VANGUARD REIT INDEX FUND INVESTOR SHARES(VGSIX) USD 27.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.89%USD 0.245USD0.24492023-03-23
20223.74%USD 1.028USD0.37652022-12-21
USD0.29232022-09-22
USD0.17932022-06-22
USD0.17962022-03-22
20213.41%USD 0.937USD0.33672021-12-23
USD0.20532021-09-23
USD0.23062021-06-23
USD0.16462021-03-24
20203.89%USD 1.068USD0.43482020-12-23
USD0.18662020-09-24
USD0.24132020-06-24
USD0.20512020-03-09
20193.64%USD 1USD0.30792019-12-17
USD0.23672019-09-23
USD0.26192019-06-26
USD0.19332019-03-27
20184.13%USD 1.136USD0.3072018-12-12
USD0.36932018-09-21
USD0.23472018-06-15
USD0.22522018-03-23
20174.10%USD 1.127USD0.40982017-12-20
USD0.2732017-09-21
USD0.2562017-06-22
USD0.1882017-03-21
20164.66%USD 1.28USD0.5522016-12-21
USD0.1892016-09-12
USD0.2432016-06-20
USD0.2962016-03-18
20153.64%USD 1USD0.3562015-12-22
USD0.2412015-09-22
USD0.2432015-06-25
USD0.162015-03-24
20143.40%USD 0.935USD0.3572014-12-19
USD0.2132014-09-23
USD0.2232014-06-23
USD0.1422014-03-24
20133.25%USD 0.894USD0.3262013-12-23
USD0.1972013-09-20
USD0.2012013-06-21
USD0.172013-03-21
20122.72%USD 0.747USD0.2562012-12-21
USD0.1672012-09-21
USD0.1652012-06-22
USD0.1592012-03-23
20112.38%USD 0.654USD0.2072011-12-22
USD0.1582011-09-22
USD0.1592011-06-23
USD0.132011-03-24
20102.19%USD 0.603USD0.1892010-12-23
USD0.1482010-09-23
USD0.1482010-06-23
USD0.1182010-03-24
20092.33%USD 0.639USD0.192009-12-23
USD0.1342009-09-23
USD0.1582009-06-23
USD0.1572009-03-24
20083.56%USD 0.978USD0.3072008-12-23
USD0.2512008-09-23
USD0.262008-06-23
USD0.162008-03-24
20073.68%USD 1.01USD0.332007-12-19
USD0.242007-09-21
USD0.292007-06-22
USD0.152007-03-23
20063.86%USD 1.06USD0.492006-12-21
USD0.222006-09-22
USD0.222006-06-23
USD0.132006-03-17
20054.24%USD 1.164USD0.5352005-12-23
USD0.222005-09-23
USD0.212005-06-24
USD0.1992005-03-23
20043.46%USD 0.952USD0.4222004-12-21
USD0.22004-09-21
USD0.22004-06-25
USD0.132004-03-26
20032.84%USD 0.78USD0.272003-12-23
USD0.222003-09-26
USD0.172003-06-20
USD0.122003-03-28
20022.77%USD 0.76USD0.282002-12-26
USD0.22002-09-27
USD0.172002-06-21
USD0.112002-03-22
20012.95%USD 0.81USD0.292001-12-28
USD0.212001-09-21
USD0.192001-06-22
USD0.122001-03-23
20005.32%USD 1.463USD0.312000-12-26
USD0.2432000-12-22
USD0.192000-09-25
USD0.1492000-09-22
USD0.182000-06-26
USD0.1412000-06-23
USD0.142000-03-27
USD0.112000-03-24