Energy: 5.23%
Utilities: 3.14%
Healthcare: 9.72%
Technology: 13.38%
Industrials: 15.05%
Real Estate: 3.07%
Basic Materials: 7.31%
Consumer Cyclical: 10.58%
Consumer Defensive: 6.63%
Financial Services: 20.49%
Communication Services: 5.40%
Chile: 0.15%
China: 7.11%
India: 6.44%
Italy: 1.66%
Japan: 15.72%
Spain: 1.63%
Brazil: 1.33%
Canada: 6.74%
France: 5.84%
Greece: 0.14%
Israel: 0.40%
Mexico: 0.64%
Norway: 0.50%
Poland: 0.29%
Sweden: 2.24%
Taiwan: 5.75%
Turkey: 0.35%
Austria: 0.19%
Belgium: 0.54%
Denmark: 2.23%
Finland: 0.66%
Germany: 4.93%
Hungary: 0.06%
Ireland: 0.20%
Colombia: 0.03%
Malaysia: 0.52%
Pakistan: 0.01%
Portugal: 0.11%
Thailand: 0.52%
Australia: 4.81%
Hong Kong: 1.10%
Indonesia: 0.48%
Singapore: 0.83%
Netherlands: 3.22%
New Zealand: 0.24%
Philippines: 0.16%
South Korea: 3.48%
Switzerland: 5.95%
South Africa: 0.84%
United States: 0.88%
Czech Republic: 0.03%
United Kingdom: 8.90%
The manager employs an indexing investment approach designed to track the performance of the FTSE Global All Cap ex US Index, a float-adjusted market-capitalization-weighted index designed to measure equity market performance of companies located in developed and emerging markets, excluding the United States. The fund invests all, or substantially all, of its assets in the common stocks included in its target index.
2.92%
1.95 USD
June 20, 2025
Year | Total Dividends |
---|---|
2026 | 0.87 USD |
June 24, 2026 (estimated) | 0.6850 |
March 25, 2026 (estimated) | 0.1887 |
2025 | 2.09 USD |
Dec. 21, 2025 (estimated) | 1.1430 |
Sept. 24, 2025 (estimated) | 0.2735 |
June 24, 2025 | 0.4851 |
March 25, 2025 | 0.1909 |
2024 | 3.97 USD |
Dec. 24, 2024 | 1.0049 |
Dec. 20, 2024 | 1.0050 |
Sept. 24, 2024 | 0.2723 |
Sept. 20, 2024 | 0.2720 |
June 25, 2024 | 0.4835 |
June 21, 2024 | 0.4840 |
March 20, 2024 | 0.2235 |
March 15, 2024 | 0.2240 |
2023 | 3.76 USD |
Dec. 21, 2023 | 0.8471 |
Dec. 18, 2023 | 0.8470 |
Sept. 21, 2023 | 0.2952 |
Sept. 18, 2023 | 0.2950 |
June 23, 2023 | 0.6180 |
June 20, 2023 | 0.6180 |
March 23, 2023 | 0.1205 |
March 20, 2023 | 0.1210 |
2022 | 3.20 USD |
Dec. 22, 2022 | 0.6289 |
Dec. 19, 2022 | 0.6290 |
Sept. 22, 2022 | 0.2804 |
Sept. 19, 2022 | 0.2800 |
June 24, 2022 | 0.5893 |
June 21, 2022 | 0.5890 |
March 24, 2022 | 0.1004 |
March 21, 2022 | 0.1000 |
2021 | 3.94 USD |
Dec. 23, 2021 | 0.9412 |
Dec. 20, 2021 | 0.9410 |
Sept. 23, 2021 | 0.3565 |
Sept. 20, 2021 | 0.3570 |
June 24, 2021 | 0.5148 |
June 21, 2021 | 0.5150 |
March 25, 2021 | 0.1553 |
March 22, 2021 | 0.1550 |
