Vanguard Short-Term Bond Index Fund (VBIPX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.33
-0.01 (-0.10%)
At close: Dec 5, 2025

VBIPX Dividend Information

VBIPX has an annual dividend of $0.40 per share, with a yield of 3.82%. The dividend is paid every month and the last ex-dividend date was Nov 28, 2025.

Dividend Yield
3.82%
Annual Dividend
$0.40
Ex-Dividend Date
Nov 28, 2025
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
17.34%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-11-28$0.033722025-11-282025-12-01
2025-10-31$0.034752025-10-312025-11-03
2025-09-30$0.033412025-09-302025-10-01
2025-08-29$0.034292025-08-292025-09-02
2025-07-31$0.03412025-07-312025-08-01
2025-06-30$0.032882025-06-302025-07-01
2025-05-30$0.033692025-05-302025-06-02
2025-04-30$0.032422025-04-302025-05-01
2025-03-31$0.033112025-03-312025-04-01
2025-02-28$0.029572025-02-282025-03-03
2025-01-31$0.032042025-01-312025-02-03
2024-12-31$0.031662024-12-312025-01-02
2024-11-29$0.030322024-11-292024-12-02
2024-10-31$0.030692024-10-312024-11-01
2024-09-30$0.029372024-09-302024-09-30
2024-08-30$0.03012024-08-302024-09-03
2024-07-31$0.029792024-07-312024-08-01
2024-06-28$0.028452024-06-282024-07-01
2024-05-31$0.028742024-05-312024-06-03
2024-04-30$0.026762024-04-302024-05-01
2024-03-28$0.026922024-03-282024-04-01
2024-02-29$0.024712024-02-292024-03-01
2024-01-31$0.025882024-01-312024-02-01
2023-12-29$0.025432023-12-292024-01-02
2023-11-30$0.024032023-11-302023-12-01
2023-10-31$0.024072023-10-312023-11-01
2023-09-29$0.022482023-09-292023-10-02
2023-08-31$0.022322023-08-312023-09-01
2023-07-31$0.0212023-07-312023-08-01
2023-06-30$0.019342023-06-302023-07-03
2023-05-31$0.019252023-05-312023-06-01
2023-04-28$0.018132023-04-282023-05-01
2023-03-31$0.018232023-03-312023-04-03
2023-02-28$0.015552023-02-282023-03-01
2023-01-31$0.016572023-01-312023-02-01
2022-12-30$0.015872022-12-302023-01-03
2022-11-30$0.014742022-11-302022-12-01
2022-10-31$0.014492022-10-312022-11-01
2022-09-30$0.013342022-09-302022-10-03
2022-08-31$0.0132022-08-312022-09-01
2022-07-29$0.012482022-07-292022-08-01
2022-06-30$0.011762022-06-302022-07-01
2022-05-31$0.011122022-05-312022-06-01
2022-04-29$0.009782022-04-292022-05-02
2022-03-31$0.012712022-03-312022-04-01
2022-02-28$0.008672022-02-282022-03-01
2022-01-31$0.009582022-01-312022-02-01
2021-12-31$0.009532021-12-312022-01-03
2021-12-22$0.02912021-12-212021-12-23
2021-11-30$0.009282021-11-302021-12-01
2021-10-29$0.009572021-10-292021-11-01
2021-09-30$0.009622021-09-302021-10-01
2021-08-31$0.009922021-08-312021-09-01
2021-07-30$0.010612021-07-302021-08-02
2021-06-30$0.010462021-06-302021-07-01
2021-05-28$0.011262021-05-282021-06-01
2021-04-30$0.011232021-04-302021-05-03
2021-03-31$0.01192021-03-312021-04-01
2021-02-26$0.011262021-02-262021-03-01
2021-01-29$0.013012021-01-292021-02-01
2020-12-31$0.013592020-12-312021-01-04
* Dividend amounts are adjusted for stock splits when applicable.

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