Vanguard Value Index Fund ETF Shares(VTV) USD 141.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.58%USD 0.822USD0.82182023-03-23
20222.50%USD 3.532USD1.04062022-12-22
USD0.8642022-09-23
USD0.83542022-06-23
USD0.79222022-03-23
20212.24%USD 3.157USD0.90312021-12-27
USD0.80552021-09-24
USD0.74212021-06-24
USD0.70622021-03-25
20202.15%USD 3.04USD0.78922020-12-24
USD0.71552020-09-25
USD0.77432020-06-25
USD0.76052020-03-26
20192.12%USD 3USD0.90932019-12-24
USD0.65752019-09-16
USD0.69882019-06-27
USD0.73482019-03-28
20181.89%USD 2.67USD0.70832018-12-24
USD0.73122018-09-28
USD0.62792018-06-22
USD0.60292018-03-22
20171.73%USD 2.437USD0.64722017-12-21
USD0.6752017-09-22
USD0.5572017-06-23
USD0.5582017-03-24
20161.61%USD 2.273USD0.6952016-12-22
USD0.5582016-09-13
USD0.4842016-06-14
USD0.5362016-03-21
20151.50%USD 2.123USD0.5882015-12-21
USD0.5252015-09-21
USD0.512015-06-22
USD0.52015-03-25
20141.33%USD 1.873USD0.5132014-12-22
USD0.4762014-09-24
USD0.4542014-06-24
USD0.432014-03-25
20131.20%USD 1.688USD0.4922013-12-24
USD0.4172013-09-23
USD0.3912013-06-24
USD0.3882013-03-22
20121.14%USD 1.608USD0.492012-12-24
USD0.3882012-09-24
USD0.3882012-06-25
USD0.3422012-03-26
20110.99%USD 1.403USD0.4082011-12-23
USD0.3582011-09-23
USD0.322011-06-24
USD0.3172011-03-25
20100.89%USD 1.257USD0.3532010-12-27
USD0.3272010-09-24
USD0.3072010-06-24
USD0.272010-03-25
20090.96%USD 1.357USD0.4112009-12-22
USD0.32009-09-24
USD0.2692009-06-25
USD0.3772009-03-25
20081.23%USD 1.743USD0.4312008-12-22
USD0.4572008-09-24
USD0.4162008-06-24
USD0.4392008-03-25
20071.29%USD 1.82USD0.5552007-12-20
USD0.462007-09-24
USD0.3782007-06-25
USD0.4272007-03-26
20061.12%USD 1.581USD0.512006-12-22
USD0.3752006-09-25
USD0.3242006-06-26
USD0.3722006-03-20
20051.05%USD 1.481USD0.4682005-12-27
USD0.3962005-09-26
USD0.3212005-06-27
USD0.2962005-03-24
20040.86%USD 1.221USD0.3922004-12-27
USD0.2952004-09-27
USD0.2642004-06-28
USD0.272004-03-29