Vanguard ST Corporate Bond Index Fund Admiral Shs

Symbol

VSCSX

Price

$21.38

Exchange

NASDAQ

Industry

Asset Management - Bonds

Dividend Yield

3.34%

Ex-Dividend Date

02-28-2025

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

02.28.2025

$21.45

$0.07

0.33%

-

01.31.2025

$21.36

$0.076

0.36%

-

12.23.2024

$21.27

$0.076

0.36%

-

11.29.2024

$21.37

$0.074

0.35%

-

10.31.2024

$21.36

$0.074

0.35%

-

09.30.2024

$21.65

$0.07

0.32%

-

08.30.2024

$21.47

$0.071

0.33%

-

07.31.2024

$21.24

$0.072

0.34%

-

06.28.2024

$21.05

$0.069

0.33%

-

05.31.2024

$20.96

$0.07

0.33%

-

04.30.2024

$20.88

$0.067

0.32%

-

03.28.2024

$21.06

$0.067

0.32%

-

03.31.2023

$20.66

$0.051

0.25%

-

02.28.2023

$20.5

$0.044

0.21%

-

01.31.2023

$20.74

$0.046

0.22%

-

12.22.2022

$20.58

$0.046

0.22%

-

11.30.2022

$20.45

$0.04

0.20%

-

10.31.2022

$20.17

$0.04

0.20%

-

09.30.2022

$20.26

$0.039

0.19%

-

08.31.2022

$20.77

$0.037

0.18%

-

07.29.2022

$21.01

$0.034

0.16%

-

06.30.2022

$20.71

$0.032

0.15%

-

05.31.2022

$21.1

$0.031

0.15%

-

04.29.2022

$20.98

$0.029

0.14%

-

03.31.2022

$21.25

$0.028

0.13%

-

02.28.2022

$21.6

$0.025

0.12%

-

01.31.2022

$21.86

$0.026

0.12%

-

12.22.2021

$22.18

$0.027

0.12%

-

11.30.2021

$22.22

$0.026

0.12%

-

10.29.2021

$22.3

$0.027

0.12%

-

09.30.2021

$22.44

$0.029

0.13%

-

08.31.2021

$22.51

$0.028

0.12%

-

07.30.2021

$22.54

$0.028

0.12%

-

06.30.2021

$22.5

$0.028

0.12%

-

05.28.2021

$22.55

$0.03

0.13%

-

04.30.2021

$22.5

$0.029

0.13%

-

03.31.2021

$22.42

$0.031

0.14%

-

02.26.2021

$22.5

$0.029

0.13%

-

01.29.2021

$22.62

$0.033

0.15%

-

12.22.2020

$22.61

$0.035

0.15%

-

11.30.2020

-

$0.035

0.16%

-

10.30.2020

$22.54

$0.038

0.17%

-

09.30.2020

$22.53

$0.038

0.17%

-

08.31.2020

-

$0.039

0.18%

-

07.31.2020

$22.57

$0.043

0.19%

-

06.30.2020

$22.44

$0.041

0.18%

-

05.29.2020

$22.23

$0.047

0.21%

-

04.30.2020

$21.97

$0.046

0.21%

-

03.31.2020

-

$0.055

0.26%

-

02.28.2020

-

$0.044

0.21%

-

01.31.2020

-

$0.05

0.23%

-

12.20.2019

-

$0.055

0.26%

-

11.29.2019

-

$0.05

0.23%

-

10.31.2019

-

$0.054

0.25%

-

09.30.2019

-

$0.051

0.24%

-

08.30.2019

-

$0.052

0.24%

-

07.31.2019

-

$0.055

0.26%

-

06.28.2019

-

$0.051

0.24%

-

05.31.2019

-

$0.056

0.26%

-

04.30.2019

-

$0.052

0.24%

-

03.29.2019

-

$0.059

0.28%

-

02.28.2019

-

$0.047

0.22%

-

01.31.2019

-

$0.046

0.22%

-

12.21.2018

-

$0.056

0.26%

-

11.30.2018

-

$0.049

0.23%

-

10.31.2018

-

$0.052

0.24%

-

09.28.2018

-

$0.047

0.22%

-

08.31.2018

-

$0.047

0.22%

-

07.31.2018

-

$0.049

0.23%

-

06.29.2018

-

$0.045

0.21%

-

05.31.2018

-

$0.048

0.22%

-

04.30.2018

-

$0.043

0.20%

-

03.29.2018

-

$0.05

0.23%

-

02.28.2018

-

$0.039

0.18%

-

01.31.2018

-

$0.039

0.18%

-

12.22.2017

-

$0.047

0.22%

-

11.30.2017

-

$0.042

0.20%

-

10.31.2017

-

$0.042

0.20%

-

09.29.2017

-

$0.041

0.19%

-

08.31.2017

-

$0.041

0.19%

-

07.31.2017

-

$0.041

0.19%

-

06.30.2017

-

$0.041

0.19%

-

05.31.2017

-

$0.041

0.19%

-

04.28.2017

-

$0.04

0.19%

-

03.31.2017

-

$0.041

0.19%

-

02.28.2017

-

$0.038

0.18%

-

01.31.2017

-

$0.033

0.15%

-

12.21.2016

-

$0.044

0.21%

-

11.30.2016

-

$0.037

0.17%

-

10.31.2016

-

$0.038

0.18%

-

09.30.2016

-

$0.038

0.18%

-

08.31.2016

-

$0.038

0.18%

-

07.29.2016

-

$0.038

0.18%

-

06.30.2016

-

$0.039

0.18%

-

05.31.2016

-

$0.039

0.18%

-

04.29.2016

-

$0.038

0.18%

-

03.31.2016

-

$0.038

0.18%

-

02.29.2016

-

$0.036

0.17%

-

01.29.2016

-

$0.031

0.14%

-

12.22.2015

-

$0.045

0.21%

-

11.30.2015

-

$0.036

0.17%

-

10.30.2015

-

$0.037

0.17%

-

09.30.2015

-

$0.036

0.17%

-

08.31.2015

-

$0.036

0.17%

-

07.31.2015

-

$0.036

0.17%

-

06.30.2015

-

$0.036

0.17%

-

05.29.2015

-

$0.034

0.16%

-

04.30.2015

-

$0.033

0.15%

-