VANGUARD LIFESTRATEGY CONSERVATIVE GROWTH FUND INVESTOR SHARES(VSCGX) USD 19.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.085USD0.0852023-03-28
20222.66%USD 0.532USD0.274162022-12-28
USD0.09192022-09-27
USD0.10542022-06-28
USD0.06072022-03-28
20214.83%USD 0.964USD0.72042021-12-29
USD0.0832021-09-28
USD0.0932021-06-28
USD0.06732021-03-26
20203.73%USD 0.744USD0.47122020-12-30
USD0.0932020-09-28
USD0.0932020-06-26
USD0.08712020-03-27
20192.76%USD 0.551USD0.22962019-12-27
USD0.10552019-09-30
USD0.12522019-06-28
USD0.09052019-03-27
20183.56%USD 0.71USD0.41542018-12-28
USD0.1042018-09-21
USD0.12082018-06-15
USD0.072018-03-15
20172.46%USD 0.491USD0.21312017-12-28
USD0.0932017-09-21
USD0.1092017-06-27
USD0.0762017-03-28
20162.24%USD 0.448USD0.17932016-12-28
USD0.0892016-09-19
USD0.1072016-06-20
USD0.0732016-03-18
20152.86%USD 0.572USD0.32015-12-29
USD0.092015-09-24
USD0.1012015-06-25
USD0.0812015-03-26
20144.30%USD 0.859USD0.5742014-12-29
USD0.0922014-09-23
USD0.12014-06-23
USD0.0932014-03-28
20132.24%USD 0.447USD0.22013-12-26
USD0.0812013-09-26
USD0.0942013-06-27
USD0.0722013-03-27
20123.66%USD 0.73USD0.4562012-12-28
USD0.1132012-09-27
USD0.0822012-06-28
USD0.0792012-03-29
20112.14%USD 0.427USD0.1882011-12-29
USD0.0732011-09-29
USD0.0952011-06-29
USD0.0712011-03-30
20102.14%USD 0.427USD0.1632010-12-30
USD0.112010-09-27
USD0.0812010-06-28
USD0.0732010-03-29
20092.09%USD 0.417USD0.1442009-12-30
USD0.082009-09-28
USD0.1092009-06-25
USD0.0842009-03-26
20082.76%USD 0.552USD0.182008-12-30
USD0.1092008-09-25
USD0.1532008-06-26
USD0.112008-03-27
20073.00%USD 0.6USD0.232007-12-27
USD0.122007-09-21
USD0.162007-06-22
USD0.092007-03-23
20062.60%USD 0.52USD0.22006-12-28
USD0.092006-09-22
USD0.142006-06-23
USD0.092006-03-24
20052.20%USD 0.44USD0.172005-12-29
USD0.092005-09-23
USD0.112005-06-24
USD0.072005-03-23
20042.15%USD 0.43USD0.172004-12-29
USD0.072004-09-24
USD0.122004-06-25
USD0.072004-03-26
20031.90%USD 0.38USD0.132003-12-19
USD0.082003-09-26
USD0.12003-06-20
USD0.072003-03-28
20022.45%USD 0.49USD0.152002-12-20
USD0.112002-09-27
USD0.132002-06-21
USD0.12002-03-22
20013.10%USD 0.62USD0.182001-12-28
USD0.122001-09-21
USD0.152001-06-22
USD0.172001-03-23
20006.11%USD 1.22USD0.312000-12-28
USD0.252000-12-27
USD0.142000-09-25
USD0.22000-06-26
USD0.212000-03-27
USD0.112000-03-24