Vanguard FTSE Japan UCITS(VJPN) GBP 25.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%GBP 0.048GBP0.047552023-03-16
20222.53%GBP 0.634GBP0.232422022-12-15
GBP0.04122022-09-15
GBP0.31582022-06-16
GBP0.044722022-03-17
20212.42%GBP 0.605GBP0.245512021-12-16
GBP0.041742021-09-16
GBP0.277712021-06-17
GBP0.039722021-03-18
20202.20%GBP 0.551GBP0.225542020-12-17
GBP0.025562020-09-24
GBP0.26092020-06-11
GBP0.039392020-03-26
20192.27%GBP 0.568GBP0.238132019-12-12
GBP0.032722019-09-26
GBP0.26312019-06-27
GBP0.034422019-03-28
20182.11%GBP 0.528GBP0.217122018-12-27
GBP0.0262018-09-27
GBP0.255542018-06-21
GBP0.029012018-03-22
20171.82%GBP 0.456GBP0.188182017-12-21
GBP0.026272017-09-21
GBP0.211492017-06-22
GBP0.030182017-03-23
20161.69%GBP 0.423GBP0.182032016-12-15
GBP0.025012016-09-22
GBP0.187482016-06-16
GBP0.028582016-03-17
20151.43%GBP 0.358GBP0.148342015-12-17
GBP0.017342015-09-17
GBP0.17412015-06-18
GBP0.018522015-03-19
20141.97%GBP 0.493GBP0.145022014-12-18
GBP0.145022014-12-17
GBP0.011192014-09-17
GBP0.178352014-06-18
GBP0.013542014-03-19
20130.64%GBP 0.16GBP0.150322013-12-18
GBP0.009872013-09-25