Vanguard FTSE Developed Asia Pacific ex Japan UCITS(VAPX) EUR 23.369
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.20%EUR 0.28EUR0.279582023-03-16
20224.39%EUR 1.026EUR0.131952022-12-15
EUR0.274132022-09-15
EUR0.357562022-06-16
EUR0.261982022-03-17
20213.81%EUR 0.89EUR0.233472021-12-16
EUR0.26042021-09-16
0.146832021-06-17
0.249712021-03-18
20202.15%EUR 0.5030.075662020-12-17
0.131812020-09-24
0.074392020-06-11
0.220752020-03-26
20193.25%EUR 0.760.100172019-12-12
0.217742019-09-26
0.16952019-06-27
0.272722019-03-28
20183.06%EUR 0.7160.107562018-12-27
0.210482018-09-27
0.190322018-06-21
0.207292018-03-22
20173.11%EUR 0.7270.167592017-12-21
0.178712017-09-21
0.147292017-06-22
0.233212017-03-23
20162.50%EUR 0.5840.105142016-12-15
0.156832016-09-22
0.16372016-06-16
0.158552016-03-17
20152.86%EUR 0.6680.135022015-12-17
0.136592015-09-17
0.196512015-06-18
0.199592015-03-19
20142.55%EUR 0.5950.108112014-12-18
0.170422014-09-17
0.149092014-06-18
0.167312014-03-19
20131.17%EUR 0.2730.074962013-12-18
0.155672013-09-25
0.042142013-06-19