Vanguard Developed Markets Index Fund;ETF logo

Vanguard Developed Markets Index Fund;ETF Dividends

ETFETF
ISIN: US9219438580
Ticker: VEA
US9219438580
VEA

Dividend metrics

Annual payout (TTM)

 
$1.501

Yield (TTM)

 
3.034%

Payout ratio

 
-

Payout frequency

 
Quarterly

Dividend growth (3Y)

 
16.13%

Next payment

 
$0.61

Dividend history & forecast

$1.286

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

20253.07%0%$1.501
Forecasted18.12.202521.12.20251.29%+322.23%$0.61
Forecasted20.09.202524.09.20250.27%-68.66%$0.144
Forecasted21.06.202525.06.20250.92%+60.8%$0.461
Forecasted15.03.202520.03.20250.58%-53.01%$0.287
20243.07%-0.66%$1.501
Forecasted18.12.202421.12.20241.29%+322.23%$0.61
Paid20.09.202424.09.20240.27%-68.66%$0.144
Paid21.06.202425.06.20240.92%+60.8%$0.461
Paid15.03.202420.03.20240.58%-53.01%$0.287
20233.27%+23.68%$1.511
Paid18.12.202321.12.20231.29%+96.74%$0.61
Paid18.09.202321.09.20230.69%-28.25%$0.31
Paid20.06.202323.06.20230.92%+170.44%$0.432
Paid20.03.202323.03.20230.37%-67.37%$0.16
20222.95%-24.29%$1.222
Paid19.12.202222.12.20221.18%+309.28%$0.49
Paid19.09.202222.09.20220.3%-77.43%$0.12
Paid21.06.202224.06.20221.3%+540.1%$0.53
Paid21.03.202224.03.20220.17%-89.24%$0.0828
20213.17%+67.29%$1.614
Paid20.12.202123.12.20211.52%+284.65%$0.769
Paid20.09.202123.09.20210.39%-51.63%$0.20
Paid21.06.202124.06.20210.79%+78.85%$0.414
Paid22.03.202125.03.20210.47%-44.25%$0.231
20202.32%-28.02%$0.965
Paid21.12.202024.12.20200.89%+87.82%$0.415
Paid21.09.202024.09.20200.54%+11.46%$0.221
Paid22.06.202025.06.20200.51%+50.99%$0.198
Paid23.03.202026.03.20200.4%-70.18%$0.131
20193.2%+7.76%$1.34
Paid23.12.201927.12.20191.01%+59.73%$0.44
Paid24.09.201927.09.20190.67%-38.8%$0.275
Paid17.06.201920.06.20191.09%+157.14%$0.45
Paid28.03.201902.04.20190.43%-54.39%$0.175
20182.98%+0.1%$1.244
Paid24.12.201828.12.20181.02%+142.23%$0.384
Paid26.09.201801.10.20180.37%-70.68%$0.158
Paid22.06.201827.06.20181.22%+234.49%$0.54
Paid26.03.201829.03.20180.36%-62.57%$0.162
20172.93%+11.54%$1.243
Paid21.12.201727.12.20170.97%+141.06%$0.432
Paid20.09.201725.09.20170.41%-62.86%$0.179
Paid21.06.201727.06.20171.17%+221.33%$0.482
Paid24.03.201730.03.20170.38%-50%$0.15
20163.09%+4.01%$1.114
Paid22.12.201629.12.20160.82%+71.43%$0.30
Paid13.09.201619.09.20160.47%-63.69%$0.175
Paid14.06.201620.06.20161.35%+207.01%$0.482
Paid15.03.201621.03.20160.44%-28.96%$0.157
20152.77%-23.17%$1.071
Paid21.12.201528.12.20150.61%+41.67%$0.221
Paid25.09.201501.10.20150.43%-69.59%$0.156
Paid26.06.201502.07.20151.28%+183.43%$0.513
Paid25.03.201531.03.20150.45%-24.58%$0.181
20143.4%+28.72%$1.394
Paid22.12.201429.12.20140.63%+13.21%$0.24
Paid24.09.201430.09.20140.53%-58.67%$0.212
Paid24.06.201430.06.20141.2%+19.58%$0.513
Paid25.03.201431.03.20141.05%+101.41%$0.429
20132.89%+3.54%$1.083
Paid20.12.201327.12.20130.53%+29.88%$0.213
Paid23.09.201327.09.20130.42%-69.91%$0.164
Paid24.06.201328.06.20131.5%+238.51%$0.545
Paid22.03.201328.03.20130.44%-53.47%$0.161
20123.08%-1.13%$1.046
Paid20.12.201227.12.20120.98%-49.78%$0.346
Paid24.09.201228.09.20122.06%+6,163.64%$0.689
Paid22.03.201228.03.20120.03%-98.95%$0.011
20113.42%+17.95%$1.058
Paid21.12.201128.12.20113.39%+8,616.67%$1.046
Paid23.03.201129.03.20110.03%-98.65%$0.012
20102.5%+9.93%$0.897
Paid22.12.201029.12.20102.47%+7,954.55%$0.886
Paid23.03.201029.03.20100.03%-98.62%$0.011
20092.39%-12.26%$0.816
Paid24.12.200931.12.20092.3%+4,094.74%$0.797
Paid23.03.200927.03.20090.09%-97.92%$0.019
20083.47%-11.85%$0.93
Paid24.12.200831.12.20083.44%+5,612.5%$0.914
Paid12.03.200818.03.20080.04%-98.48%$0.016
20072.14%-$1.055
Paid24.12.200731.12.20072.14%-$1.055
2003--25%$1.341
Paid11.09.200330.09.2003-0%$0.447
Paid11.06.200330.06.2003-0%$0.447
Paid12.03.200331.03.2003-0%$0.447
2002-0%$1.788
Paid12.12.200231.12.2002-0%$0.447
Paid11.09.200230.09.2002-0%$0.447
Paid12.06.200201.07.2002-0%$0.447
Paid13.03.200201.04.2002-0%$0.447
2001-0%$1.788
Paid12.12.200131.12.2001-0%$0.447
Paid17.09.200101.10.2001-0%$0.447
Paid13.06.200102.07.2001-0%$0.447
Paid14.03.200102.04.2001-0%$0.447
2000-0%$1.788
Paid12.12.200029.12.2000-0%$0.447
Paid13.09.200002.10.2000-0%$0.447
Paid13.06.200030.06.2000-0%$0.447
Paid14.03.200031.03.2000-0%$0.447
1999-+71.43%$1.788
Paid14.12.199931.12.1999-0%$0.447
Paid13.09.199930.09.1999-0%$0.447
Paid11.06.199930.06.1999-0%$0.447
Paid12.03.199931.03.1999-0%$0.447
1998--$1.043
Paid14.12.199831.12.1998-0%$0.447
Paid11.09.199830.09.1998-+200%$0.447
Paid24.06.199830.06.1998--$0.149

