VANGUARD PACIFIC STOCK INDEX FUND ADMIRAL SHARES(VPADX) USD 85.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.21%USD 0.177USD0.17652023-03-17
20222.56%USD 2.175USD1.26532022-12-16
USD0.18012022-09-16
USD0.66982022-06-17
USD0.06012022-03-18
20213.59%USD 3.052USD1.81312021-12-17
USD0.44392021-09-17
USD0.60742021-06-18
USD0.18792021-03-19
20202.07%USD 1.762USD1.08612020-12-18
USD0.38412020-09-18
USD0.28132020-06-19
USD0.01022020-03-20
20192.86%USD 2.431USD1.3182019-12-20
USD0.31842019-09-23
USD0.64292019-06-14
USD0.15192019-03-22
20182.68%USD 2.282USD1.18852018-12-21
USD0.30282018-09-25
USD0.64842018-06-21
USD0.14232018-03-23
20172.72%USD 2.313USD1.18852017-12-18
USD0.3592017-09-19
USD0.6062017-06-20
USD0.1592017-03-21
20162.24%USD 1.906USD0.9312016-12-19
USD0.2652016-09-12
USD0.5652016-06-13
USD0.1452016-03-14
20152.00%USD 1.7USD0.7692015-12-18
USD0.2392015-09-24
USD0.5562015-06-25
USD0.1362015-03-24
20142.22%USD 1.892USD0.7792014-12-19
USD0.3872014-09-23
USD0.5842014-06-23
USD0.1422014-03-24
20132.22%USD 1.887USD0.9722013-12-19
USD0.2472013-09-20
USD0.5052013-06-21
USD0.1632013-03-21
20122.50%USD 2.131USD1.1942012-12-19
USD0.9372012-09-21
20112.30%USD 1.957USD1.9572011-12-20
20103.23%USD 2.751USD2.7512010-12-21
20092.07%USD 1.76USD1.762009-12-23
20081.18%USD 1.007USD1.0072008-12-23
20072.42%USD 2.06USD2.062007-12-21
20062.14%USD 1.817USD1.8172006-12-21
20051.30%USD 1.107USD1.1072005-12-23
20041.26%USD 1.072USD1.0722004-12-23
20030.86%USD 0.733USD0.7332003-12-19
20020.56%USD 0.473USD0.4732002-12-20
20010.25%USD 0.215USD0.2152001-12-26