Vanguard Short-Term Corporate Bond Index Fund (VCSH)

🇺🇸NASDAQ

77.07 -0.04 (-0.05%)

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At close: May 17, 2024, 4:00 PM

VCSH Dividends

Vanguard Short-Term Corporate Bond Index Fund has an annual dividend yield of 3.43%, the payout is currently $2.99 per share. The dividend is paid out monthly, every month. The most recent ex-dividend date is May 01, 2024.

Dividend Yield (TTM)

3.43%

Annual Dividend (FWD)

$2.99

Ex Dividend Date

May 01, 2024

Payment Frequency

Monthly

Dividend Growth

2 Months

Dividend History

Ex-Dividend DatePayment AmountPayment Date
May 01, 2024$0.249May 06, 2024
Apr 01, 2024$0.248Apr 04, 2024
Mar 01, 2024$0.229Mar 06, 2024
Feb 01, 2024$0.234Feb 06, 2024
Dec 22, 2023$0.231Dec 28, 2023
Dec 01, 2023$0.216Dec 06, 2023
Nov 01, 2023$0.227Nov 06, 2023
Oct 02, 2023$0.215Oct 05, 2023
Sep 01, 2023$0.209Sep 07, 2023
Aug 01, 2023$0.198Aug 04, 2023
Jul 03, 2023$0.192Jul 07, 2023
Jun 01, 2023$0.195Jun 06, 2023
May 01, 2023$0.183May 04, 2023
Apr 03, 2023$0.191Apr 06, 2023
Mar 01, 2023$0.164Mar 06, 2023
Feb 01, 2023$0.172Feb 06, 2023
Dec 23, 2022$0.169Dec 29, 2022
Dec 01, 2022$0.150Dec 06, 2022
Nov 01, 2022$0.148Nov 04, 2022
Oct 03, 2022$0.144Oct 06, 2022
Sep 01, 2022$0.136Sep 07, 2022
Aug 01, 2022$0.127Aug 04, 2022
Jul 01, 2022$0.118Jul 07, 2022
Jun 01, 2022$0.116Jun 06, 2022
May 02, 2022$0.108May 05, 2022
Apr 01, 2022$0.106Apr 06, 2022
Mar 01, 2022$0.092Mar 04, 2022
Feb 01, 2022$0.099Feb 04, 2022
Dec 23, 2021$0.282Dec 29, 2021
Dec 01, 2021$0.099Dec 06, 2021
Nov 01, 2021$0.101Nov 04, 2021
Oct 01, 2021$0.108Oct 06, 2021
Sep 01, 2021$0.106Sep 07, 2021
Aug 02, 2021$0.108Aug 05, 2021
Jul 01, 2021$0.103Jul 07, 2021
Jun 01, 2021$0.110Jun 04, 2021
May 03, 2021$0.107May 06, 2021
Apr 01, 2021$0.116Apr 07, 2021
Mar 01, 2021$0.108Mar 04, 2021
Feb 01, 2021$0.124Feb 04, 2021
Dec 23, 2020$0.131Dec 29, 2020
Dec 01, 2020$0.129Dec 04, 2020
Nov 02, 2020$0.140Nov 05, 2020
Oct 01, 2020$0.141Oct 06, 2020
Sep 01, 2020$0.144Sep 04, 2020
Aug 03, 2020$0.158Aug 06, 2020
Jul 01, 2020$0.152Jul 07, 2020
Jun 01, 2020$0.174Jun 04, 2020
May 01, 2020$0.169May 06, 2020
Apr 01, 2020$0.202Apr 06, 2020
Mar 02, 2020$0.162Mar 05, 2020
Feb 03, 2020$0.185Feb 06, 2020
Dec 23, 2019$0.203Dec 27, 2019
Dec 02, 2019$0.183Dec 05, 2019
Nov 01, 2019$0.20Nov 06, 2019
