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Vanguard Emerging Markets Government Bond Index Fund VWOB · Stock Open Vanguard Emerging Markets Government Bond Index Fund in new tab

67.44 USD
Yield
6.28%
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Dividend
Dividend Yield6.28%
Annual dividends4.02 USD
Ex-Div. DateJune 1, 2026

DCF Valuation

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DCF Result

Fair Value (DCF)
Current Price
Upside
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Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Vanguard Emerging Markets Government Bond Index Fund Logo Vanguard Emerging Markets Government Bond Index Fund Analysis (VWOB)

Is Vanguard Emerging Markets Government Bond Index Fund a good investment? Vanguard Emerging Markets Government Bond Index Fund (VWOB) is currently trading at 67.44 USD.

For income investors, Vanguard Emerging Markets Government Bond Index Fund pays a dividend yield of 6.28%.

Investor FAQ

Does Vanguard Emerging Markets Government Bond Index Fund pay a dividend?

Yes, it pays an annual dividend of 4.02 USD (6.28% yield).

What asset class is Vanguard Emerging Markets Government Bond Index Fund?

Vanguard Emerging Markets Government Bond Index Fund is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

The manager employs an indexing investment approach designed to track the performance of index. All of the fund's investments will be selected through the sampling process, and under normal circumstances at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in the bonds that make up the target index. It is non-diversified.

