Vanguard FTSE North America UCITS(VDNR) USD 100.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.367USD0.367362023-03-16
20221.33%USD 1.339USD0.333892022-12-15
USD0.342572022-09-15
USD0.331962022-06-16
USD0.330272022-03-17
20211.21%USD 1.217USD0.310152021-12-16
USD0.326112021-09-16
USD0.291682021-06-17
USD0.289272021-03-18
20201.23%USD 1.244USD0.294462020-12-17
USD0.320122020-09-24
USD0.236722020-06-11
USD0.392472020-03-26
20191.13%USD 1.1360.237752019-12-12
0.290422019-09-26
USD0.292192019-06-27
USD0.315952019-03-28
20181.11%USD 1.123USD0.268052018-12-27
0.34922018-09-27
0.237062018-06-21
0.268192018-03-22
20171.03%USD 1.0350.270042017-12-21
0.236252017-09-21
0.245592017-06-22
0.283122017-03-23
20160.92%USD 0.9240.211522016-12-15
USD0.261422016-09-22
USD0.223122016-06-16
USD0.228422016-03-17
20150.87%USD 0.8820.224192015-12-17
USD0.224452015-09-17
USD0.216952015-06-18
0.216592015-03-19
20140.18%USD 0.181USD0.181282014-12-18