Vanguard Global Aggregate Bond UCITS ETF EUR Hedged Income
VAGE.DE
#2156
ETF rank
S$0.16 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
S$31.61
Share price
-0.06%
Change (1 day)
9.24%
Change (1 year)

Vanguard Global Aggregate Bond UCITS ETF EUR Hedged Income (VAGE.DE) - Distributions and Dividends

Distributions paid over the last 12 months: 0.734379 EUR
Current distribution yield: 0.00%

Yearly distributions/payments for Vanguard Global Aggregate Bond UCITS ETF EUR Hedged Income (VAGE.DE)

Distributions Yield for Vanguard Global Aggregate Bond UCITS ETF EUR Hedged Income (VAGE.DE)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-12-032025-12-032025-11-210.0684EUR
2025-10-292025-10-292025-10-170.0568EUR
2025-10-012025-10-012025-09-190.0539EUR
2025-09-032025-09-032025-08-220.0677EUR
2025-07-302025-07-302025-07-180.0677EUR
2025-07-022025-07-022025-06-200.0541EUR
2025-06-042025-06-042025-05-230.0676EUR
2025-05-022025-05-022025-04-220.0522EUR
2025-04-022025-04-022025-03-210.0686EUR
2025-02-262025-02-262025-02-140.0527EUR
2025-01-292025-01-292025-01-170.0689EUR
2024-12-272024-12-272024-12-130.0557EUR
2024-11-272024-11-272024-11-150.0690EUR
2024-10-232024-10-232024-10-110.0524EUR
2024-09-252024-09-252024-09-130.0500EUR
2024-08-282024-08-282024-08-160.0623EUR
2024-07-242024-07-242024-07-120.0526EUR
2024-06-262024-06-262024-06-140.0475EUR
2024-05-292024-05-292024-05-170.0631EUR
2024-04-242024-04-242024-04-120.0484EUR
2024-03-272024-03-272024-03-150.0502EUR
2024-02-282024-02-282024-02-160.0485EUR
2024-01-312024-01-312024-01-190.0572EUR
2023-12-272023-12-272023-12-150.0450EUR
2023-11-292023-11-292023-11-170.0547EUR
2023-10-252023-10-252023-10-130.0461EUR
2023-09-272023-09-272023-09-150.0443EUR
2023-08-302023-08-302023-08-180.0509EUR
2023-07-262023-07-262023-07-140.0398EUR
2023-06-282023-06-282023-06-160.0398EUR
2023-05-312023-05-312023-05-190.0479EUR
2023-04-262023-04-262023-04-140.0348EUR
2023-03-292023-03-292023-03-170.0385EUR
2023-03-012023-03-012023-02-170.0322EUR
2023-02-012023-02-012023-01-200.0391EUR
2022-12-282022-12-282022-12-160.0289EUR
2022-11-302022-11-302022-11-180.0353EUR
2022-10-262022-10-262022-10-140.0294EUR
2022-09-282022-09-282022-09-160.0253EUR
2022-08-312022-08-312022-08-190.0319EUR
2022-07-272022-07-272022-07-150.0264EUR
2022-06-292022-06-292022-06-170.0208EUR
2022-06-012022-06-012022-05-200.0288EUR
2022-04-272022-04-272022-04-180.0200EUR
2022-03-302022-03-302022-03-180.0206EUR
2022-03-022022-03-022022-02-180.0198EUR
2022-02-022022-02-022022-01-210.0233EUR
2021-12-292021-12-292021-12-170.0200EUR
2021-12-012021-12-012021-11-190.0221EUR
2021-10-272021-10-272021-10-150.0179EUR
2021-09-292021-09-292021-09-170.0174EUR
2021-09-012021-09-012021-08-200.0206EUR
2021-07-282021-07-282021-07-160.0189EUR
2021-06-302021-06-302021-06-180.0164EUR
2021-06-022021-06-022021-05-210.0194EUR
2021-04-282021-04-282021-04-160.0147EUR
2021-03-312021-03-312021-03-190.0171EUR
2021-03-032021-03-032021-02-190.0148EUR
2021-02-032021-02-032021-01-220.0185EUR
2020-12-302020-12-302020-12-180.0179EUR
2020-12-042020-12-042020-11-200.0183EUR
2020-11-042020-11-042020-10-230.0215EUR
2020-10-072020-10-072020-09-250.0260EUR
2020-09-022020-09-022020-08-210.0221EUR
2020-08-052020-08-052020-07-240.0355EUR
2020-06-242020-06-242020-06-120.0192EUR
2020-06-032020-06-032020-05-220.0260EUR
2020-05-042020-05-042020-04-240.0244EUR
2020-04-082020-04-082020-03-270.0359EUR
2020-03-042020-03-042020-02-210.0241EUR
2020-02-052020-02-052020-01-240.0402EUR
2019-12-272019-12-272019-12-130.0191EUR
2019-12-042019-12-042019-11-220.0268EUR
2019-11-062019-11-062019-10-250.0227EUR
2019-10-092019-10-092019-09-270.0310EUR
2019-09-042019-09-042019-08-230.0229EUR
2019-08-072019-08-072019-07-260.0289EUR