2020 | 2.57 USD |
Dec. 24, 2020 | 0.5903 |
Dec. 21, 2020 | 0.5900 |
Sept. 24, 2020 | 0.3385 |
Sept. 21, 2020 | 0.3390 |
June 25, 2020 | 0.2521 |
June 22, 2020 | 0.2520 |
March 26, 2020 | 0.1058 |
March 23, 2020 | 0.1060 |
2019 | 3.41 USD |
Dec. 27, 2019 | 0.6281 |
Dec. 23, 2019 | 0.6280 |
Sept. 27, 2019 | 0.3004 |
Sept. 24, 2019 | 0.3000 |
June 26, 2019 | 0.6106 |
June 21, 2019 | 0.6110 |
March 28, 2019 | 0.1656 |
March 25, 2019 | 0.1660 |
2018 | 3.00 USD |
Dec. 28, 2018 | 0.4963 |
Dec. 24, 2018 | 0.4960 |
Oct. 1, 2018 | 0.2683 |
Sept. 26, 2018 | 0.2680 |
June 27, 2018 | 0.5928 |
June 22, 2018 | 0.5930 |
March 29, 2018 | 0.1424 |
March 26, 2018 | 0.1420 |
2017 | 3.11 USD |
Dec. 27, 2017 | 0.5391 |
Dec. 21, 2017 | 0.5390 |
Sept. 25, 2017 | 0.2980 |
Sept. 20, 2017 | 0.2980 |
June 27, 2017 | 0.5560 |
June 21, 2017 | 0.5560 |
March 30, 2017 | 0.1600 |
March 24, 2017 | 0.1600 |
2016 | 2.69 USD |
Dec. 27, 2016 | 0.3900 |
Dec. 20, 2016 | 0.3900 |
Sept. 19, 2016 | 0.2740 |
Sept. 13, 2016 | 0.2740 |
June 20, 2016 | 0.5370 |
June 14, 2016 | 0.5370 |
March 21, 2016 | 0.1430 |
March 15, 2016 | 0.1430 |
2015 | 2.55 USD |
Dec. 28, 2015 | 0.3470 |
Dec. 21, 2015 | 0.3470 |
Oct. 1, 2015 | 0.2240 |
Sept. 25, 2015 | 0.2240 |
July 2, 2015 | 0.5470 |
June 26, 2015 | 0.5470 |
March 31, 2015 | 0.1580 |
March 25, 2015 | 0.1580 |
2014 | 3.29 USD |
Dec. 29, 2014 | 0.4000 |
Dec. 22, 2014 | 0.4000 |
Sept. 30, 2014 | 0.2740 |
Sept. 24, 2014 | 0.2740 |
June 30, 2014 | 0.6040 |
June 24, 2014 | 0.6040 |
March 31, 2014 | 0.3670 |
March 25, 2014 | 0.3670 |
2013 | 2.82 USD |
Dec. 27, 2013 | 0.4580 |
Dec. 20, 2013 | 0.4580 |
Sept. 27, 2013 | 0.2300 |
Sept. 23, 2013 | 0.2300 |
June 28, 2013 | 0.5990 |
June 24, 2013 | 0.5990 |
March 28, 2013 | 0.1250 |
March 22, 2013 | 0.1250 |
2012 | 2.79 USD |
Dec. 27, 2012 | 0.6360 |
Dec. 20, 2012 | 0.6360 |
Sept. 28, 2012 | 0.7570 |
Sept. 24, 2012 | 0.7570 |
2011 | 2.58 USD |
Dec. 28, 2011 | 1.2910 |
Dec. 21, 2011 | 1.2910 |
Yearly aggregated dividends
Vanguard Total Intl Stock Idx Fund
Jun 24, 2025 Paid
Dividend
0.4851 USD |
Vanguard Total Intl Stock Idx Fund
Mar 25, 2025 Paid
Dividend
0.1909 USD |
Vanguard Total Intl Stock Idx Fund
Dec 24, 2024 Paid
Dividend
1.0049 USD |
Vanguard Total Intl Stock Idx Fund
Dec 20, 2024 Paid
Dividend
1.005 USD |
Vanguard Total Intl Stock Idx Fund
Sep 24, 2024 Paid
Dividend
0.2723 USD |
Vanguard Total Intl Stock Idx Fund
Sep 20, 2024 Paid
Dividend
0.272 USD |
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