VANGUARD CONSUMER STAPLES INDEX FUND ADMIRAL SHARES(VCSAX) USD 96.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.415USD0.4152023-03-23
20222.31%USD 2.24USD0.71092022-12-14
USD0.56592022-09-27
USD0.59672022-06-22
USD0.36682022-03-23
20212.18%USD 2.109USD0.61862021-12-15
USD0.51272021-09-28
USD0.50432021-06-18
USD0.47342021-03-25
20202.21%USD 2.146USD0.77542020-12-16
USD0.42962020-09-10
USD0.63552020-06-19
USD0.30512020-03-09
20192.00%USD 1.942USD0.52382019-12-13
USD0.53782019-09-25
USD0.51242019-06-20
USD0.3682019-03-20
20181.85%USD 1.796USD0.51442018-12-12
USD0.40432018-09-21
USD0.61422018-06-27
USD0.26332018-03-15
20171.87%USD 1.813USD0.512017-12-13
USD0.382017-09-26
USD0.5122017-06-27
USD0.4112017-03-23
20161.64%USD 1.585USD0.4772016-12-13
USD0.4182016-09-19
USD0.3772016-06-20
USD0.3132016-03-18
20151.68%USD 1.627USD0.4422015-12-22
USD1.1852015-09-22
20141.22%USD 1.186USD1.1862014-12-17
20131.24%USD 1.2USD1.22013-12-19
20121.32%USD 1.279USD1.2792012-12-19
20110.96%USD 0.934USD0.9342011-12-20
20100.98%USD 0.949USD0.9492010-12-21
20090.88%USD 0.85USD0.852009-12-21
20080.59%USD 0.569USD0.5692008-12-19
20070.58%USD 0.56USD0.562007-12-13
20060.48%USD 0.462USD0.4622006-12-15
20050.35%USD 0.343USD0.3432005-12-21
20040.58%USD 0.559USD0.5592004-12-21