Vanguard Growth Index Fund;ETF logo

Vanguard Growth Index Fund;ETF

ETF
ETF
ISIN: US9229087369
Ticker: VUG
US9229087369
VUG

Price

Dividend metrics

Annual payout (TTM)

 
$1.963

Yield (TTM)

 
0.486%

Payout ratio

 
-

Payout frequency

 
Quarterly

Dividend growth (3Y)

 
2.283%

Next payment

 
$0.585

Dividend history & forecast

$1.218

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

20250.56%0%$1.963
Forecasted21.12.202527.12.20250.19%+28.62%$0.585
Forecasted26.09.202530.09.20250.12%-0.31%$0.455
Forecasted27.06.202501.07.20250.12%-2.48%$0.456
Forecasted21.03.202526.03.20250.13%-20.03%$0.468
20240.56%+8.93%$1.963
Forecasted21.12.202427.12.20240.19%+28.62%$0.585
Paid26.09.202430.09.20240.12%-0.31%$0.455
Paid27.06.202401.07.20240.12%-2.48%$0.456
Paid21.03.202426.03.20240.13%-20.03%$0.468
20230.65%+20.21%$1.802
Paid21.12.202327.12.20230.19%+55.55%$0.585
Paid21.09.202326.09.20230.14%-8.81%$0.376
Paid23.06.202328.06.20230.15%-3.96%$0.412
Paid23.03.202328.03.20230.18%-4.26%$0.429
20220.66%-2.66%$1.499
Paid22.12.202228.12.20220.21%+4.35%$0.448
Paid23.09.202228.09.20220.19%+34%$0.43
Paid23.06.202228.06.20220.14%+6.65%$0.321
Paid23.03.202228.03.20220.11%-35.91%$0.301
20210.54%-8.55%$1.54
Paid27.12.202130.12.20210.15%+48.14%$0.469
Paid24.09.202129.09.20210.11%-15.26%$0.317
Paid24.06.202129.06.20210.14%-1.92%$0.374
Paid25.03.202130.03.20210.15%-17.3%$0.381
20200.81%-3.09%$1.684
Paid24.12.202030.12.20200.18%+13.39%$0.461
Paid25.09.202030.09.20200.18%-3.03%$0.406
Paid25.06.202030.06.20200.21%+5.17%$0.419
Paid26.03.202031.03.20200.24%-21.55%$0.398
20191.03%-2.02%$1.738
Paid24.12.201930.12.20190.28%+31.73%$0.508
Paid16.09.201919.09.20190.23%-6.59%$0.385
Paid27.06.201902.07.20190.25%-4.49%$0.413
Paid28.03.201902.04.20190.28%-18.09%$0.432
20181.2%+10.43%$1.774
Paid24.12.201828.12.20180.38%+12.84%$0.527
Paid28.09.201803.10.20180.3%+11.44%$0.467
Paid22.06.201827.06.20180.28%+16.69%$0.419
Paid22.03.201827.03.20180.25%-24.35%$0.359
20171.23%+3.82%$1.606
Paid21.12.201727.12.20170.34%+15.6%$0.475
Paid22.09.201727.09.20170.31%+20.53%$0.411
Paid23.06.201729.06.20170.27%-10.03%$0.341
Paid24.03.201730.03.20170.31%-28.22%$0.379
20161.41%+11.46%$1.547
Paid22.12.201629.12.20160.47%+40.43%$0.528
Paid13.09.201619.09.20160.34%+16.41%$0.376
Paid14.06.201620.06.20160.3%+0.94%$0.323
Paid21.03.201628.03.20160.3%-22.52%$0.32
20151.3%+10.16%$1.388
Paid17.12.201523.12.20150.38%+19.02%$0.413
Paid21.09.201525.09.20150.34%+17.23%$0.347
Paid22.06.201526.06.20150.27%-10.84%$0.296
Paid25.03.201531.03.20150.31%-18.23%$0.332
20141.26%+13.51%$1.26
Paid22.12.201429.12.20140.39%+33.55%$0.406
Paid24.09.201430.09.20140.3%+10.55%$0.304
Paid24.06.201430.06.20140.28%0%$0.275
Paid25.03.201431.03.20140.29%-20.75%$0.275
20131.32%+3.45%$1.11
Paid24.12.201331.12.20130.38%+24.82%$0.347
Paid23.09.201327.09.20130.33%+7.75%$0.278
Paid24.06.201328.06.20130.32%+13.66%$0.258
Paid22.03.201328.03.20130.29%-46.21%$0.227
20121.52%+40.08%$1.073
Paid24.12.201231.12.20120.59%+70.16%$0.422
