Vanguard Russell 1000 Growth Index Fund (VONG)

News/Announcements: None

Updated: 2024-12-20

Last Close Price: $105.00

Yield: 0.55%

Payout Ratio: --

PE Ratio: 34.38

Market Cap: 23.33B

Frequency: Quarterly

Dividend History (adjusted for splits)

Ex-Dividend DatePayout DateCash Amount% Change
2025-06-272025-07-01$0.1378unconfirmed/estimated
2025-03-212025-03-26$0.1378unconfirmed/estimated
2024-12-232024-12-26$0.1378-1.08%
2024-09-262024-09-30$0.1393-0.92%
2024-06-272024-07-01$0.1406-9.11%
2024-03-212024-03-26$0.1547-6.41%
2023-12-192023-12-22$0.165328.94%
2023-09-212023-09-26$0.1282-1.23%
2023-06-232023-06-28$0.12981.09%
2023-03-232023-03-28$0.1284-12.05%
2022-12-152022-12-20$0.146-3.18%
2022-09-282022-10-03$0.150817.72%
2022-06-292022-07-05$0.128111.59%
2022-03-242022-03-29$0.1148-8.23%
2021-12-162021-12-21$0.12513.56%
2021-09-292021-10-04$0.120813.32%
2021-06-292021-07-02$0.1066-74.01%
2021-03-262021-03-31$0.4102-34.33%
2020-12-172020-12-22$0.624687.29%
2020-09-112020-09-16$0.3335-25.54%
2020-06-252020-06-30$0.4479-8.93%
2020-03-262020-03-31$0.49180.2%
2019-12-162019-12-19$0.4908-3.33%
2019-09-262019-10-01$0.50774.06%
2019-06-212019-06-26$0.487929.69%
2019-03-252019-03-28$0.3762
2018-12-132018-12-18$0.0736-89.41%
2018-09-262018-10-01$0.694855.92%
2018-06-282018-07-03$0.445619.05%
2018-03-222018-03-27$0.3743-14.95%
2017-12-142017-12-19$0.44017.87%
2017-09-272017-10-02$0.408-5.56%
2017-06-282017-07-05$0.43220%
2017-03-222017-03-28$0.36-18.55%
2016-12-142016-12-20$0.442-1.12%
2016-09-202016-09-26$0.44725.92%
2016-06-212016-06-27$0.3552.9%
2016-03-212016-03-28$0.345-22.12%
2015-12-212015-12-28$0.44324.79%
2015-09-212015-09-25$0.355-1.11%
2015-06-222015-06-26$0.3593.76%
2015-03-232015-03-27$0.346-18.4%
2014-12-182014-12-24$0.42433.33%
2014-09-222014-09-26$0.318



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