Vanguard Dividend Appreciation Index Fund;ETF logo

Vanguard Dividend Appreciation Index Fund;ETF

ETF
ETF
Ticker: VIG
VIG

Price

Dividend metrics

Annual payout (TTM) 
€3.182
Yield (TTM) 
1.72%
Payout ratio 
-
Payout frequency 
Quarterly
Dividend growth (3Y) 
11.29%
Next payment 
€0.813

Dividend history & forecast

€1.528

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
1.93%
+7.09%
€3.379
Forecasted
23.12.2026
26.12.2026
0.52%
+8.83%
€0.88
Forecasted
29.09.2026
01.10.2026
0.43%
-0.75%
€0.808
Forecasted
30.06.2026
02.07.2026
0.46%
-7.09%
€0.814
Forecasted
27.03.2026
31.03.2026
0.52%
+7.84%
€0.876
2025
1.78%
+0.4%
€3.155
Forecasted
23.12.2025
26.12.2025
0.48%
+10.29%
€0.813
Paid
29.09.2025
01.10.2025
0.4%
-0.19%
€0.737
Paid
30.06.2025
02.07.2025
0.43%
-14.84%
€0.738
Paid
27.03.2025
31.03.2025
0.48%
+3.21%
€0.867
2024
1.78%
+6.02%
€3.142
Paid
23.12.2024
26.12.2024
0.44%
+11.34%
€0.84
Paid
27.09.2024
01.10.2024
0.42%
-9.82%
€0.754
Paid
28.06.2024
02.07.2024
0.49%
+17.63%
€0.837
Paid
22.03.2024
27.03.2024
0.42%
-13.74%
€0.711
2023
2.01%
+4.74%
€2.964
Paid
21.12.2023
27.12.2023
0.53%
+11.98%
€0.824
Paid
28.09.2023
03.10.2023
0.49%
+3.36%
€0.736
Paid
29.06.2023
05.07.2023
0.48%
+3.15%
€0.712
Paid
24.03.2023
29.03.2023
0.5%
-15.21%
€0.691
2022
2%
+24.13%
€2.83
Paid
20.12.2022
23.12.2022
0.58%
+12.09%
€0.814
Paid
19.09.2022
22.09.2022
0.49%
+10.39%
€0.727
Paid
21.06.2022
24.06.2022
0.49%
+4.44%
€0.658
Paid
21.03.2022
24.03.2022
0.44%
-7.6%
€0.63
2021
1.68%
+14.81%
€2.28
Paid
20.12.2021
23.12.2021
0.46%
+14.48%
€0.682
Paid
20.09.2021
23.09.2021
0.43%
+5.3%
€0.596
Paid
21.06.2021
24.06.2021
0.43%
+29.87%
€0.566
Paid
22.03.2021
25.03.2021
0.35%
-20.1%
€0.436
2020
1.88%
+3.49%
€1.986
Paid
21.12.2020
24.12.2020
0.47%
+14.61%
€0.545
Paid
29.09.2020
02.10.2020
0.43%
-10.97%
€0.476
Paid
29.06.2020
02.07.2020
0.51%
+24.33%
€0.534
Paid
26.03.2020
31.03.2020
0.46%
-20.33%
€0.43
2019
1.83%
+10.16%
€1.918
Paid
18.12.2019
23.12.2019
0.48%
+6.9%
€0.54
Paid
24.09.2019
27.09.2019
0.46%
+20.44%
€0.505
Paid
17.06.2019
20.06.2019
0.41%
-7.88%
€0.419
Paid
28.03.2019
02.04.2019
0.47%
-9.7%
€0.455
2018
1.96%
+3.91%
€1.742
Paid
17.12.2018
20.12.2018
0.57%
+17.1%
€0.504
Paid
26.09.2018
01.10.2018
0.45%
-11.32%
€0.43
Paid
28.06.2018
03.07.2018
0.55%
+50.5%
€0.485
Paid
26.03.2018
29.03.2018
0.39%
-29.74%
€0.322
2017
2.02%
+0.48%
€1.676
Paid
21.12.2017
27.12.2017
0.54%
+26.53%
€0.459
Paid
20.09.2017
25.09.2017
0.45%
-20.62%
€0.363
Paid
21.06.2017
27.06.2017
0.56%
+14.8%
€0.457
Paid
29.03.2017
04.04.2017
0.47%
-27.07%
€0.398
2016
2.19%
+1.19%
€1.668
Paid
22.12.2016
29.12.2016
0.67%
+55.22%
€0.546
Paid
13.09.2016
19.09.2016
0.47%
-13.18%
€0.351
Paid
21.06.2016
27.06.2016
0.54%
+10.56%
€0.405
Paid
21.03.2016
28.03.2016
0.51%
-15.78%
€0.366
2015
2.32%
+35%
€1.648
Paid
23.12.2015
30.12.2015
0.61%
+10.47%
€0.435
Paid
23.09.2015
29.09.2015
0.59%
-1.27%
€0.394
Paid
26.06.2015
02.07.2015
0.55%
-5.42%
€0.399
Paid
23.03.2015
27.03.2015
0.56%
+12.27%
€0.421
2014
2.03%
+17.04%
€1.221
Paid
18.12.2014
24.12.2014
0.56%
+22.09%
€0.375
Paid
22.09.2014
26.09.2014
0.5%
+2.86%
€0.307
Paid
23.06.2014
27.06.2014
0.53%
+24.96%
€0.299
Paid
24.03.2014
