Is Vanguard Institutional Index Fund Institutional Shares a good investment? Vanguard Institutional Index Fund Institutional Shares (VINIX) is currently trading at 606.50 USD.
In terms of valuation, the stock trades at a P/E ratio of 28.04. This valuation is generally in line with the broader market.
For income investors, Vanguard Institutional Index Fund Institutional Shares pays a dividend yield of 1.37%.
Yes, it pays an annual dividend of 1.64 USD (1.37% yield).
Vanguard Institutional Index Fund Institutional Shares is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.
The fund employs an indexing investment approach designed to track the performance of the S&P 500 Index, a widely recognized benchmark of U.S. stock market performance that is dominated by the stocks of large U.S. companies. The advisor attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. It is non-diversified.
1.37%
1.64 USD
March 24, 2026
| Year | Total Dividends |
|---|---|
| 2027 | 5.83 USD |
| March 29, 2027 (estimated) | 5.8328 |
| 2026 | 18.49 USD |
| Dec. 28, 2026 (estimated) | 9.8523 |
| Sept. 29, 2026 (estimated) | 1.5857 |
| June 29, 2026 (estimated) | 1.5739 |
| March 25, 2026 | 5.4820 |
| 2025 | 11.58 USD |
| Dec. 24, 2025 | 6.0870 |
| Sept. 25, 2025 | 1.5182 |
| June 27, 2025 | 1.5347 |
| March 26, 2025 | 2.4368 |
| 2024 | 12.35 USD |
| Dec. 31, 2024 | 6.6608 |
| Sept. 30, 2024 | 1.4827 |
| July 1, 2024 | 1.6049 |
| March 25, 2024 | 2.6018 |
| 2023 | 11.68 USD |
| Dec. 28, 2023 | 6.2481 |
| Sept. 28, 2023 | 1.3476 |
| June 29, 2023 | 1.4438 |
| March 24, 2023 | 2.6431 |
| 2022 | 10.86 USD |
| Dec. 29, 2022 | 4.8073 |
| Sept. 23, 2022 | 1.4050 |
| June 23, 2022 | 1.3240 |
| March 23, 2022 | 3.3223 |
| 2021 | 19.37 USD |
| Dec. 30, 2021 | 12.0295 |
| Sept. 24, 2021 | 1.2690 |
| June 24, 2021 | 1.2300 |
| March 25, 2021 | 4.8370 |
| 2020 | 10.14 USD |
| Dec. 30, 2020 | 4.8311 |
| Sept. 29, 2020 | 1.2550 |
| June 29, 2020 | 1.3520 |
| March 26, 2020 | 2.7035 |
| 2019 | 8.27 USD |
| Dec. 24, 2019 | 3.5260 |
| Sept. 24, 2019 | 1.4610 |
| June 17, 2019 | 1.0560 |
| March 28, 2019 | 2.2270 |
| 2018 | 5.54 USD |
| Dec. 19, 2018 | 2.0320 |
| Sept. 24, 2018 | 1.3680 |
| June 18, 2018 | 1.1360 |
| March 16, 2018 | 1.0000 |
| 2017 | 4.44 USD |
| Dec. 26, 2017 | 1.2260 |
| Sept. 22, 2017 | 1.2030 |
| June 23, 2017 | 0.9740 |
| March 29, 2017 | 1.0330 |
| 2016 | 4.81 USD |
| Dec. 27, 2016 | 1.8530 |
| Sept. 19, 2016 | 1.0400 |
| June 17, 2016 | 0.9270 |
| March 17, 2016 | 0.9940 |
| 2015 | 4.57 USD |
| Dec. 21, 2015 | 1.1180 |
| Sept. 21, 2015 | 0.9660 |
| June 22, 2015 | 0.8830 |
| March 27, 2015 | 1.6030 |
| 2014 | 3.55 USD |
| Dec. 22, 2014 | 1.0470 |
| Sept. 22, 2014 | 0.8920 |
| June 23, 2014 | 0.8020 |
| March 31, 2014 | 0.8100 |
| 2013 | 3.13 USD |
| Dec. 27, 2013 | 0.8920 |
| Sept. 27, 2013 | 0.7830 |
| June 28, 2013 | 0.7810 |
| March 28, 2013 | 0.6710 |
| 2012 | 2.83 USD |
| Dec. 27, 2012 | 0.9160 |
| Sept. 28, 2012 | 0.7110 |
| June 29, 2012 | 0.6320 |
| March 30, 2012 | 0.5710 |
| 2011 | 2.36 USD |
| Dec. 28, 2011 | 0.6780 |
| Sept. 30, 2011 | 0.5900 |
| June 30, 2011 | 0.5560 |
| March 31, 2011 | 0.5360 |
| 2010 | 2.12 USD |
| Dec. 29, 2010 | 0.5870 |