Frequently asked questions

When does Vanguard Developed Markets Index Fund;ETF pay dividends?

Vanguard Developed Markets Index Fund;ETF's dividends are paid out in March, June, September, and December.

How often does Vanguard Developed Markets Index Fund;ETF pay dividends?

On a quarterly basis.

What is the dividend yield of Vanguard Developed Markets Index Fund;ETF?

The dividend yield is currently 3.03% and distributions have increased by 16.13% in the last 3 years.

When was Vanguard Developed Markets Index Fund;ETF's last dividend payout date?

The last payment was made on 24.09.2024.

When do you have to have Vanguard Developed Markets Index Fund;ETF in your portfolio to receive the last dividend?

If you had Vanguard Developed Markets Index Fund;ETF in your securities account on 20.09.2024, you received the distribution.

How much was Vanguard Developed Markets Index Fund;ETF's dividend in 2023?

Vanguard Developed Markets Index Fund;ETF paid out a dividend of $1.511 in 2023.

How much was Vanguard Developed Markets Index Fund;ETF's dividend in 2022?

Vanguard Developed Markets Index Fund;ETF paid out a dividend of $1.222 in 2022.

What is Vanguard Developed Markets Index Fund;ETF's next dividend?

Vanguard Developed Markets Index Fund;ETF has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 23.68% based on the previous financial year. The average dividend growth over the last 5 years is 3.971%.

1 Year

Strong growth23.68%

3 Year

Strong growth16.13%

5 Year

Moderate growth3.971%

10 Year

Moderate growth3.388%

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