Vanguard FTSE Emerging Markets ETF logo
VWOVanguard FTSE Emerging Markets ETF

Is the dividend yield high or low?

The dividend yield of 0.60% is 75% below its 5-year average of 2.44%, near the low end of its 5-year range (0.59%–5.18%).

As of Saturday, June 27, 2026. 20.96% below its 12-month average of 0.76%.

Dividend Yield (0.60%) = TTM Dividends/Share ($0.35) / Share Price ($58.58)

VWO Dividend Yield

VWO Dividend Yield Chart

0.60%
-7.47% 1Y
VWO Dividend Yield

VWO Average Dividend Yield Chart

VWO Dividend Yield

VWO Current vs Average Dividend Yield Chart

VWO Dividend Yield Metrics

DIVIDEND YIELD

0.60%

DIVIDEND YIELD AVG TTM

0.76%

DIVIDEND YIELD AVG 3Y

1.98%

DIVIDEND YIELD AVG 5Y

2.44%

DIVIDEND YIELD AVG 10Y

2.54%

DIVIDEND YIELD AVG 15Y

2.68%

DIVIDEND YIELD AVG 20Y

2.45%

CURRENT VS TTM AVG

-20.96%

CURRENT VS 3Y AVG

-69.77%

CURRENT VS 5Y AVG

-75.43%

CURRENT VS 10Y AVG

-76.45%

CURRENT VS 15Y AVG

-77.66%

CURRENT VS 20Y AVG

-75.57%

VWO Competitors' Dividend Yield

NAMEMARKET CAPDIVIDEND YIELDTTM3Y5Y
Vanguard FTSE Emerging Markets ETF (VWO)$161.04B0.60%0.76%1.98%2.44%
The Charles Schwab Corporation (SCHW)vs ›$157.69B1.41%1.14%1.37%1.31%
Interactive Brokers Group, Inc. (IBKR)vs ›$154.48B0.39%0.43%0.56%0.57%
BlackRock, Inc. (BLK)vs ›$149.76B2.38%1.94%2.27%2.41%
Blackstone Inc. (BX)vs ›$138.57B4.02%3.35%3.00%3.36%
Chubb Limited (CB)vs ›$132.43B1.19%1.26%1.38%1.50%
The Progressive Corporation (PGR)vs ›$131.09B0.18%0.09%0.12%0.18%
Capital One Financial Corporation (COF)vs ›$125.67B1.57%1.23%1.44%1.64%
S&P Global Inc. (SPGI)vs ›$120.82B0.95%0.81%0.81%0.84%
The PNC Financial Services Group, Inc. (PNC)vs ›$98.38B2.78%3.19%3.76%3.62%

Dividend Yield Formula & Definition

Dividend yield is the trailing-12-month dividends per share divided by the share price — the cash income the stock pays at today's price. A yield far above a company's own history can signal either value or a market doubting the dividend; read it with the payout ratio.

Expanded definitions: Investopedia, Wikipedia, Corporate Finance Institute

Dividend Yield FAQ

What is the dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The dividend yield for VWO stock is 0.60%.
Is Vanguard FTSE Emerging Markets ETF's dividend yield high or low?
The dividend yield of 0.60% is 75% below its 5-year average of 2.44%, near the low end of its 5-year range (0.59%–5.18%).
What is the TTM average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The TTM average dividend yield for VWO stock is 0.76%.
What is the 3Y average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The 3Y average dividend yield for VWO stock is 1.98%.
What is the 5Y average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The 5Y average dividend yield for VWO stock is 2.44%.
What is the 10Y average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The 10Y average dividend yield for VWO stock is 2.54%.
What is the 15Y average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The 15Y average dividend yield for VWO stock is 2.68%.
What is the 20Y average dividend yield for Vanguard FTSE Emerging Markets ETF (VWO)?
The 20Y average dividend yield for VWO stock is 2.45%.

