Vanguard FTSE Developed Asia Pacific ex Japan UCITS(VAPX) GBP 20.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.44%GBP 0.297GBP0.296922023-03-16
20225.25%GBP 1.081GBP0.140532022-12-15
GBP0.2742022-09-15
GBP0.375292022-06-16
GBP0.291042022-03-17
20215.07%GBP 1.043GBP0.263982021-12-16
GBP0.306332021-09-16
GBP0.175342021-06-17
GBP0.297782021-03-18
20202.79%GBP 0.574GBP0.092652020-12-17
GBP0.153442020-09-24
GBP0.084662020-06-11
GBP0.243352020-03-26
20194.12%GBP 0.849GBP0.111362019-12-12
GBP0.238242019-09-26
GBP0.19272019-06-27
GBP0.30642019-03-28
20184.10%GBP 0.844GBP0.122652018-12-27
GBP0.245782018-09-27
GBP0.22092018-06-21
GBP0.255142018-03-22
20174.02%GBP 0.828GBP0.198762017-12-21
GBP0.213072017-09-21
GBP0.164342017-06-22
GBP0.251562017-03-23
20163.14%GBP 0.648GBP0.109512016-12-15
GBP0.17632016-09-22
GBP0.182472016-06-16
GBP0.179422016-03-17
20153.58%GBP 0.737GBP0.146282015-12-17
GBP0.154572015-09-17
GBP0.224092015-06-18
GBP0.212042015-03-19
20144.47%GBP 0.921GBP0.132762014-12-18
GBP0.132762014-12-17
GBP0.220852014-09-17
GBP0.202352014-06-18
GBP0.232732014-03-19
201332.14%GBP 6.621GBP6.308042013-12-20
GBP0.103172013-12-18
GBP0.210282013-09-25