VANGUARD MATERIALS INDEX FUND ADMIRAL SHARES(VMIAX) USD 91.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.348USD0.34752023-03-23
20221.88%USD 1.716USD0.48222022-12-14
USD0.40392022-09-27
USD0.50222022-06-22
USD0.32812022-03-23
20211.58%USD 1.448USD0.42122021-12-15
USD0.40572021-09-28
USD0.33752021-06-18
USD0.28312021-03-25
20201.46%USD 1.339USD0.41942020-12-16
USD0.30142020-09-10
USD0.34192020-06-19
USD0.27622020-03-09
20191.45%USD 1.325USD0.35192019-12-13
USD0.32422019-09-25
USD0.35782019-06-20
USD0.29122019-03-20
20181.25%USD 1.143USD0.32182018-12-12
USD0.29942018-09-21
USD0.33612018-06-27
USD0.18522018-03-15
20171.24%USD 1.137USD0.28852017-12-13
USD0.3132017-09-26
USD0.282017-06-27
USD0.2552017-03-23
20161.08%USD 0.988USD0.2822016-12-13
USD0.2922016-09-19
USD0.222016-06-20
USD0.1942016-03-18
20151.21%USD 1.109USD0.3052015-12-22
USD0.8042015-09-22
20141.05%USD 0.962USD0.9622014-12-17
20131.05%USD 0.964USD0.9642013-12-19
20120.87%USD 0.798USD0.7982012-12-19
20110.88%USD 0.804USD0.8042011-12-20
20101.01%USD 0.92USD0.922010-12-21
20090.50%USD 0.459USD0.4592009-12-21
20080.87%USD 0.796USD0.7962008-12-19
20070.70%USD 0.64USD0.642007-12-13
20060.62%USD 0.57USD0.572006-12-15
20050.54%USD 0.495USD0.4952005-12-21
20040.55%USD 0.5USD0.52004-12-21