Oct 01, 2019$0.189Oct 04, 2019
Sep 03, 2019$0.196Sep 06, 2019
Aug 01, 2019$0.207Aug 06, 2019
Jul 01, 2019$0.192Jul 05, 2019
Jun 03, 2019$0.207Jun 06, 2019
May 01, 2019$0.191May 06, 2019
Apr 01, 2019$0.215Apr 04, 2019
Mar 01, 2019$0.174Mar 06, 2019
Feb 01, 2019$0.169Feb 06, 2019
Dec 24, 2018$0.205Dec 28, 2018
Dec 03, 2018$0.178Dec 06, 2018
Nov 01, 2018$0.190Nov 06, 2018
Oct 01, 2018$0.174Oct 04, 2018
Sep 04, 2018$0.174Sep 07, 2018
Aug 01, 2018$0.180Aug 06, 2018
Jul 02, 2018$0.165Jul 06, 2018
Jun 01, 2018$0.174Jun 06, 2018
May 01, 2018$0.158May 04, 2018
Apr 02, 2018$0.183Apr 05, 2018
Mar 01, 2018$0.142Mar 06, 2018
Feb 01, 2018$0.143Feb 06, 2018
Dec 26, 2017$0.173Dec 29, 2017
Dec 01, 2017$0.153Dec 06, 2017
Nov 01, 2017$0.153Nov 06, 2017
Oct 02, 2017$0.152Oct 05, 2017
Sep 01, 2017$0.151Sep 08, 2017
Aug 01, 2017$0.151Aug 07, 2017
Jul 03, 2017$0.149Jul 10, 2017
Jun 01, 2017$0.15Jun 07, 2017
May 01, 2017$0.147May 05, 2017
Apr 03, 2017$0.15Apr 07, 2017
Mar 01, 2017$0.14Mar 07, 2017
Feb 01, 2017$0.119Feb 07, 2017
Dec 22, 2016$0.162Dec 29, 2016
Dec 01, 2016$0.136Dec 07, 2016
Nov 01, 2016$0.137Nov 07, 2016
Oct 03, 2016$0.14Oct 07, 2016
Sep 01, 2016$0.14Sep 08, 2016
Aug 01, 2016$0.143Aug 05, 2016
Jul 01, 2016$0.144Jul 08, 2016
Jun 01, 2016$0.144Jun 07, 2016
May 02, 2016$0.137May 06, 2016
Apr 01, 2016$0.14Apr 07, 2016
Mar 01, 2016$0.135Mar 07, 2016
Feb 01, 2016$0.111Feb 05, 2016
Dec 23, 2015$0.23Dec 30, 2015
Dec 01, 2015$0.133Dec 07, 2015
Nov 02, 2015$0.134Nov 06, 2015
Oct 01, 2015$0.132Oct 07, 2015
Sep 01, 2015$0.128Sep 08, 2015
Aug 03, 2015$0.131Aug 07, 2015
Jul 01, 2015$0.128Jul 08, 2015
Jun 01, 2015$0.128Jun 05, 2015
May 01, 2015$0.124May 07, 2015
Apr 01, 2015$0.134Apr 08, 2015
Mar 02, 2015$0.124Mar 06, 2015
Feb 02, 2015$0.116Feb 06, 2015
Dec 23, 2014$0.277Dec 30, 2014
Dec 01, 2014$0.118Dec 05, 2014
Nov 03, 2014$0.125Nov 07, 2014
Oct 01, 2014$0.122Oct 07, 2014
Sep 02, 2014$0.114Sep 08, 2014
Aug 01, 2014$0.121Aug 07, 2014
Jul 01, 2014$0.119Jul 08, 2014
Jun 02, 2014$0.122Jun 06, 2014
May 01, 2014$0.118May 07, 2014
Apr 01, 2014$0.128Apr 07, 2014
Mar 03, 2014$0.119Mar 07, 2014
Feb 03, 2014$0.115Feb 07, 2014
Dec 24, 2013$0.298Dec 31, 2013
Nov 29, 2013$0.119Dec 05, 2013
Oct 31, 2013$0.122Nov 06, 2013
Sep 30, 2013$0.12Oct 04, 2013
Aug 30, 2013$0.115Sep 06, 2013
