VANGUARD WINDSOR FUND ADMIRAL SHARES(VWNEX) USD 71.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202214.74%USD 10.586USD10.03192022-12-19
USD0.55422022-06-17
202113.14%USD 9.438USD8.7372021-12-20
USD0.70112021-06-18
20208.42%USD 6.044USD5.40342020-12-21
USD0.64092020-06-26
201910.43%USD 7.49USD6.86642019-12-17
USD0.62312019-06-14
201811.34%USD 8.146USD7.47562018-12-18
USD0.67062018-06-15
20174.87%USD 3.497USD2.86612017-12-18
USD0.6312017-06-20
20164.81%USD 3.457USD2.91352016-12-23
USD0.5432016-06-13
20157.75%USD 5.566USD4.872015-12-16
USD0.6962015-06-19
20146.00%USD 4.31USD3.7872014-12-17
USD0.5232014-06-20
20131.02%USD 0.731USD0.4472013-12-26
USD0.2842013-06-27
20121.51%USD 1.082USD0.6292012-12-26
USD0.4532012-06-28
20111.04%USD 0.745USD0.4112011-12-27
USD0.3342011-06-29
20100.76%USD 0.549USD0.2812010-12-28
USD0.2682010-06-28
20091.06%USD 0.759USD0.4052009-12-23
USD0.3542009-06-25
20081.35%USD 0.971USD0.4372008-12-26
USD0.5342008-06-26
200710.94%USD 7.857USD7.3112007-12-17
USD0.5462007-06-22
20068.60%USD 6.174USD5.6982006-12-19
USD0.4762006-06-23
20058.67%USD 6.224USD5.7542005-12-16
USD0.472005-06-24
20041.72%USD 1.234USD0.8342004-12-17
USD0.42004-06-25
20030.85%USD 0.612USD0.3192003-12-19
USD0.2932003-06-20
20020.84%USD 0.606USD0.3192002-12-20
USD0.2872002-06-21
20011.20%USD 0.859USD0.8592001-12-14