Vanguard FTSE Developed Europe UCITS(VEUR) EUR 36.293
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%EUR 0.165EUR0.165152023-03-16
20223.00%EUR 1.087EUR0.121172022-12-15
EUR0.153392022-09-15
EUR0.686292022-06-16
EUR0.126532022-03-17
20212.76%EUR 1.001EUR0.207212021-12-16
EUR0.19532021-09-16
EUR0.437842021-06-17
EUR0.160262021-03-18
20201.91%EUR 0.692EUR0.106282020-12-17
EUR0.195682020-09-24
EUR0.233712020-06-11
0.155852020-03-26
20192.91%EUR 1.0550.109142019-12-12
0.172732019-09-26
EUR0.590032019-06-27
0.183122019-03-28
20182.67%EUR 0.967EUR0.114452018-12-27
0.157722018-09-27
0.551322018-06-21
0.143882018-03-22
20172.58%EUR 0.9360.105332017-12-21
0.146842017-09-21
0.536292017-06-22
0.147422017-03-23
20162.51%EUR 0.9110.117482016-12-15
0.156442016-09-22
0.485592016-06-16
0.151572016-03-17
20152.48%EUR 0.90.097582015-12-17
0.140892015-09-17
EUR0.520252015-06-18
EUR0.140872015-03-19
20142.86%EUR 1.0360.084442014-12-17
0.113932014-09-17
0.459312014-06-18
0.378522014-03-19
20130.69%EUR 0.2490.077762013-12-18
0.121072013-09-25
EUR0.050032013-06-19