28.03.2014
0.44%
-17.35%
€0.239
2013
2%
-3.58%
€1.043
Paid
20.12.2013
27.12.2013
0.54%
+9.63%
€0.289
Paid
23.09.2013
27.09.2013
0.51%
-0.34%
€0.264
Paid
24.06.2013
28.06.2013
0.51%
+17.75%
€0.265
Paid
22.03.2013
28.03.2013
0.44%
-40.2%
€0.225
2012
2.39%
+26.93%
€1.082
Paid
20.12.2012
27.12.2012
0.83%
+49.69%
€0.376
Paid
24.09.2012
28.09.2012
0.54%
+0.29%
€0.251
Paid
25.06.2012
29.06.2012
0.56%
+22.85%
€0.251
Paid
26.03.2012
30.03.2012
0.47%
-20.4%
€0.204
2011
2.19%
+6.78%
€0.852
Paid
21.12.2011
28.12.2011
0.61%
+22.34%
€0.256
Paid
23.09.2011
29.09.2011
0.57%
+7.34%
€0.209
Paid
24.06.2011
30.06.2011
0.52%
+1.79%
€0.195
Paid
25.03.2011
31.03.2011
0.5%
-17.33%
€0.192
2010
2.15%
+14.41%
€0.798
Paid
22.12.2010
29.12.2010
0.59%
+18.31%
€0.232
Paid
24.09.2010
30.09.2010
0.56%
-3.91%
€0.196
Paid
24.06.2010
30.06.2010
0.54%
+22.46%
€0.204
Paid
25.03.2010
31.03.2010
0.45%
-0.7%
€0.167
2009
2.38%
+1.21%
€0.698
Paid
22.12.2009
29.12.2009
0.51%
+6.27%
€0.168
Paid
24.09.2009
30.09.2009
0.51%
-4%
€0.158
Paid
24.06.2009
30.06.2009
0.59%
-20.9%
€0.164
Paid
25.03.2009
31.03.2009
0.77%
+14.25%
€0.208
2008
2.18%
+10.51%
€0.689
Paid
22.12.2008
29.12.2008
0.65%
-4.2%
€0.182
Paid
24.09.2008
30.09.2008
0.57%
+6.47%
€0.19
Paid
24.06.2008
30.06.2008
0.55%
+28.06%
€0.178
Paid
25.03.2008
31.03.2008
0.42%
-27.63%
€0.139
2007
1.56%
+53.38%
€0.624
Paid
20.12.2007
27.12.2007
0.5%
+26.28%
€0.192
Paid
24.09.2007
28.09.2007
0.38%
+7.92%
€0.152
Paid
25.06.2007
29.06.2007
0.34%
+2.5%
€0.141
Paid
26.03.2007
30.03.2007
0.34%
-27.64%
€0.138
2006
1.02%
-
€0.407
Paid
22.12.2006
29.12.2006
0.47%
+36.39%
€0.19
Paid
25.09.2006
29.09.2006
0.35%
+81.94%
€0.14
Paid
26.06.2006
30.06.2006
0.2%
-
€0.0767
1995
-
-25.68%
€0.683
Paid
27.09.1995
13.10.1995
-
0%
€0.0646
Paid
29.08.1995
15.09.1995
-
0%
€0.0646
Paid
27.07.1995
15.08.1995
-
0%
€0.0646
Paid
28.06.1995
14.07.1995
-
0%
€0.0646
Paid
24.05.1995
15.06.1995
-
-10.34%
€0.0646
Paid
24.04.1995
15.05.1995
-
0%
€0.072
Paid
27.03.1995
14.04.1995
-
0%
€0.072
Paid
22.02.1995
15.03.1995
-
0%
€0.072
Paid
25.01.1995
15.02.1995
-
0%
€0.072
Paid
23.12.1994
13.01.1995
-
0%
€0.072
1994
-
-0.54%
€0.919
Paid
23.11.1994
15.12.1994
-
-6.45%
€0.072
Paid
25.10.1994
15.11.1994
-
0%
€0.077
Paid
26.09.1994
14.10.1994
-
0%
€0.077
Paid
25.08.1994
15.09.1994
-
0%
€0.077
Paid
25.07.1994
15.08.1994
-
0%
€0.077
Paid
24.06.1994
15.07.1994
-
0%
€0.077
Paid
24.05.1994
15.06.1994
-
0%
€0.077
Paid
25.04.1994
13.05.1994
-
0%
€0.077
Paid
25.03.1994
15.04.1994
-
0%
€0.077
Paid
22.02.1994
15.03.1994
-
0%
€0.077
Paid
25.01.1994
15.02.1994
-
0%
€0.077
Paid
27.12.1993
17.01.1994
-
0%
€0.077
1993
-
-27.06%
€0.924
Paid
23.11.1993
15.12.1993
-
0%
€0.077
Paid
25.10.1993
15.11.1993
-
0%
€0.077
Paid
20.09.1993
15.10.1993
-
0%
€0.077
Paid
25.08.1993
15.09.1993
-
0%
€0.077
Paid
26.07.1993
16.08.1993
-
0%
€0.077
Paid
24.06.1993
15.07.1993
-
0%
€0.077
Paid
24.05.1993
15.06.1993
-
0%
€0.077
Paid
26.04.1993
14.05.1993
-
0%
€0.077
Paid
25.03.1993
16.04.1993
-
0%
€0.077
Paid
22.02.1993
15.03.1993
-
0%
€0.077
Paid
25.01.1993
15.02.1993
-
0%
€0.077
Paid
24.12.1992
15.01.1993
-
0%
€0.077
1992
-
+43.5%
€1.266
Paid
23.11.1992
15.12.1992
-
0%
€0.077
