Vanguard Windsor II Fund(VWNFX) USD 39.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.84%USD 2.709USD2.431192022-12-19
USD0.27742022-06-17
20219.12%USD 3.613USD3.35812021-12-20
USD0.2552021-06-18
20207.15%USD 2.831USD2.58782020-12-21
USD0.24352020-06-26
20199.25%USD 3.665USD3.28432019-12-17
USD0.38022019-06-14
20188.94%USD 3.54USD3.19292018-12-18
USD0.34682018-06-15
20178.01%USD 3.172USD2.80652017-12-18
USD0.3652017-06-20
20168.39%USD 3.325USD0.4862016-12-23
USD2.4522016-12-22
USD0.3872016-06-13
20156.74%USD 2.668USD2.2562015-12-16
USD0.4122015-06-19
20148.79%USD 3.481USD3.0282014-12-17
USD0.4532014-06-20
20133.87%USD 1.531USD1.1822013-12-17
USD0.3492013-06-27
20121.71%USD 0.679USD0.3732012-12-26
USD0.3062012-06-28
20111.50%USD 0.594USD0.3152011-12-27
USD0.2792011-06-29
20101.22%USD 0.485USD0.2442010-12-28
USD0.2412010-06-28
20091.35%USD 0.534USD0.2552009-12-23
USD0.2792009-06-25
20081.92%USD 0.76USD0.3912008-12-26
USD0.3692008-06-26
200710.76%USD 4.264USD3.8842007-12-17
USD0.382007-06-22
20065.65%USD 2.238USD1.8682006-12-19
USD0.372006-06-23
20053.91%USD 1.548USD1.2282005-12-16
USD0.322005-06-24
20041.46%USD 0.58USD0.312004-12-23
USD0.272004-06-25
20031.34%USD 0.53USD0.282003-12-19
USD0.252003-06-20
20021.29%USD 0.51USD0.272002-12-20
USD0.242002-06-21
20012.01%USD 0.798USD0.282001-12-21
USD0.2532001-12-14
USD0.2652001-06-22
20005.48%USD 2.17USD1.562000-12-18
USD0.322000-12-15
USD0.292000-06-26