Vanguard Intermediate-Term Treasury ETF (VGIT) Dividend History

The investment seeks to track the performance of a market-weighted government bond index with an intermediate-term dollar-weighted average maturity. The fund employs an indexing investment approach designed to track the performance of the Bloomberg Barclays US Treasury 3-10 Year Bond Index. This index includes fixed income securities issued by the U.S. Treasury (not including inflation-protected bonds), with maturities between 3 and 10 years. At least 80% of the fund's assets will be invested in bonds included in the index.

Last update 12/17/2018


Dividend Yield Summary

  2013 2014 2015 2016 2017 2018
Dividends 0.77 1.00 0.99 0.91 1.08 0.18
Average Price 64.31 63.84 64.91 65.96 64.51 62.45
Yield 1.20% 1.57% 1.53% 1.38% 1.67% 0.29%
• The above Dividend, Average Price, and Yield values for 2018 are year-to-date.

Dividend Dates

Ex Dividend Date 2018-12-03
Dividend Pay Date

DivInfo Metrics ™

52-Week Projected Earnings Per Share 0.00
52-Week Projected Dividends Per Share 1.28
Dividend Cover -
52-Week Projected Yield 2.04%
52-Week Trailing Yield 0.45%
6-Year Average Yield 1.28%
6-Year Dividend Change 66.23%
6-Year Yearly Dividend Change 11.04%
Number of Dividend Payments (2013-01-31 - 2018-03-01) 62

Dividend History

Date Amount Per Share Note
2018-03-01 $0.09
2018-02-01 $0.09
2017-12-26 $0.10
2017-12-01 $0.10
2017-11-01 $0.09
2017-10-02 $0.10
2017-09-01 $0.09
2017-08-01 $0.09
2017-07-03 $0.09
2017-06-01 $0.09
2017-05-01 $0.09
2017-04-03 $0.08
2017-03-01 $0.09
2017-02-01 $0.07
2016-12-22 $0.01
2016-12-01 $0.08
2016-11-01 $0.08
2016-10-03 $0.09
2016-09-01 $0.08
2016-08-01 $0.08
2016-07-01 $0.08
2016-06-01 $0.08
2016-05-02 $0.09
2016-04-01 $0.08
2016-03-01 $0.09
2016-02-01 $0.07
2015-12-23 $0.01
2015-12-01 $0.09
2015-11-02 $0.09
2015-10-01 $0.09
2015-09-01 $0.09
2015-08-03 $0.09
2015-07-01 $0.09
2015-06-01 $0.09
2015-05-01 $0.09
2015-04-01 $0.08
2015-03-02 $0.09
2015-02-02 $0.09
2014-12-23 $0.10
2014-12-01 $0.09
2014-11-03 $0.09
2014-10-01 $0.08
2014-09-02 $0.08
2014-08-01 $0.08
2014-07-01 $0.09
2014-06-02 $0.08
2014-05-01 $0.08
2014-04-01 $0.07
2014-03-03 $0.08
2014-02-03 $0.08
2013-12-24 $0.01
2013-11-29 $0.07
2013-10-31 $0.07
2013-09-30 $0.07
2013-08-30 $0.07
2013-07-31 $0.07
2013-06-28 $0.07
2013-05-31 $0.07
2013-04-30 $0.07
2013-03-28 $0.06
2013-02-28 $0.07
2013-01-31 $0.07
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