Jul 31, 2013$0.122Aug 06, 2013
Jun 28, 2013$0.119Jul 05, 2013
May 31, 2013$0.122Jun 06, 2013
Apr 30, 2013$0.115May 06, 2013
Mar 28, 2013$0.136Apr 04, 2013
Feb 28, 2013$0.121Mar 06, 2013
Jan 31, 2013$0.128Feb 06, 2013
Dec 24, 2012$0.249Dec 31, 2012
Nov 30, 2012$0.132Dec 06, 2012
Nov 02, 2012$0.136Nov 08, 2012
Sep 28, 2012$0.139Oct 04, 2012
Aug 31, 2012$0.145Sep 07, 2012
Jul 31, 2012$0.151Aug 06, 2012
Jun 29, 2012$0.148Jul 06, 2012
May 31, 2012$0.152Jun 06, 2012
Apr 30, 2012$0.144May 04, 2012
Mar 30, 2012$0.153Apr 05, 2012
Feb 29, 2012$0.143Mar 06, 2012
Jan 31, 2012$0.146Feb 06, 2012
Dec 23, 2011$0.248Dec 30, 2011
Nov 30, 2011$0.149Dec 06, 2011
Oct 31, 2011$0.153Nov 04, 2011
Sep 30, 2011$0.149Oct 06, 2011
Aug 31, 2011$0.147Sep 07, 2011
Jul 29, 2011$0.157Aug 04, 2011
Jun 30, 2011$0.149Jul 07, 2011
May 31, 2011$0.154Jun 06, 2011
Apr 29, 2011$0.141May 05, 2011
Mar 31, 2011$0.167Apr 06, 2011
Feb 28, 2011$0.135Mar 04, 2011
Jan 31, 2011$0.144Feb 04, 2011
Dec 27, 2010$0.226Dec 31, 2010
Nov 30, 2010$0.148Dec 06, 2010
Oct 29, 2010$0.156Nov 04, 2010
Sep 30, 2010$0.154Oct 06, 2010
Aug 31, 2010$0.152Sep 07, 2010
Jul 30, 2010$0.161Aug 05, 2010
Jun 30, 2010$0.142Jul 07, 2010
May 28, 2010$0.159Jun 04, 2010
Apr 30, 2010$0.132May 06, 2010
Mar 31, 2010$0.171Apr 09, 2010
Feb 26, 2010$0.127Mar 04, 2010
Jan 29, 2010$0.127Feb 04, 2010
Dec 24, 2009$0.169Dec 31, 2009

* Priced have been adjusted for splits

Dividend Price and Growth Charts

Frequently Asked Questions

52 Week Price Range74.43 - 77.72
5 Year Yield Range3.57 - 3.87%
Forward Dividend Yield3.88%
3 Year Dividend Growth8.25%
5 Year Dividend Growth2.99%
10 Year Dividend Growth5.98%
Earnings Per Share0.00
ExchangeNASDAQ
CurrencyUSD
Volume1,326,092
NAV76.94
Years Paying Dividends15 years

About VCSH

Fund Website

The fund employs an indexing investment approach designed to track the performance of the Bloomberg U.S. 1-5 Year Corporate Bond Index. This index includes U.S. dollar-denominated, investment-grade, fixed-rate, taxable securities issued by U.S. and non-U.S. industrial, utility, and financial companies, with maturities between 1 and 5 years. Under normal circumstances, at least 80% of the fund's assets will be invested in bonds included in the index.

Holding CountAsset Class
12Short-Term Bond

ETF Company

Region

VanguardUnited States