20
USD0.2222014-03-28
20135.80%USD 1.438USD0.8852013-12-17
USD0.1822013-09-26
USD0.1992013-06-27
USD0.1722013-03-27
20124.45%USD 1.103USD0.5372012-12-17
USD0.182012-09-27
USD0.1972012-06-28
USD0.1892012-03-29
20113.32%USD 0.822USD0.2192011-12-16
USD0.2042011-09-29
USD0.2072011-06-29
USD0.1922011-03-30
20103.24%USD 0.803USD0.222010-12-16
USD0.1942010-09-27
USD0.2012010-06-28
USD0.1882010-03-29
20093.59%USD 0.89USD0.2382009-12-21
USD0.22009-09-28
USD0.2192009-06-25
USD0.2332009-03-26
20085.27%USD 1.307USD0.5852008-12-16
USD0.242008-09-25
USD0.2522008-06-26
USD0.232008-03-27
20074.83%USD 1.198USD0.5382007-12-13
USD0.232007-09-21
USD0.232007-06-22
USD0.22007-03-23
20065.44%USD 1.349USD0.69862006-12-15
USD0.232006-09-22
USD0.222006-06-23
USD0.22006-03-24
20055.05%USD 1.252USD0.6372005-12-16
USD0.2152005-09-23
USD0.212005-06-24
USD0.192005-03-23
20043.54%USD 0.878USD0.2782004-12-17
USD0.212004-09-24
USD0.212004-06-25
USD0.182004-03-26
20033.51%USD 0.87USD0.2552003-12-12
USD0.2152003-09-26
USD0.22003-06-20
USD0.22003-03-28
20023.67%USD 0.91USD0.242002-12-13
USD0.222002-09-27
USD0.232002-06-21
USD0.222002-03-22
20017.53%USD 1.867USD0.9972001-12-14
USD0.2352001-09-21
USD0.2352001-06-22
USD0.42001-03-23
20006.98%USD 1.73USD0.672000-12-28
USD0.272000-12-27
USD0.262000-09-25
USD0.262000-06-26
USD0.272000-03-27