| Sept. 28, 2010 | 0.5580 |
| June 29, 2010 | 0.5150 |
| March 30, 2010 | 0.4600 |
| 2009 | 2.21 USD |
| Dec. 29, 2009 | 0.7140 |
| Sept. 29, 2009 | 0.5040 |
| June 24, 2009 | 0.4570 |
| March 27, 2009 | 0.5330 |
| 2008 | 2.52 USD |
| Dec. 29, 2008 | 0.6670 |
| Sept. 26, 2008 | 0.6560 |
| June 27, 2008 | 0.5890 |
| March 28, 2008 | 0.6100 |
| 2007 | 2.56 USD |
| Dec. 24, 2007 | 0.7500 |
| Sept. 24, 2007 | 0.6400 |
| June 25, 2007 | 0.6000 |
| March 26, 2007 | 0.5700 |
| 2006 | 2.24 USD |
| Dec. 27, 2006 | 0.6700 |
| Sept. 25, 2006 | 0.5400 |
| June 26, 2006 | 0.5200 |
| March 20, 2006 | 0.5100 |
| 2005 | 2.88 USD |
| Dec. 29, 2005 | 0.6000 |
| Sept. 26, 2005 | 0.5600 |
| June 27, 2005 | 0.4400 |
| March 28, 2005 | 0.4500 |
| Jan. 3, 2005 | 0.8300 |
| 2004 | 2.42 USD |
| Sept. 27, 2004 | 0.4400 |
| June 28, 2004 | 0.3700 |
| June 18, 2004 | 0.3700 |
| March 29, 2004 | 0.3800 |
| March 19, 2004 | 0.3800 |
| Jan. 2, 2004 | 0.4800 |
| 2003 | 1.55 USD |
| Sept. 29, 2003 | 0.3800 |
| June 23, 2003 | 0.3300 |
| March 31, 2003 | 0.3400 |
| Feb. 28, 2003 | 0.0410 |
| Jan. 31, 2003 | 0.0460 |
| Jan. 2, 2003 | 0.4100 |
| 2002 | 1.44 USD |
| Nov. 29, 2002 | 0.0450 |
| Sept. 30, 2002 | 0.3700 |
| June 24, 2002 | 0.3200 |
| March 25, 2002 | 0.3100 |
| Jan. 2, 2002 | 0.4000 |
| 2001 | 1.36 USD |
| Sept. 24, 2001 | 0.3550 |
| June 25, 2001 | 0.3000 |
| March 19, 2001 | 0.3200 |
| Jan. 2, 2001 | 0.3800 |
| 2000 | 1.95 USD |
| Sept. 25, 2000 | 0.3400 |
| June 26, 2000 | 0.3400 |
| March 27, 2000 | 0.3400 |
| Jan. 3, 2000 | 0.9340 |
| 1999 | 2.75 USD |
| Sept. 27, 1999 | 0.3900 |
| June 28, 1999 | 0.4300 |
| March 30, 1999 | 0.7200 |
| Jan. 4, 1999 | 1.2110 |
| 1998 | 2.31 USD |
| Sept. 29, 1998 | 0.3000 |
| June 30, 1998 | 0.3000 |
| March 31, 1998 | 0.5050 |
| Jan. 2, 1998 | 1.2010 |
| 1997 | 1.43 USD |
| Sept. 29, 1997 | 0.2700 |
| June 30, 1997 | 0.0950 |
| March 31, 1997 | 0.3650 |
| Jan. 2, 1997 | 0.7000 |
| 1996 | 1.36 USD |
| Sept. 30, 1996 | 0.2200 |
| June 28, 1996 | 0.2200 |
| March 29, 1996 | 0.3100 |
| Jan. 2, 1996 | 0.6100 |
| 1995 | 1.34 USD |
| Sept. 29, 1995 | 0.0800 |
| June 26, 1995 | 0.2200 |
| March 27, 1995 | 0.2200 |
| Jan. 3, 1995 | 0.8200 |
| 1994 | 1.19 USD |
| Sept. 26, 1994 | 0.2200 |
| June 27, 1994 | 0.2200 |
| March 28, 1994 | 0.2200 |
| Jan. 3, 1994 | 0.5300 |
| 1993 | 1.50 USD |
| Sept. 27, 1993 | 0.2200 |
| June 28, 1993 | 0.2200 |
| March 29, 1993 | 0.3000 |
| Jan. 5, 1993 | 0.7600 |
| 1992 | 1.28 USD |
| Oct. 1, 1992 | 0.2200 |
| July 1, 1992 | 0.2200 |
| April 1, 1992 | 0.2200 |
| Jan. 2, 1992 | 0.6200 |
| 1991 | 0.54 USD |
| Oct. 2, 1991 | 0.1800 |
| June 27, 1991 | 0.1800 |
| April 3, 1991 | 0.1800 |
| 1990 | 0.52 USD |
| Dec. 27, 1990 | 0.5200 |
Yearly aggregated dividends
|
Vanguard Institutional Index Fund Institutional Shares
Mar 25, 2026 Paid
Dividend
5.482 USD |
|
Vanguard Institutional Index Fund Institutional Shares
Dec 24, 2025 Paid
Dividend
6.08696 USD |
|
Vanguard Institutional Index Fund Institutional Shares
Sep 25, 2025 Paid
Dividend
1.5182 USD |
|
Vanguard Institutional Index Fund Institutional Shares
Jun 27, 2025 Paid
Dividend
1.5347 USD |
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