Paid
26.10.1992
16.11.1992
-
0%
€0.077
Paid
24.09.1992
15.10.1992
-
-8.82%
€0.077
Paid
25.08.1992
15.09.1992
-
0%
€0.0844
Paid
10.08.1992
31.08.1992
-
+9.68%
€0.0844
Paid
27.07.1992
14.08.1992
-
-8.82%
€0.077
Paid
09.07.1992
31.07.1992
-
+9.68%
€0.0844
Paid
24.06.1992
15.07.1992
-
-8.82%
€0.077
Paid
09.06.1992
30.06.1992
-
+9.68%
€0.0844
Paid
22.05.1992
15.06.1992
-
0%
€0.077
Paid
24.04.1992
15.05.1992
-
-8.82%
€0.077
Paid
09.04.1992
30.04.1992
-
+9.68%
€0.0844
Paid
25.03.1992
15.04.1992
-
0%
€0.077
Paid
24.02.1992
13.03.1992
-
0%
€0.077
Paid
27.01.1992
14.02.1992
-
+3.33%
€0.077
Paid
24.12.1991
15.01.1992
-
0%
€0.0745
1991
-
+11.41%
€0.882
Paid
22.11.1991
13.12.1991
-
0%
€0.0745
Paid
25.10.1991
15.11.1991
-
0%
€0.0745
Paid
24.09.1991
15.10.1991
-
0%
€0.0745
Paid
26.08.1991
13.09.1991
-
0%
€0.0745
Paid
25.07.1991
15.08.1991
-
+1.35%
€0.0745
Paid
24.06.1991
15.07.1991
-
0%
€0.0735
Paid
24.05.1991
14.06.1991
-
0%
€0.0735
Paid
24.04.1991
15.05.1991
-
0%
€0.0735
Paid
22.03.1991
15.04.1991
-
+2.07%
€0.0735
Paid
22.02.1991
15.03.1991
-
0%
€0.072
Paid
25.01.1991
15.02.1991
-
0%
€0.072
Paid
24.12.1990
15.01.1991
-
0%
€0.072
1990
-
-
€0.792
Paid
26.11.1990
14.12.1990
-
0%
€0.072
Paid
25.10.1990
15.11.1990
-
0%
€0.072
Paid
24.09.1990
15.10.1990
-
0%
€0.072
Paid
27.08.1990
14.09.1990
-
0%
€0.072
Paid
25.07.1990
15.08.1990
-
0%
€0.072
Paid
25.06.1990
13.07.1990
-
0%
€0.072
Paid
24.05.1990
15.06.1990
-
0%
€0.072
Paid
24.04.1990
15.05.1990
-
0%
€0.072
Paid
26.03.1990
13.04.1990
-
0%
€0.072
Paid
22.02.1990
15.03.1990
-
0%
€0.072
Paid
25.01.1990
15.02.1990
-
-
€0.072

Frequently asked questions

When does Vanguard Dividend Appreciation Index Fund;ETF pay dividends?

Vanguard Dividend Appreciation Index Fund;ETF's dividends are paid out in March, July, October, and December.

How often does Vanguard Dividend Appreciation Index Fund;ETF pay dividends?

On a quarterly basis.

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

The dividend yield is currently 1.72% and distributions have increased by 11.29% in the last 3 years.

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

The last payment was made on 01.10.2025.

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

If you had Vanguard Dividend Appreciation Index Fund;ETF in your securities account on 29.09.2025, you received the distribution.

How much was Vanguard Dividend Appreciation Index Fund;ETF's dividend in 2024?

Vanguard Dividend Appreciation Index Fund;ETF paid out a dividend of €3.142 in 2024.

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

Vanguard Dividend Appreciation Index Fund;ETF paid out a dividend of €2.964 in 2023.

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

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

Dividend growth 

The dividend growth is 6.025% based on the previous financial year. The average dividend growth over the last 5 years is 10.37%.

1 Year

Strong growth6.025%

3 Year

Strong growth11.29%

5 Year

Strong growth10.37%

10 Year

Strong growth9.913%

Other top dividend ETFs

Real-time data from LSX · Fundamentals & EOD data from FactSet
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