Paid24.09.201228.09.20120.34%+18.66%$0.248
Paid25.06.201229.06.20120.31%+7.73%$0.209
Paid26.03.201230.03.20120.28%-14.54%$0.194
20111.23%+9.43%$0.766
Paid23.12.201130.12.20110.36%+30.46%$0.227
Paid23.09.201129.09.20110.3%-10.77%$0.174
Paid24.06.201130.06.20110.3%+14.71%$0.195
Paid25.03.201131.03.20110.27%-16.26%$0.17
20101.25%+14.01%$0.70
Paid27.12.201031.12.20100.34%0%$0.203
Paid24.09.201030.09.20100.37%+36.24%$0.203
Paid24.06.201030.06.20100.29%+2.76%$0.149
Paid25.03.201031.03.20100.26%-18.99%$0.145
20091.38%+6.41%$0.614
Paid22.12.200929.12.20090.34%+26.06%$0.179
Paid24.09.200930.09.20090.29%-2.07%$0.142
Paid24.06.200930.06.20090.34%-2.03%$0.145
Paid25.03.200931.03.20090.41%-11.9%$0.148
20081.14%-3.83%$0.577
Paid22.12.200829.12.20080.43%+21.74%$0.168
Paid24.09.200830.09.20080.26%-1.43%$0.138
Paid24.06.200830.06.20080.22%+6.87%$0.14
Paid25.03.200831.03.20080.22%-17.61%$0.131
20070.95%-11.11%$0.60
Paid20.12.200727.12.20070.25%+3.25%$0.159
Paid24.09.200728.09.20070.24%+0.65%$0.154
Paid25.06.200729.06.20070.24%+14.18%$0.153
Paid26.03.200730.03.20070.22%-12.42%$0.134
20061.23%-0.3%$0.675
Paid22.12.200629.12.20060.26%+36.61%$0.153
Paid25.09.200629.09.20060.21%-1.75%$0.112
Paid26.06.200630.06.20060.22%-23.49%$0.114
Paid20.03.200629.03.20060.27%+1.36%$0.149
Paid27.12.200509.01.20060.27%+31.25%$0.147
20051.33%+171.89%$0.677
Paid26.09.200506.10.20050.22%+23.08%$0.112
Paid27.06.200508.07.20050.18%-17.27%$0.091
Paid24.03.200506.04.20050.22%-69.78%$0.11
Paid27.12.200406.01.20050.71%+308.99%$0.364
20040.51%-$0.249
Paid27.09.200407.10.20040.19%+27.14%$0.089
Paid28.06.200408.07.20040.14%-22.22%$0.07
Paid29.03.200402.04.20040.18%-$0.09

Frequently asked questions

When does Vanguard Growth Index Fund;ETF pay dividends?

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

How often does Vanguard Growth Index Fund;ETF pay dividends?

On a quarterly basis.

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

The dividend yield is currently 0.49% and distributions have increased by 2.28% in the last 3 years.

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

The last payment was made on 30.09.2024.

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

If you had Vanguard Growth Index Fund;ETF in your securities account on 26.09.2024, you received the distribution.

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

Vanguard Growth Index Fund;ETF paid out a dividend of $1.802 in 2023.

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

Vanguard Growth Index Fund;ETF paid out a dividend of $1.499 in 2022.

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

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

Dividend growth 

The dividend growth is 20.21% based on the previous financial year. The average dividend growth over the last 5 years is 0.318%.

1 Year

Strong growth20.21%

3 Year

Low growth2.283%

5 Year

Low growth0.318%

10 Year

Moderate growth4.965%

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