Vanguard FTSE Emerging Markets UCITS(VDEM) USD 55.345
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.174USD0.174292023-03-16
20223.15%USD 1.745USD0.236192022-12-15
USD0.737632022-09-15
USD0.622162022-06-16
USD0.149322022-03-17
20212.77%USD 1.532USD0.382732021-12-16
USD0.634072021-09-16
USD0.401832021-06-17
USD0.112982021-03-18
20202.24%USD 1.242USD0.133582020-12-17
USD0.649442020-09-24
USD0.262252020-06-11
USD0.196312020-03-26
20192.57%USD 1.4220.149732019-12-12
0.641812019-09-26
0.475452019-06-27
USD0.155182019-03-28
20182.69%USD 1.49USD0.211572018-12-27
USD0.718722018-09-27
0.364142018-06-21
USD0.1962018-03-22
20172.42%USD 1.34USD0.121742017-12-21
USD0.725222017-09-21
USD0.35662017-06-22
0.136662017-03-23
20162.09%USD 1.158USD0.114092016-12-15
USD0.680362016-09-22
USD0.261412016-06-16
USD0.102422016-03-17
20152.32%USD 1.2840.193072015-12-17
USD0.639222015-09-17
USD0.336842015-06-18
0.114532015-03-19
20142.61%USD 1.4430.169132014-12-18
USD0.655892014-09-17
0.463762014-06-18
0.154442014-03-19
20132.32%USD 1.2850.105132013-12-18
0.54672013-09-25
USD0.533252013-06-19
USD0.099732013-03-20
20121.43%USD 0.789USD0.086932012-12-24
USD0.443872012-09-26
USD0.258282012-06-27