Vanguard Information Technology Index Fund Admiral Shares (VITAX) Dividends

Last dividend for Vanguard Information Technology Index Fund Admiral Shares (VITAX) as of June 6, 2026 is 0.38 USD. The forward dividend yield for VITAX as of June 6, 2026 is 0.30%. Average dividend growth rate for stock Vanguard Information Technology Index Fund Admiral Shares (VITAX) for past three years is 3.16%.

Dividend history for stock VITAX (Vanguard Information Technology Index Fund Admiral Shares) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

Vanguard Information Technology Index Fund Admiral Shares Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2026-03-24 2026-03-25 0.3806 USD (-1.76%) 357.32 USD 357.32 USD
2025-12-17 2025-12-18 0.3874 USD (-11.85%) 388.89 USD 388.89 USD
2025-09-24 2025-09-25 0.4395 USD (22.08%) 380.45 USD 380.45 USD
2025-06-26 0.3600 USD (-3.49%) 339.45 USD 339.45 USD
2025-03-25 0.3730 USD (-6.28%) 278.01 USD 278.01 USD
2024-12-18 0.3980 USD (-15.14%) 318.27 USD 318.27 USD
2024-09-27 2024-09-30 0.4690 USD (19.95%) 299.28 USD 299.28 USD
2024-06-28 2024-07-01 0.3910 USD (-39.47%) 295.99 USD 295.99 USD
2024-03-22 2024-03-25 0.6460 USD (58.72%) 268.51 USD 268.51 USD
2023-12-18 2023-12-19 0.4070 USD (-9.96%) 249.14 USD 249.14 USD
2023-09-27 2023-09-28 0.4520 USD (29.89%) 211.61 USD 211.61 USD
2023-06-28 2023-06-29 0.3480 USD (-12.12%) 223.78 USD 223.78 USD
2023-03-23 2023-03-24 0.3960 USD (-11.41%) 190.23 USD 190.23 USD
2022-12-14 2022-12-15 0.4470 USD (14.03%) 175.44 USD 175.81 USD
2022-09-27 2022-09-28 0.3920 USD (28.95%) 161.84 USD 162.59 USD
2022-06-22 2022-06-23 0.3040 USD (-12.39%) 165.87 USD 167.04 USD
2022-03-23 2022-03-24 0.3470 USD (-17.58%) 205.47 USD 207.30 USD
2021-12-15 2021-12-16 0.4210 USD (-7.47%) 231.60 USD 234.05 USD
2021-09-28 2021-09-29 0.4550 USD (51.67%) 204.55 USD 207.09 USD
2021-06-23 2021-06-24 0.3000 USD (-7.12%) 197.06 USD 199.93 USD
2021-03-25 2021-03-26 0.3230 USD (-8.76%) 175.96 USD 178.79 USD
2020-12-16 2020-12-17 0.3540 USD (-2.48%) 174.40 USD 177.53 USD
2020-09-10 2020-09-11 0.3630 USD (4.91%) 151.60 USD 154.63 USD
2020-06-19 2020-06-22 0.3460 USD (-19.72%) 136.21 USD 139.25 USD
2020-03-09 2020-03-10 0.4310 USD (29.43%) 108.28 USD 110.97 USD
2019-12-13 2019-12-16 0.3330 USD (-22.01%) 118.63 USD 122.01 USD
2019-09-25 2019-09-26 0.4270 USD (30.58%) 107.35 USD 110.72 USD
2019-06-20 2019-06-21 0.3270 USD (6.51%) 105.11 USD 108.83 USD
2019-03-20 2019-03-21 0.3070 USD (-6.69%) 98.05 USD 101.83 USD
2018-12-12 2018-12-13 0.3290 USD (-1.20%) 87.01 USD 90.63 USD
2018-09-21 2018-09-24 0.3330 USD (33.20%) 98.40 USD 102.87 USD
2018-06-27 2018-06-28 0.2500 USD (28.21%) 87.49 USD 91.76 USD
2018-03-15 2018-03-16 0.1950 USD (-12.95%) 88.80 USD 93.39 USD
2017-12-13 2017-12-14 0.2240 USD (3.70%) 80.00 USD 84.31 USD
2017-09-26 2017-09-27 0.2160 USD (3.85%) 72.20 USD 76.29 USD
2017-06-27 2017-06-28 0.2080 USD (11.83%) 68.47 USD 72.56 USD
2017-03-23 2017-03-24 0.1860 USD (-16.22%) 64.59 USD 68.64 USD
2016-12-13 2016-12-14 0.2220 USD (7.77%) 59.31 USD 63.20 USD
2016-09-19 2016-09-20 0.2060 USD (15.08%) 56.71 USD 60.64 USD
2016-06-20 2016-06-21 0.1790 USD (-13.94%) 51.38 USD 55.13 USD
2016-03-18 2016-03-21 0.2080 USD (0.97%) 51.17 USD 55.08 USD
2015-12-22 2015-12-23 0.2060 USD (-59.21%) 51.38 USD 55.52 USD
2015-09-22 2015-09-23 0.5050 USD (-15.97%) 47.69 USD 51.72 USD
2014-12-17 2014-12-18 0.6010 USD (25.47%) 47.68 USD 52.21 USD
2013-12-19 2013-12-20 0.4790 USD (10.37%) 40.05 USD 44.37 USD
2012-12-19 2012-12-20 0.4340 USD (75.71%) 31.87 USD 35.69 USD
2011-12-20 2011-12-21 0.2470 USD (33.51%) 27.83 USD 31.54 USD
2010-12-21 2010-12-22 0.1850 USD (56.78%) 27.66 USD 31.60 USD
2009-12-21 2009-12-22 0.1180 USD (-24.36%) 24.05 USD 27.64 USD
2008-12-19 2008-12-22 0.1560 USD (83.53%) 15.11 USD 17.44 USD
2007-12-13 2007-12-14 0.0850 USD (41.67%) 26.69 USD 31.09 USD
2006-12-15 2006-12-18 0.0600 USD (57.89%) 23.39 USD 27.32 USD
2005-12-21 2005-12-22 0.0380 USD (-88.24%) 21.43 USD 25.08 USD
2004-12-21 2004-12-22 0.3230 USD 20.39 USD 23.90 USD

VITAX

Price: $502.95

52 week price:
286.54
515.18

Dividend Yield: 0.35%

5-year range yield:
0.35%
1.02%

Forward Dividend Yield: 0.30%

Payout Ratio: 27.19%

Dividend Per Share: 1.52 USD

Earnings Per Share: 10.99 USD

P/E Ratio: 34.18

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 126.8 billion

Average Dividend Frequency: 4

Years Paying Dividends: 23

DGR3: 3.16%

DGR5: 2.13%

DGR10: 12.53%

DGR20: 19.88%

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