VANGUARD BALANCED INDEX FUND INVESTOR SHARES(VBINX) USD 41.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.83%USD 0.345USD0.345432023-03-22
20222.57%USD 1.073USD0.36412022-12-28
USD0.18112022-09-22
USD0.17412022-06-22
USD0.35372022-03-22
20213.62%USD 1.511USD0.86942021-12-29
USD0.15442021-09-23
USD0.15292021-06-23
USD0.33392021-03-24
20202.70%USD 1.127USD0.53892020-12-29
USD0.16262020-09-24
USD0.16622020-06-24
USD0.25942020-03-25
20192.06%USD 0.86USD0.27882019-12-23
USD0.18812019-09-13
USD0.17792019-06-26
USD0.21472019-03-27
20181.74%USD 0.725USD0.19442018-12-21
USD0.19242018-09-27
USD0.17022018-06-21
USD0.16792018-03-21
20171.53%USD 0.637USD0.18012017-12-22
USD0.1692017-09-21
USD0.1422017-06-22
USD0.1462017-03-28
20161.47%USD 0.612USD0.1862016-12-23
USD0.1522016-09-16
USD0.1392016-06-16
USD0.1352016-03-16
20151.37%USD 0.571USD0.1712015-12-24
USD0.1422015-09-18
USD0.1222015-06-19
USD0.1362015-03-26
20141.27%USD 0.531USD0.1552014-12-26
USD0.1312014-09-19
USD0.1172014-06-20
USD0.1282014-03-28
20131.12%USD 0.467USD0.1312013-12-26
USD0.1172013-09-26
USD0.1162013-06-27
USD0.1032013-03-27
20121.14%USD 0.477USD0.1472012-12-26
USD0.1142012-09-27
USD0.1132012-06-28
USD0.1032012-03-29
20111.14%USD 0.477USD0.1292011-12-27
USD0.1212011-09-29
USD0.1162011-06-29
USD0.1112011-03-30
20101.15%USD 0.479USD0.1282010-12-28
USD0.1272010-09-27
USD0.1162010-06-28
USD0.1082010-03-29
20091.23%USD 0.514USD0.152009-12-28
USD0.1182009-09-28
USD0.1152009-06-25
USD0.1312009-03-26
20081.45%USD 0.603USD0.1562008-12-26
USD0.1442008-09-25
USD0.1732008-06-26
USD0.132008-03-27
20071.58%USD 0.66USD0.22007-12-21
USD0.172007-09-21
USD0.152007-06-22
USD0.142007-03-23
20061.44%USD 0.6USD0.182006-12-26
USD0.152006-09-22
USD0.142006-06-23
USD0.132006-03-24
20051.27%USD 0.53USD0.162005-12-28
USD0.142005-09-23
USD0.122005-06-24
USD0.112005-03-23
20041.20%USD 0.5USD0.172004-12-21
USD0.122004-09-24
USD0.112004-06-25
USD0.12004-03-26
20031.08%USD 0.45USD0.142003-12-26
USD0.12003-09-26
USD0.12003-06-20
USD0.112003-03-28
20021.25%USD 0.52USD0.142002-12-27
USD0.142002-09-27
USD0.122002-06-21
USD0.122002-03-22
20011.49%USD 0.622USD0.1772001-12-21
USD0.152001-09-21
USD0.132001-06-22
USD0.1652001-03-16
20002.60%USD 1.084USD0.2772000-12-26
USD0.1872000-12-22
USD0.162000-09-25
USD0.152000-06-26
USD0.162000-03-27
USD0.152000-03-24