Vanguard Short-Term Bond ETF (BSV)

News/Announcments: None

Updated: 2024-02-21

Last Close Price: $76.46

Yield: 2.56%

Payout Ratio: --

PE Ratio:

Market Cap: 31.52B

Frequency: Monthly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2024-04-032024-04-06$0.197626unconfirmed/estimated
2024-03-012024-03-06$0.197626unconfirmed/estimated
2024-02-012024-02-06$0.1976261.37%
2023-12-222023-12-28$0.1949595.21%
2023-12-012023-12-06$0.185304-0.43%
2023-11-012023-11-06$0.18618.3%
2023-10-022023-10-05$0.171840.73%
2023-09-012023-09-07$0.1705881.94%
2023-08-012023-08-04$0.16733713.52%
2023-07-032023-07-07$0.1474080.77%
2023-06-012023-06-06$0.1462885.68%
2023-05-012023-05-04$0.1384220.04%
2023-04-032023-04-06$0.13836317.18%
2023-03-012023-03-06$0.118079-7.99%
2023-02-012023-02-06$0.1283385.92%
2022-12-232022-12-29$0.1211677.56%
2022-12-012022-12-06$0.1126540.44%
2022-11-012022-11-04$0.11216211.89%
2022-10-032022-10-06$0.1002472.76%
2022-09-012022-09-07$0.0975573.24%
2022-08-012022-08-04$0.0944962.65%
2022-07-012022-07-07$0.09205912.05%
2022-06-012022-06-06$0.0821599.95%
2022-05-022022-05-05$0.074724-24.41%
2022-04-012022-04-06$0.09885749.18%
2022-03-012022-03-04$0.066268-10.34%
2022-02-012022-02-04$0.073907-74.86%
2021-12-232021-12-29$0.29395
2021-12-012021-12-06$0.071828-1.79%
2021-11-012021-11-04$0.073140.47%
2021-10-012021-10-06$0.0728-3.89%
2021-09-012021-09-07$0.075755.78%
2021-08-022021-08-05$0.07161-8.72%
2021-07-012021-07-07$0.07845-5.14%
2021-06-012021-06-04$0.0827-2%
2021-05-032021-05-06$0.08439-5.22%
2021-04-012021-04-07$0.089045.64%
2021-03-012021-03-04$0.08429-12.42%
2021-02-012021-02-04$0.09624-5.6%
2020-12-232020-12-29$0.101950.11%
2020-12-012020-12-04$0.10184-4.81%
2020-11-022020-11-05$0.10699-2%
2020-10-012020-10-06$0.10917-5.81%
2020-09-012020-09-04$0.11591-3.65%
2020-08-032020-08-06$0.1203-1.2%
2020-07-012020-07-07$0.12176-7.82%
2020-06-012020-06-04$0.13209-3.12%
2020-05-012020-05-06$0.13635-5.64%
2020-04-012020-04-06$0.14455.81%
2020-03-022020-03-05$0.13656-10.95%
2020-02-032020-02-06$0.153352.17%
2019-12-232019-12-27$0.1500971.97%
2019-12-022019-12-05$0.1472



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