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 DateClose PriceAmountDividend YieldRecord DatePayment Date

03.21.2025

$46.24

$0.0468

0.10%

03.21.2025

03.25.2025

12.20.2024

$45.22

$1.0656

2.36%

12.20.2024

12.24.2024

09.20.2024

$45.45

$0.1344

0.30%

09.20.2024

09.24.2024

06.21.2024

$44.27

$0.1704

0.38%

06.21.2024

06.25.2024

03.15.2024

$41.76

$0.0385

0.09%

03.18.2024

03.20.2024

12.18.2023

$41.07

$0.8649

2.11%

12.19.2023

12.21.2023

09.18.2023

$40.54

$0.3275

0.81%

09.19.2023

09.21.2023

06.20.2023

$41.94

$0.2267

0.54%

06.21.2023

06.23.2023

03.20.2023

$38.74

$0.0281

0.07%

03.21.2023

03.23.2023

12.19.2022

$39.51

$0.635

1.61%

12.20.2022

12.22.2022

09.19.2022

$39.67

$0.529

1.33%

09.20.2022

09.22.2022

06.21.2022

$41.45

$0.306

0.74%

06.22.2022

06.24.2022

03.21.2022

$46.5

$0.134

0.29%

03.22.2022

03.24.2022

12.20.2021

-

$0.478

1.03%

12.21.2021

12.23.2021

09.20.2021

-

$0.473

1.02%

09.21.2021

09.23.2021

06.21.2021

-

$0.28

0.60%

06.22.2021

06.24.2021

03.22.2021

-

$0.068

0.15%

03.23.2021

03.25.2021

12.21.2020

-

$0.301

0.65%

12.22.2020

12.24.2020

09.21.2020

-

$0.426

0.92%

09.22.2020

09.24.2020

06.22.2020

-

$0.17

0.37%

06.23.2020

06.25.2020

03.23.2020

-

$0.058

0.13%

03.24.2020

03.26.2020

12.23.2019

-

$0.559

1.20%

12.24.2019

12.27.2019

09.24.2019

-

$0.519

1.12%

09.25.2019

09.27.2019

06.17.2019

-

$0.279

0.60%

06.18.2019

06.20.2019

03.25.2019

-

$0.082

0.18%

03.26.2019

03.28.2019

12.24.2018

-

$0.259

0.56%

12.26.2018

12.28.2018

09.26.2018

-

$0.475

1.02%

09.27.2018

10.01.2018

06.22.2018

-

$0.275

0.59%

06.25.2018

06.27.2018

03.26.2018

-

$0.089

0.19%

03.27.2018

03.29.2018

12.21.2017

-

$0.212

0.46%

12.22.2017

12.27.2017

09.20.2017

-

$0.522

1.13%

09.21.2017

09.25.2017

06.21.2017

-

$0.253

0.55%

06.23.2017

06.27.2017

03.22.2017

-

$0.071

0.15%

03.24.2017

03.28.2017

12.20.2016

-

$0.17

0.37%

12.22.2016

12.27.2016

09.13.2016

-

$0.45

0.97%

09.15.2016

09.19.2016

06.14.2016

-

$0.223

0.48%

06.16.2016

06.20.2016

03.15.2016

-

$0.057

0.12%

03.17.2016

03.21.2016

12.21.2015

-

$0.159

0.34%

12.23.2015

12.28.2015

09.25.2015

-

$0.45

0.97%

09.29.2015

10.01.2015