Exchange Ticker
VWOB
Trades
Dividend Yield
6.28%
Annual Dividends
4.02USD
Next Ex. Div Date
June 1, 2026
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
1.32 USD
May 6, 2027 (estimated) 0.3337
April 6, 2027 (estimated) 0.3221
March 8, 2027 (estimated) 0.3302
Feb. 8, 2027 (estimated) 0.3329
2026
3.69 USD
Dec. 7, 2026 (estimated) 0.3346
Nov. 6, 2026 (estimated) 0.3402
Oct. 7, 2026 (estimated) 0.3136
Sept. 8, 2026 (estimated) 0.3285
Aug. 5, 2026 (estimated) 0.4059
July 8, 2026 (estimated) 0.3378
June 3, 2026 0.3190
May 5, 2026 0.3180
April 6, 2026 0.3290
March 4, 2026 0.3200
Feb. 4, 2026 0.3400
2025
4.00 USD
Dec. 22, 2025 0.3150
Dec. 3, 2025 0.3190
Nov. 5, 2025 0.3170
Oct. 3, 2025 0.3140
Sept. 4, 2025 0.3140
Aug. 5, 2025 0.3860
July 3, 2025 0.3170
June 4, 2025 0.3160
May 5, 2025 0.3240
April 3, 2025 0.3450
March 5, 2025 0.3460
Feb. 5, 2025 0.3820
2024
3.84 USD
Dec. 27, 2024 0.3250
Dec. 4, 2024 0.3340
Nov. 5, 2024 0.3520
Oct. 3, 2024 0.3210
Sept. 5, 2024 0.3230
Aug. 5, 2024 0.3370
July 3, 2024 0.3170
June 5, 2024 0.3170
May 6, 2024 0.3070
April 4, 2024 0.3160
March 6, 2024 0.3160
Feb. 6, 2024 0.2760
2023
3.51 USD
Dec. 28, 2023 0.3040
Dec. 6, 2023 0.2810
Nov. 6, 2023 0.3010
Oct. 5, 2023 0.2970
Sept. 7, 2023 0.2980
Aug. 4, 2023 0.3020
July 7, 2023 0.2920
June 6, 2023 0.2930
May 4, 2023 0.2900
April 6, 2023 0.2880
March 6, 2023 0.2830
Feb. 6, 2023 0.2770
2022
3.24 USD
Dec. 29, 2022 0.2800
Dec. 6, 2022 0.2670
Nov. 4, 2022 0.2930
Oct. 6, 2022 0.2680
Sept. 7, 2022 0.2690
Aug. 4, 2022 0.2700
July 7, 2022 0.2670
June 6, 2022 0.2570
May 5, 2022 0.2640
April 6, 2022 0.2670
March 4, 2022 0.2700
Feb. 4, 2022 0.2630
2021
3.14 USD
Dec. 29, 2021 0.2530
Dec. 6, 2021 0.2760
Nov. 4, 2021 0.2630
Oct. 6, 2021 0.2740
Sept. 7, 2021 0.2650
Aug. 5, 2021 0.2650
July 7, 2021 0.2730
June 4, 2021 0.2430
May 6, 2021 0.2670
April 7, 2021 0.2710
March 4, 2021 0.2370
Feb. 4, 2021 0.2490
2020
3.44 USD
Dec. 29, 2020 0.2620
Dec. 4, 2020 0.2710
Nov. 5, 2020 0.2680
Oct. 6, 2020 0.3310
Sept. 4, 2020 0.2710
Aug. 6, 2020 0.2780
July 7, 2020 0.2470
June 4, 2020 0.3020
May 6, 2020 0.2540
April 6, 2020 0.3590
March 5, 2020 0.2880
Feb. 6, 2020 0.3070
2019
3.73 USD
Dec. 27, 2019 0.3330
Dec. 5, 2019 0.3040
Nov. 6, 2019 0.3260
Oct. 4, 2019 0.3070
Sept. 6, 2019 0.3160
Aug. 6, 2019 0.3280
July 5, 2019 0.3060
June 6, 2019 0.3310
May 6, 2019 0.2950
April 4, 2019 0.3210
March 6, 2019 0.2690
Feb. 6, 2019 0.2910
2018
3.37 USD
Dec. 28, 2018 0.3150
Dec. 6, 2018 0.2880
Nov. 6, 2018 0.3050
Oct. 4, 2018 0.2820
Sept. 7, 2018 0.2950
Aug. 6, 2018 0.2940
July 6, 2018 0.2630
June 6, 2018 0.2860
May 4, 2018 0.2630
April 5, 2018 0.2990
March 6, 2018 0.2350
Feb. 6, 2018 0.2480
2017
3.70 USD
Dec. 29, 2017 0.3340
Dec. 6, 2017 0.2930
Nov. 6, 2017 0.3350
Oct. 5, 2017 0.3030
Sept. 8, 2017 0.3350
Aug. 7, 2017 0.3040
July 10, 2017 0.3030
June 7, 2017 0.2990
May 5, 2017 0.3030
April 7, 2017 0.3180
March 7, 2017 0.3030
Feb. 7, 2017 0.2730
2016
3.65 USD
Dec. 29, 2016 0.3290
Dec. 7, 2016 0.3170
Nov. 7, 2016 0.2950
Oct. 7, 2016 0.3030
Sept. 8, 2016 0.2950
Aug. 5, 2016 0.3110
July 8, 2016 0.3030
June 7, 2016 0.3340
May 6, 2016 0.2990
April 7, 2016 0.3070
March 7, 2016 0.3010
Feb. 5, 2016 0.2600
2015
3.65 USD
Dec. 30, 2015 0.3650
Dec. 7, 2015 0.3170
Nov. 6, 2015 0.2860
Oct. 7, 2015 0.2870
Sept. 8, 2015 0.3030
Aug. 7, 2015 0.2940
July 8, 2015 0.2950
June 5, 2015 0.2940
May 7, 2015 0.2970
April 8, 2015 0.3130
March 6, 2015 0.2860
Feb. 6, 2015 0.3090
2014
3.43 USD
Dec. 30, 2014 0.3160
Dec. 5, 2014 0.2630
Nov. 7, 2014 0.2930
Oct. 7, 2014 0.2930
Sept. 8, 2014 0.2850
Aug. 7, 2014 0.2840
July 8, 2014 0.3010
June 6, 2014 0.2930
May 7, 2014 0.2780
April 7, 2014 0.2960
March 7, 2014 0.2870
Feb. 7, 2014 0.2360
2013
1.83 USD
Dec. 31, 2013 0.3330
Dec. 6, 2013 0.2760
Nov. 7, 2013 0.2770
Oct. 7, 2013 0.2310
Sept. 9, 2013 0.2600
Aug. 7, 2013 0.2610
July 8, 2013 0.1890
Upcoming Dividends
Name Payment Date Status Amount
Vanguard Emerging Markets Government Bond Index Fund Jun 03, 2026 0.319 USD
Vanguard Emerging Markets Government Bond Index Fund May 05, 2026 0.318 USD
Vanguard Emerging Markets Government Bond Index Fund Apr 06, 2026 0.329 USD
Vanguard Emerging Markets Government Bond Index Fund Mar 04, 2026 0.32 USD
Vanguard Emerging Markets Government Bond Index Fund Feb 04, 2026 0.34 USD
Vanguard Emerging Markets Government Bond Index Fund Dec 22, 2025 0.315 USD
Vanguard Emerging Markets Government Bond Index Fund Dec 03, 2025 0.319 USD
Vanguard Emerging Markets Government Bond Index Fund Nov 05, 2025 0.317 USD
Vanguard Emerging Markets Government Bond Index Fund Oct 03, 2025 0.314 USD
Vanguard Emerging Markets Government Bond Index Fund Sep 04, 2025 0.314 USD
Vanguard Emerging Markets Government Bond Index Fund Aug 05, 2025 0.386 USD
Vanguard Emerging Markets Government Bond Index Fund Jul 03, 2025 0.317 USD
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