Vanguard Global ex-U.S. Aggregate Bond Index ETF (CAD-hedged) (NEO:VBG)
Canada flag Canada · Delayed Price · Currency is CAD
22.82
-0.03 (-0.13%)
At close: Dec 5, 2025

NEO:VBG Dividend Information

NEO:VBG has a dividend yield of 3.53% and paid 0.81 CAD per share in the past year. The dividend is paid every month and the last ex-dividend date was Dec 1, 2025.

Dividend Yield
3.53%
Annual Dividend
0.81 CAD
Ex-Dividend Date
Dec 1, 2025
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
-8.33%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-12-010.03579 CAD2025-12-012025-12-08
2025-11-030.03682 CAD2025-11-032025-11-10
2025-10-010.03592 CAD2025-10-012025-10-08
2025-09-020.03705 CAD2025-09-022025-09-09
2025-08-010.03636 CAD2025-08-012025-08-11
2025-07-020.03521 CAD2025-07-022025-07-09
2025-06-020.03814 CAD2025-06-022025-06-09
2025-05-010.03335 CAD2025-05-012025-05-08
2025-04-010.03767 CAD2025-04-012025-04-08
2025-03-030.03108 CAD2025-03-032025-03-10
2025-02-030.04478 CAD2025-02-032025-02-10
2024-12-240.40434 CAD2024-12-242025-01-03
2024-12-020.03148 CAD2024-12-022024-12-09
2024-11-010.03412 CAD2024-11-012024-11-08
2024-10-010.03432 CAD2024-10-012024-10-08
2024-09-030.03298 CAD2024-09-032024-09-10
2024-08-010.03433 CAD2024-08-012024-08-09
2024-07-020.03156 CAD2024-07-022024-07-09
2024-06-030.03225 CAD2024-06-032024-06-10
2024-05-010.03017 CAD2024-05-022024-05-09
2024-04-010.03127 CAD2024-04-022024-04-09
2024-03-010.02753 CAD2024-03-042024-03-11
2024-02-010.02588 CAD2024-02-022024-02-09
2023-12-220.53395 CAD2023-12-272024-01-04
2023-12-010.02767 CAD2023-12-042023-12-11
2023-11-010.02878 CAD2023-11-022023-11-09
2023-09-290.02495 CAD2023-10-032023-10-11
2023-09-010.02815 CAD2023-09-052023-09-12
2023-08-040.02624 CAD2023-08-082023-08-15
2023-07-050.0248 CAD2023-07-062023-07-13
2023-06-010.02328 CAD2023-06-022023-06-09
2023-05-010.02143 CAD2023-05-022023-05-09
2023-04-030.0237 CAD2023-04-042023-04-11
2023-03-010.01872 CAD2023-03-022023-03-09
2023-02-010.02428 CAD2023-02-022023-02-09
2022-12-230.07926 CAD2022-12-282023-01-05
2022-12-010.02193 CAD2022-12-022022-12-09
2022-11-010.0216 CAD2022-11-022022-11-09
2022-10-030.01863 CAD2022-10-042022-10-12
2022-09-010.01944 CAD2022-09-022022-09-12
2022-08-020.01642 CAD2022-08-032022-08-10
2022-07-050.01633 CAD2022-07-062022-07-13
2022-06-010.01539 CAD2022-06-022022-06-09
2022-05-020.01524 CAD2022-05-032022-05-10
2022-04-010.01217 CAD2022-04-042022-04-11
2022-03-010.01103 CAD2022-03-022022-03-09
2022-02-010.01191 CAD2022-02-022022-02-09
2021-12-230.65233 CAD2021-12-242022-01-05
2021-12-010.00784 CAD2021-12-022021-12-09
2021-11-010.00835 CAD2021-11-022021-11-09
2021-10-010.00966 CAD2021-10-042021-10-12
2021-09-010.01058 CAD2021-09-022021-09-10
2021-08-030.00923 CAD2021-08-042021-08-11
2021-07-020.01106 CAD2021-07-052021-07-12
2021-06-010.00967 CAD2021-06-022021-06-09
2021-05-030.00875 CAD2021-05-042021-05-11
2021-04-010.01056 CAD2021-04-052021-04-12
2021-03-010.01742 CAD2021-03-022021-03-09
2021-02-010.01474 CAD2021-02-022021-02-09
2020-12-230.04714 CAD2020-12-242021-01-05
* Dividend amounts are adjusted for stock splits when applicable.

Dividend Charts