VANGUARD WINDSOR II FUND ADMIRAL SHARES(VWNAX) USD 70.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.93%USD 4.867USD4.342612022-12-19
USD0.52432022-06-17
20219.22%USD 6.481USD5.99772021-12-20
USD0.48342021-06-18
20207.22%USD 5.074USD4.61762020-12-21
USD0.45652020-06-26
20199.33%USD 6.555USD5.85572019-12-17
USD0.69882019-06-14
20189.02%USD 6.336USD5.69272018-12-18
USD0.64332018-06-15
20178.09%USD 5.685USD5.01162017-12-18
USD0.6732017-06-20
20167.25%USD 5.092USD4.38012016-12-23
USD0.7122016-06-13
20156.81%USD 4.786USD4.0282015-12-16
USD0.7582015-06-19
20148.87%USD 6.237USD5.4032014-12-17
USD0.8342014-06-20
20133.94%USD 2.77USD2.1252013-12-17
USD0.6452013-06-27
20121.78%USD 1.25USD0.6852012-12-26
USD0.5652012-06-28
20111.56%USD 1.093USD0.5772011-12-27
USD0.5162011-06-29
20101.27%USD 0.893USD0.4432010-12-28
USD0.452010-06-28
20091.40%USD 0.985USD0.4752009-12-23
USD0.512009-06-25
20081.99%USD 1.399USD0.7162008-12-26
USD0.6832008-06-26
200710.86%USD 7.633USD6.9212007-12-17
USD0.7122007-06-22
20065.75%USD 4.041USD3.3572006-12-19
USD0.6842006-06-23
20054.01%USD 2.82USD2.222005-12-16
USD0.62005-06-24
20041.54%USD 1.082USD0.5772004-12-23
USD0.5052004-06-25
20031.41%USD 0.988USD0.5232003-12-19
USD0.4652003-06-20
20021.34%USD 0.94USD0.4952002-12-20
USD0.4452002-06-21
20011.22%USD 0.859USD0.8592001-12-14