Vanguard Long-Term Corporate Bond Index Fund ETF Shares
VCLT
#290
ETF rank
C$11.23 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
C$107.10
Share price
-0.23%
Change (1 day)
1.78%
Change (1 year)

Vanguard Long-Term Corporate Bond Index Fund ETF Shares (VCLT) - Distributions and Dividends

Distributions paid over the last 12 months: 3.8478 USD
Current distribution yield: 5.44%

Yearly distributions/payments for Vanguard Long-Term Corporate Bond Index Fund ETF Shares (VCLT)

Distributions Yield for Vanguard Long-Term Corporate Bond Index Fund ETF Shares (VCLT)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-11-052025-11-052025-11-030.3334USD
2025-10-032025-10-032025-10-010.3292USD
2025-09-042025-09-042025-09-020.3346USD
2025-08-052025-08-052025-08-010.4247USD
2025-07-032025-07-032025-07-010.3393USD
2025-06-042025-06-042025-06-020.3697USD
2025-05-052025-05-052025-05-010.3583USD
2025-04-032025-04-032025-04-010.3544USD
2025-03-052025-03-052025-03-030.3032USD
2025-02-052025-02-052025-02-030.3447USD
2024-12-272024-12-272024-12-240.3563USD
2024-12-042024-12-042024-12-020.3267USD
2024-11-052024-11-052024-11-010.3375USD
2024-10-032024-10-032024-10-010.3152USD
2024-09-052024-09-052024-09-030.3255USD
2024-08-052024-08-052024-08-010.3108USD
2024-07-032024-07-032024-07-010.3243USD
2024-06-052024-06-052024-06-030.3183USD
2024-05-062024-05-062024-05-020.3230USD
2024-04-042024-04-042024-04-020.3181USD
2024-03-062024-03-062024-03-040.2865USD
2024-02-062024-02-062024-02-020.3398USD
2023-12-282023-12-282023-12-260.3286USD
2023-12-062023-12-062023-12-040.3083USD
2023-11-062023-11-062023-11-020.3380USD
2023-10-052023-10-052023-10-030.3260USD
2023-09-072023-09-072023-09-050.3020USD
2023-08-042023-08-042023-08-020.3190USD
2023-07-072023-07-072023-07-050.3104USD
2023-06-062023-06-062023-06-020.3145USD
2023-05-042023-05-042023-05-020.2994USD
2023-04-062023-04-062023-04-040.3093USD
2023-03-062023-03-062023-03-020.2817USD
2023-02-062023-02-062023-02-020.3074USD
2022-12-292022-12-292022-12-270.3020USD
2022-12-062022-12-062022-12-020.2948USD
2022-11-042022-11-042022-11-020.2872USD
2022-10-062022-10-062022-10-040.2839USD
2022-09-072022-09-072022-09-020.2849USD
2022-08-042022-08-042022-08-020.2820USD
2022-07-072022-07-072022-07-050.2720USD
2022-06-062022-06-062022-06-020.2916USD
2022-05-052022-05-052022-05-030.2762USD
2022-04-062022-04-062022-04-040.2565USD
2022-03-042022-03-042022-03-020.2437USD
2022-02-042022-02-042022-02-020.2856USD
2021-12-292021-12-292021-12-270.2770USD
2021-12-062021-12-062021-12-020.2607USD
2021-11-042021-11-042021-11-020.2666USD
2021-10-062021-10-062021-10-040.2769USD
2021-09-072021-09-072021-09-020.2728USD
2021-08-052021-08-052021-08-030.2770USD
2021-07-072021-07-072021-07-020.2742USD
2021-06-042021-06-042021-06-020.2768USD
2021-05-062021-05-062021-05-040.2662USD
2021-04-072021-04-072021-04-050.2789USD
2021-03-042021-03-042021-03-020.2477USD
2021-02-042021-02-042021-02-020.2781USD
2020-12-292020-12-292020-12-240.2789USD
2020-12-042020-12-042020-12-020.2675USD
2020-11-052020-11-052020-11-030.2865USD
2020-10-062020-10-062020-10-020.2711USD
2020-09-042020-09-042020-09-020.2788USD
2020-08-062020-08-062020-08-040.2898USD
2020-07-072020-07-072020-07-020.2715USD
2020-06-042020-06-042020-06-020.3082USD
2020-05-062020-05-062020-05-040.3025USD
2020-04-062020-04-062020-04-020.3431USD
2020-03-052020-03-052020-03-030.2861USD
2020-02-062020-02-062020-02-040.3234USD
2019-12-272019-12-272019-12-240.3297USD
2019-12-052019-12-052019-12-030.3036USD
2019-11-062019-11-062019-11-040.3288USD
2019-10-042019-10-042019-10-020.3145USD
2019-09-062019-09-062019-09-040.3389USD
2019-08-062019-08-062019-08-020.3394USD
2019-07-052019-07-052019-07-020.3114USD
2019-06-062019-06-062019-06-040.3377USD
2019-05-062019-05-062019-05-020.3079USD
2019-04-042019-04-042019-04-020.3417USD
2019-03-062019-03-062019-03-040.2940USD
2019-02-062019-02-062019-02-040.3173USD
2018-12-282018-12-282018-12-260.3544USD
2018-12-062018-12-062018-12-040.3166USD
2018-11-062018-11-062018-11-020.3377USD
2018-10-042018-10-042018-10-020.3183USD
2018-09-072018-09-072018-09-050.3073USD
2018-08-062018-08-062018-08-020.3319USD
2018-07-062018-07-062018-07-030.3047USD
2018-06-062018-06-062018-06-040.3391USD
2018-05-042018-05-042018-05-020.3086USD
2018-04-052018-04-052018-04-030.3624USD
2018-03-062018-03-062018-03-020.2928USD
2018-02-062018-02-062018-02-020.3045USD
2017-12-292017-12-292017-12-270.3538USD
2017-12-062017-12-062017-12-040.3140USD
2017-11-062017-11-062017-11-020.3200USD
2017-10-052017-10-052017-10-030.3250USD
2017-09-082017-09-082017-09-060.3210USD
2017-08-072017-08-072017-08-030.3190USD
2017-07-102017-07-102017-07-060.3160USD
2017-06-072017-06-072017-06-050.3210USD
2017-05-052017-05-052017-05-030.3210USD
2017-04-072017-04-072017-04-050.3160USD
2017-03-072017-03-072017-03-030.3400USD
2017-02-072017-02-072017-02-030.2700USD
2016-12-292016-12-292016-12-270.3520USD
2016-12-072016-12-072016-12-050.3260USD
2016-11-072016-11-072016-11-030.3130USD
2016-10-072016-10-072016-10-050.3270USD
2016-09-082016-09-082016-09-060.3200USD
2016-08-052016-08-052016-08-030.3230USD
2016-07-082016-07-082016-07-060.3230USD
2016-06-072016-06-072016-06-030.3260USD
2016-05-062016-05-062016-05-040.3210USD
2016-04-072016-04-072016-04-050.3100USD
2016-03-072016-03-072016-03-030.3400USD
2016-02-052016-02-052016-02-030.2920USD
2015-12-302015-12-302015-12-280.3690USD
2015-12-072015-12-072015-12-030.3250USD