Vanguard Real Estate Index Fund
Symbol
VNQ
Price
$91.64
Exchange
AMEX
Industry
Asset Management
Dividend Yield
3.87%
Ex-Dividend Date
03-25-2025
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
03.25.2025 | $0.9319 | 1.02% | 03.27.2025 |
12.23.2024 | $0.8555 | 0.96% | 12.26.2024 |
09.27.2024 | $0.8128 | 0.83% | 10.01.2024 |
06.28.2024 | $1.0328 | 1.23% | 07.02.2024 |
03.22.2024 | $0.7324 | 0.85% | 03.27.2024 |
12.21.2023 | $1.0683 | 1.22% | 12.27.2023 |
09.28.2023 | $0.7268 | 0.96% | 10.03.2023 |
06.29.2023 | $0.9277 | 1.12% | 07.05.2023 |
03.24.2023 | $0.77 | 0.99% | 03.29.2023 |
12.22.2022 | $1.164 | 1.39% | 12.28.2022 |
09.23.2022 | $0.916 | 1.07% | 09.28.2022 |
06.23.2022 | $0.57 | 0.63% | 06.28.2022 |
03.23.2022 | $0.577 | 0.54% | 03.28.2022 |
12.27.2021 | $1.053 | 1.15% | 12.30.2021 |
09.24.2021 | $0.657 | 0.62% | 09.29.2021 |
06.24.2021 | $0.729 | 0.71% | 06.29.2021 |
03.25.2021 | $0.526 | 0.58% | 03.30.2021 |
12.24.2020 | $1.338 | 1.58% | 12.30.2020 |
09.25.2020 | $0.59 | 0.77% | 09.30.2020 |
06.25.2020 | $0.759 | 0.98% | 06.30.2020 |
03.10.2020 | $0.648 | 0.71% | 03.13.2020 |
12.18.2019 | $0.957 | 1.04% | 12.23.2019 |
09.24.2019 | $0.744 | 0.81% | 09.27.2019 |
06.27.2019 | $0.827 | 0.90% | 07.02.2019 |
03.28.2019 | $0.616 | 0.67% | 04.02.2019 |
12.13.2018 | $0.949 | 1.04% | 12.18.2018 |
09.24.2018 | $1.144 | 1.25% | 09.27.2018 |
06.18.2018 | $0.732 | 0.80% | 06.21.2018 |
03.26.2018 | $0.706 | 0.77% | 03.29.2018 |
12.21.2017 | $1.264 | 1.38% | 12.27.2017 |
09.22.2017 | $0.854 | 0.93% | 09.27.2017 |
06.23.2017 | $0.801 | 0.87% | 06.29.2017 |
03.22.2017 | $0.595 | 0.65% | 03.28.2017 |
12.22.2016 | $1.695 | 1.85% | 12.29.2016 |
09.13.2016 | $0.598 | 0.65% | 09.19.2016 |
06.21.2016 | $0.764 | 0.83% | 06.27.2016 |
03.21.2016 | $0.919 | 1.00% | |
12.23.2015 | $1.098 | 1.20% | 12.30.2015 |
09.23.2015 | $0.752 | 0.82% | 09.29.2015 |
06.26.2015 | $0.762 | 0.83% | 07.02.2015 |