VANGUARD SMALL-CAP INDEX FUND ADMIRAL SHARES(VSMAX) USD 90.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.357USD0.35742023-03-22
20221.49%USD 1.352USD0.48352022-12-21
USD0.31892022-09-22
USD0.28222022-06-22
USD0.26692022-03-22
20211.48%USD 1.339USD0.52252021-12-23
USD0.28082021-09-23
USD0.2662021-06-23
USD0.26982021-03-24
20201.17%USD 1.066USD0.4282020-12-23
USD0.26092020-09-24
USD0.15312020-06-24
USD0.22382020-03-09
20191.22%USD 1.104USD0.42782019-12-23
USD0.21552019-09-13
USD0.23222019-06-26
USD0.22892019-03-27
20181.16%USD 1.054USD0.34312018-12-21
USD0.30962018-09-27
USD0.1832018-06-21
USD0.2182018-03-21
20171.05%USD 0.957USD0.37182017-12-20
USD0.2562017-09-19
USD0.1262017-06-20
USD0.2032017-03-23
20161.02%USD 0.923USD0.3582016-12-21
USD0.2742016-09-19
USD0.1452016-06-13
USD0.1462016-03-14
20150.86%USD 0.784USD0.2992015-12-22
USD0.462015-09-24
USD0.0252015-03-24
20140.88%USD 0.8USD0.7962014-12-19
USD0.0042014-03-24
20130.76%USD 0.689USD0.6812013-12-23
USD0.0082013-03-19
20120.79%USD 0.719USD0.71092012-12-21
USD0.0082012-03-21
20110.50%USD 0.456USD0.45282011-12-22
USD0.0032011-03-22
20100.43%USD 0.39USD0.38482010-12-23
USD0.0052010-03-22
20090.34%USD 0.308USD0.29882009-12-23
USD0.0092009-03-20
20080.47%USD 0.431USD0.41852008-12-23
USD0.0122008-03-11
20070.50%USD 0.45USD0.44252007-12-19
USD0.0072007-03-21
20060.43%USD 0.386USD0.38062006-12-21
USD0.0052006-03-17
20050.35%USD 0.315USD0.31162005-12-23
USD0.0032005-03-18
20040.32%USD 0.292USD0.29172004-12-23
20030.25%USD 0.224USD0.22372003-12-26
20020.23%USD 0.207USD0.20682002-12-27
20010.26%USD 0.239USD0.23872001-12-28
20003.39%USD 3.071USD3.07142000-12-21