Vanguard USD Corporate Bond UCITS USD(VDCP) USD 47.435
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.35%USD 0.638USD0.143472023-04-13
USD0.169582023-03-16
USD0.144542023-02-16
USD0.180472023-01-19
20223.42%USD 1.624USD0.143962022-12-15
USD0.169222022-11-17
USD0.141072022-10-13
USD0.129562022-09-15
USD0.161842022-08-18
USD0.134462022-07-14
USD0.120312022-06-16
USD0.154532022-05-19
USD0.11052022-04-14
USD0.127462022-03-17
USD0.103612022-02-17
USD0.127882022-01-20
20213.10%USD 1.471USD0.123142021-12-16
USD0.127082021-11-18
USD0.114352021-10-14
USD0.109872021-09-16
USD0.128172021-08-19
USD0.120312021-07-15
USD0.109812021-06-17
USD0.145822021-05-20
USD0.103222021-04-15
USD0.138062021-03-18
USD0.110312021-02-18
USD0.141272021-01-21
20203.50%USD 1.662USD0.120212020-12-17
USD0.109392020-11-19
USD0.12792020-10-22
USD0.146932020-09-24
USD0.113972020-08-20
USD0.185152020-07-23
USD0.097732020-06-11
USD0.133262020-05-21
USD0.122642020-04-23
USD0.17922020-03-26
0.126732020-02-20
0.198812020-01-23
20193.81%USD 1.8050.106732019-12-12
0.130482019-11-21
0.144322019-10-24
0.177552019-09-26
0.137032019-08-22
0.148512019-07-25
USD0.175472019-06-27
USD0.191392019-05-23
0.100932019-04-18
USD0.204692019-03-28
0.172872019-02-21
0.115182019-01-17
20183.75%USD 1.781USD0.139192018-12-27
0.174832018-11-29
0.144942018-10-25
0.168422018-09-27
0.130722018-08-23
0.174052018-07-26
0.127752018-06-21
0.135112018-05-24
0.165782018-04-26
0.141372018-03-22
USD0.146612018-02-22
0.132122018-01-18
20173.55%USD 1.6830.165932017-12-21
0.12092017-11-16
0.127772017-10-19
0.133362017-09-21
0.12292017-08-24
0.164042017-07-27
USD0.12152017-06-22
USD0.17522017-05-25
USD0.10782017-04-20
0.141162017-03-23
USD0.149182017-02-23
USD0.153352017-01-19
20162.70%USD 1.280.123452016-12-15
0.117342016-11-17
USD0.123082016-10-20
0.149812016-09-22
USD0.121212016-08-18
USD0.161512016-07-21
USD0.123662016-06-16
USD0.128882016-05-19
USD0.163612016-04-21
USD0.067562016-03-17