Vanguard 500 Index Fund Logo
US9229081081

Vanguard 500 Index Fund

Dividend yield TTM
0.00%
€0.00/unit
Dividend growth (CAGR 5Y)
-
Next dividend
It is unlikely that any further dividends will be paid.

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Historical dividends

In 2024, Vanguard 500 Index Fund has already paid €2.85 in dividends. The last payout was in July 2024.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€616.05
Yield
0.00%
Interval
None
CAGR 3Y
-
CAGR 5Y
-
CAGR 10Y
-

All dividend data

Vanguard 500 Index Fund has not paid a dividend in the last 3 years. It is therefore likely that no further dividends will be paid.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2024 €2.85 48.56% 0.55%
28/06/2024 01/07/2024 €1.54
22/03/2024 25/03/2024 €1.31
2023 €5.54 3.94% 1.39%
19/12/2023 20/12/2023 €1.57
27/09/2023 28/09/2023 €1.32
28/06/2023 29/06/2023 €1.36
23/03/2023 24/03/2023 €1.29
2022 €5.33 22.81% 1.62%
19/12/2022 20/12/2022 €1.50
27/09/2022 28/09/2022 €1.42
28/06/2022 29/06/2022 €1.27
23/03/2022 24/03/2022 €1.14
2021 €4.34 0.70% 1.12%
20/12/2021 21/12/2021 €1.27
28/09/2021 29/09/2021 €1.04
28/06/2021 29/06/2021 €1.04
25/03/2021 26/03/2021 €0.99
2020 €4.31 8.69% 1.52%
21/12/2020 22/12/2020 €1.08
28/09/2020 29/09/2020 €1.05
26/06/2020 29/06/2020 €1.20
09/03/2020 10/03/2020 €0.98
2019 €4.72 23.24% 1.78%
20/12/2019 23/12/2019 €1.23
25/09/2019 26/09/2019 €1.12
26/06/2019 27/06/2019 €1.15
20/03/2019 21/03/2019 €1.22
2018 €3.83 4.93% 1.90%
14/12/2018 17/12/2018 €1.08
25/09/2018 26/09/2018 €0.98
27/06/2018 28/06/2018 €0.95
23/03/2018 26/03/2018 €0.82
2017 €3.65 0.55% 1.77%
22/12/2017 26/12/2017 €0.95
19/09/2017 20/09/2017 €0.95
22/06/2017 23/06/2017 €0.86
21/03/2017 22/03/2017 €0.89
2016 €3.63 7.72% 1.85%
21/12/2016 22/12/2016 €1.20
12/09/2016 13/09/2016 €0.76
20/06/2016 21/06/2016 €0.81
18/03/2016 21/03/2016 €0.86
2015 €3.37 33.20% 1.95%
18/12/2015 21/12/2015 €0.95
18/09/2015 21/09/2015 €0.81
19/06/2015 22/06/2015 €0.76
20/03/2015 23/03/2015 €0.85
2014 €2.53 14.48% 1.61%
17/12/2014 18/12/2014 €0.80
19/09/2014 22/09/2014 €0.64
20/06/2014 23/06/2014 €0.56
21/03/2014 24/03/2014 €0.53
2013 €2.21 6.25% 1.78%
23/12/2013 24/12/2013 €0.64
20/09/2013 23/09/2013 €0.55
21/06/2013 24/06/2013 €0.53
21/03/2013 22/03/2013 €0.49
2012 €2.08 26.06% 2.09%
21/12/2012 24/12/2012 €0.69
21/09/2012 24/09/2012 €0.50
22/06/2012 25/06/2012 €0.49
23/03/2012 26/03/2012 €0.40
2011 €1.65 8.55% 1.84%
22/12/2011 23/12/2011 €0.50
22/09/2011 23/09/2011 €0.41
23/06/2011 24/06/2011 €0.38
24/03/2011 25/03/2011 €0.36
2010 €1.52 1.33% 1.74%
23/12/2010 27/12/2010 €0.38
23/09/2010 24/09/2010 €0.39
28/06/2010 29/06/2010 €0.42
29/03/2010 30/03/2010 €0.33
2009 €1.50 10.18% 2.09%
28/12/2009 29/12/2009 €0.46
28/09/2009 29/09/2009 €0.33
23/06/2009 24/06/2009 €0.31
26/03/2009 27/03/2009 €0.40
2008 €1.67 6.70% 2.80%
26/12/2008 29/12/2008 €0.50
25/09/2008 26/09/2008 €0.43
26/06/2008 27/06/2008 €0.36
27/03/2008 28/03/2008 €0.38
2007 €1.79 6.55% 1.94%
21/12/2007 24/12/2007 €0.52
21/09/2007 24/09/2007 €0.44
22/06/2007 25/06/2007 €0.42
