Vanguard USD Emerging Markets Government Bond UCITS ETF(VEMT) GBP 32.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.64%GBP 0.542USD0.161082023-04-13
USD0.192182023-03-16
USD0.175942023-02-16
USD0.197232023-01-19
20224.62%GBP 1.521USD0.171722022-12-15
USD0.199992022-11-17
USD0.143482022-10-13
USD0.160872022-09-15
USD0.196992022-08-18
USD0.160522022-07-14
USD0.149352022-06-16
USD0.190622022-05-19
USD0.143472022-04-14
USD0.177872022-03-17
USD0.157092022-02-17
USD0.187992022-01-20
20214.44%GBP 1.462USD0.160122021-12-16
USD0.183412021-11-18
USD0.163622021-10-14
USD0.15142021-09-16
USD0.185562021-08-19
USD0.159762021-07-15
USD0.101322021-06-17
USD0.196242021-05-20
USD0.140482021-04-15
USD0.173782021-03-18
USD0.151172021-02-18
USD0.193522021-01-21
20205.06%GBP 1.666USD0.165512020-12-17
USD0.15642020-11-19
USD0.167112020-10-22
USD0.193782020-09-24
USD0.15522020-08-20
USD0.243612020-07-23
USD0.112572020-06-11
USD0.207772020-05-21
USD0.1632020-04-23
USD0.236512020-03-26
USD0.171042020-02-20
USD0.262462020-01-23
20195.13%GBP 1.691USD0.139912019-12-12
USD0.168732019-11-21
USD0.179782019-10-24
USD0.224622019-09-26
USD0.170552019-08-22
USD0.181342019-07-25
USD0.217512019-06-27
USD0.241182019-05-23
USD0.124582019-04-18
USD0.242992019-03-28
USD0.22822019-02-21
USD0.149212019-01-17
20185.07%GBP 1.671USD0.17532018-12-27
USD0.218932018-11-29
USD0.186832018-10-25
USD0.222372018-09-27
USD0.170462018-08-23
USD0.227392018-07-26
USD0.16532018-06-21
USD0.173792018-05-24
USD0.206232018-04-26
USD0.180962018-03-22
USD0.14342018-02-22
USD0.170442018-01-18
20175.43%GBP 1.789USD0.23982017-12-21
USD0.172042017-11-16
USD0.178192017-10-19
USD0.190522017-09-21
USD0.170132017-08-24
USD0.237962017-07-27
USD0.172242017-06-22
USD0.248812017-05-25
USD0.154552017-04-20
USD0.201962017-03-23
USD0.223032017-02-23
USD0.210692017-01-19