Vanguard Emerging Markets Stock Index Fund
Symbol
VWO
Price
$46.4
Exchange
AMEX
Industry
Asset Management
Dividend Yield
3.13%
Ex-Dividend Date
03-21-2025
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
03.21.2025 | $0.0468 | 0.10% | 03.25.2025 |
12.20.2024 | $1.0656 | 2.36% | 12.24.2024 |
09.20.2024 | $0.1344 | 0.30% | 09.24.2024 |
06.21.2024 | $0.1704 | 0.38% | 06.25.2024 |
03.15.2024 | $0.0385 | 0.09% | 03.20.2024 |
12.18.2023 | $0.8649 | 2.11% | 12.21.2023 |
09.18.2023 | $0.3275 | 0.81% | 09.21.2023 |
06.20.2023 | $0.2267 | 0.54% | 06.23.2023 |
03.20.2023 | $0.0281 | 0.07% | 03.23.2023 |
12.19.2022 | $0.635 | 1.61% | 12.22.2022 |
09.19.2022 | $0.529 | 1.33% | 09.22.2022 |
06.21.2022 | $0.306 | 0.74% | 06.24.2022 |
03.21.2022 | $0.134 | 0.29% | 03.24.2022 |
12.20.2021 | $0.478 | 1.03% | 12.23.2021 |
09.20.2021 | $0.473 | 1.02% | 09.23.2021 |
06.21.2021 | $0.28 | 0.60% | 06.24.2021 |
03.22.2021 | $0.068 | 0.15% | 03.25.2021 |
12.21.2020 | $0.301 | 0.65% | 12.24.2020 |
09.21.2020 | $0.426 | 0.92% | 09.24.2020 |
06.22.2020 | $0.17 | 0.37% | 06.25.2020 |
03.23.2020 | $0.058 | 0.13% | 03.26.2020 |
12.23.2019 | $0.559 | 1.20% | 12.27.2019 |
09.24.2019 | $0.519 | 1.12% | 09.27.2019 |
06.17.2019 | $0.279 | 0.60% | 06.20.2019 |
03.25.2019 | $0.082 | 0.18% | 03.28.2019 |
12.24.2018 | $0.259 | 0.56% | 12.28.2018 |
09.26.2018 | $0.475 | 1.02% | 10.01.2018 |
06.22.2018 | $0.275 | 0.59% | 06.27.2018 |
03.26.2018 | $0.089 | 0.19% | 03.29.2018 |
12.21.2017 | $0.212 | 0.46% | 12.27.2017 |
09.20.2017 | $0.522 | 1.13% | 09.25.2017 |
06.21.2017 | $0.253 | 0.55% | 06.27.2017 |
03.22.2017 | $0.071 | 0.15% | 03.28.2017 |
12.20.2016 | $0.17 | 0.37% | 12.27.2016 |
09.13.2016 | $0.45 | 0.97% | 09.19.2016 |
06.14.2016 | $0.223 | 0.48% | 06.20.2016 |
03.15.2016 | $0.057 | 0.12% | 03.21.2016 |
12.21.2015 | $0.159 | 0.34% | 12.28.2015 |
09.25.2015 | $0.45 | 0.97% | 10.01.2015 |