23/03/2007 26/03/2007 €0.41
2006 €1.68 25.33% 1.70%
26/12/2006 27/12/2006 €0.49
22/09/2006 25/09/2006 €0.41
23/06/2006 26/06/2006 €0.38
17/03/2006 20/03/2006 €0.40
2005 €2.25 74.42% 2.31%
28/12/2005 29/12/2005 €0.51
23/09/2005 26/09/2005 €0.44
24/06/2005 27/06/2005 €0.35
23/03/2005 28/03/2005 €0.33
23/12/2004 03/01/2005 €0.62
2004 €1.29 3.20% 1.57%
24/09/2004 27/09/2004 €0.33
25/06/2004 28/06/2004 €0.29
26/03/2004 29/03/2004 €0.30
26/12/2003 02/01/2004 €0.37
2003 €1.25 11.97% 1.53%
26/09/2003 29/09/2003 €0.31
20/06/2003 23/06/2003 €0.26
28/03/2003 31/03/2003 €0.28
27/12/2002 02/01/2003 €0.40
2002 €1.42 2.16% 1.84%
27/09/2002 30/09/2002 €0.35
21/06/2002 24/06/2002 €0.31
22/03/2002 25/03/2002 €0.33
28/12/2001 02/01/2002 €0.43
2001 €1.39 1.42% 1.17%
21/09/2001 24/09/2001 €0.35
22/06/2001 25/06/2001 €0.33
16/03/2001 19/03/2001 €0.32
22/12/2000 02/01/2001 €0.39
2000 €1.41 1.44% 1.09%
22/09/2000 25/09/2000 €0.37
23/06/2000 26/06/2000 €0.33
24/03/2000 27/03/2000 €0.31
23/12/1999 03/01/2000 €0.40
1999 €1.39 15.83% 1.04%
24/09/1999 27/09/1999 €0.33
25/06/1999 28/06/1999 €0.37
26/03/1999 30/03/1999 €0.25
22/12/1998 04/01/1999 €0.44
1998 €1.20 0.83% 1.22%
25/09/1998 29/09/1998 €0.23
26/06/1998 30/06/1998 €0.25
27/03/1998 31/03/1998 €0.25
23/12/1997 02/01/1998 €0.47
1997 €1.21 24.74% 1.48%
24/09/1997 29/09/1997 €0.24
25/06/1997 30/06/1997 €0.24
25/03/1997 31/03/1997 €0.23
20/12/1996 02/01/1997 €0.50
1996 €0.97 4.30% 1.75%
25/09/1996 30/09/1996 €0.18
25/06/1996 28/06/1996 €0.18
26/03/1996 29/03/1996 €0.17
22/12/1995 02/01/1996 €0.44
1995 €0.93 4.12% 2.04%
26/09/1995 29/09/1995 €0.17
21/06/1995 26/06/1995 €0.17
22/03/1995 27/03/1995 €0.17
28/12/1994 03/01/1995 €0.42
1994 €0.97 3.19% 2.77%
21/09/1994 26/09/1994 €0.18
22/06/1994 27/06/1994 €0.18
23/03/1994 28/03/1994 €0.19
29/12/1993 03/01/1994 €0.42
1993 €0.94 2.08% 2.41%
22/09/1993 27/09/1993 €0.19
23/06/1993 28/06/1993 €0.19
24/03/1993 29/03/1993 €0.18
29/12/1992 05/01/1993 €0.38
1992 €0.96 4.35% 2.81%
24/09/1992 01/10/1992 €0.16
24/06/1992 01/07/1992 €0.16
26/03/1992 01/04/1992 €0.18
27/12/1991 02/01/1992 €0.46
1991 €0.92 5.15% 3.10%
26/09/1991 02/10/1991 €0.15
27/06/1991 02/07/1991 €0.16
27/03/1991 03/04/1991 €0.15
27/12/1990 02/01/1991 €0.46
1990 €0.97 0.00% 4.26%
27/09/1990 02/10/1990 €0.14
27/06/1990 02/07/1990 €0.14
28/03/1990 30/04/1990 €0.15
28/12/1989 30/01/1990 €0.54

Frequently asked questions

When were the most recent dividend payment dates for Vanguard 500 Index Fund?

The most recent payment was made on 01/07/2024. Previous payments were made on: 25/03/2024.

When did you need to hold Vanguard 500 Index Fund in your portfolio to receive the latest dividend?

If you held Vanguard 500 Index Fund in your portfolio on 28/06/2024, you received the payout.

When is the next dividend from Vanguard 500 Index Fund expected?

As Vanguard 500 Index Fund has not paid a dividend in the last 3 years, it is unlikely to pay another dividend.

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All dividends in the calendar
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