Vanguard FTSE 250 UCITS(VMID) GBP 29.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%GBP 0.159GBP0.159482023-03-16
2022196.45%GBP 58.541GBP22.182022-12-16
GBP0.22182022-12-15
GBP22.652022-09-16
GBP0.226512022-09-15
GBP0.3852022-06-16
GBP12.752022-03-18
GBP0.127462022-03-17
2021314.46%GBP 93.708GBP19.022021-12-17
GBP0.190172021-12-16
GBP32.312021-09-17
GBP0.323092021-09-16
GBP29.512021-06-18
GBP0.295122021-06-17
GBP11.942021-03-19
GBP0.119432021-03-18
2020136.00%GBP 40.529GBP11.92020-12-18
GBP0.1192020-12-17
GBP18.942020-09-25
GBP0.189432020-09-24
GBP9.022020-06-12
GBP0.090252020-06-11
GBP0.269972020-03-26
2019209.06%GBP 62.299GBP20.22019-12-13
GBP0.202012019-12-12
GBP26.242019-09-27
GBP0.262442019-09-26
GBP0.365992019-06-27
GBP14.882019-03-29
GBP0.148832019-03-28
2018215.96%GBP 64.355GBP20.832018-12-28
GBP0.208352018-12-27
GBP23.782018-09-28
GBP0.237752018-09-27
GBP0.361792018-06-21
GBP18.752018-03-23
GBP0.187522018-03-22
2017215.98%GBP 64.361GBP23.632017-12-22
GBP0.23632017-12-21
GBP19.422017-09-22
GBP0.194232017-09-21
GBP0.418082017-06-22
GBP20.262017-03-24
GBP0.202642017-03-23
2016115.89%GBP 34.536GBP21.472016-12-16
GBP0.214682016-12-15
GBP0.251612016-09-22
GBP0.307932016-06-16
GBP12.172016-03-18
GBP0.121682016-03-17
201598.70%GBP 29.413GBP16.632015-12-18
GBP0.16632015-12-17
GBP0.263552015-09-17
GBP0.324112015-06-18
GBP11.912015-03-20
GBP0.119062015-03-19
20140.53%GBP 0.157GBP0.156612014-12-18