VWO Dividend Yield History

DATEDIVIDEND YIELD
2026-06-260.60%
2026-06-250.60%
2026-06-230.59%
2026-06-180.80%
2026-06-160.69%
2026-06-120.70%
2026-06-100.72%
2026-06-080.72%
2026-06-040.69%
2026-06-020.68%
2026-05-290.70%
2026-05-270.69%
2026-05-220.71%
2026-05-200.71%
2026-05-180.71%
2026-05-140.70%
2026-05-120.70%
2026-05-080.69%
2026-05-060.69%
2026-05-040.71%
2026-04-300.71%
2026-04-280.72%
2026-04-240.71%
2026-04-220.71%
2026-04-200.71%
2026-04-160.72%
2026-04-140.72%
2026-04-100.74%
2026-04-080.74%
2026-04-060.77%
2026-04-010.77%
2026-03-300.80%
2026-03-260.79%
2026-03-240.78%
2026-03-200.88%
2026-03-180.86%
2026-03-160.84%
2026-03-120.86%
2026-03-100.84%
2026-03-060.85%
2026-03-040.84%
2026-03-020.81%
2026-02-260.80%
2026-02-240.79%
2026-02-200.79%
2026-02-180.80%
2026-02-130.80%
2026-02-110.79%
2026-02-090.80%
2026-02-050.83%
2026-02-030.82%
2026-01-300.82%
2026-01-280.80%
2026-01-260.82%
2026-01-220.82%
2026-01-200.84%
2026-01-150.82%
2026-01-130.83%
2026-01-090.84%
2026-01-070.84%
2026-01-050.84%
2025-12-310.86%
2025-12-290.87%
2025-12-240.87%
2025-12-220.87%
2025-12-180.87%
2025-12-160.87%
2025-12-120.86%
2025-12-100.85%
2025-12-080.86%
2025-12-040.86%
2025-12-020.86%
2025-11-280.86%
2025-11-250.86%
2025-11-210.88%
2025-11-190.86%
2025-11-170.86%
2025-11-130.85%
2025-11-110.84%
2025-11-070.85%
2025-11-050.85%
2025-11-030.84%
2025-10-300.84%
2025-10-280.84%
2025-10-240.84%
2025-10-220.85%
2025-10-200.84%
2025-10-160.85%
2025-10-140.87%
2025-10-100.88%
2025-10-080.85%
2025-10-060.85%
2025-10-020.85%
2025-09-300.86%
2025-09-260.87%
2025-09-240.86%
2025-09-220.86%
2025-09-180.59%
2025-09-160.59%
2025-09-120.60%
2025-09-100.60%
2025-09-080.61%
2025-09-040.62%
2025-09-020.62%
2025-08-280.62%
2025-08-260.62%
2025-08-220.61%
2025-08-200.62%
2025-08-180.62%
2025-08-140.62%
2025-08-120.62%
2025-08-080.63%
2025-08-060.63%
2025-08-040.64%
2025-07-310.64%
2025-07-290.63%
2025-07-250.63%
2025-07-230.62%
2025-07-210.63%
2025-07-170.63%
2025-07-150.64%
2025-07-110.64%
2025-07-090.64%
2025-07-070.65%
2025-07-020.64%
2025-06-300.65%
2025-06-260.65%
2025-06-240.65%
2025-06-170.73%
2025-06-130.73%
2025-06-110.72%
2025-06-090.72%
2025-06-050.73%
2025-06-030.74%
2025-05-300.75%
2025-05-280.74%
2025-05-230.74%
2025-05-210.74%
2025-05-190.73%
2025-05-150.74%
2025-05-130.74%
2025-05-090.76%
2025-05-070.76%
2025-05-050.75%
2025-05-010.78%
2025-04-290.78%
2025-04-250.78%
2025-04-230.79%
2025-04-210.81%
2025-04-160.82%
2025-04-140.81%
2025-04-100.84%
2025-04-080.88%
2025-04-040.83%
2025-04-020.77%
2025-03-310.78%
2025-03-270.76%
2025-03-250.76%
2025-03-210.76%
2025-03-190.65%
2025-03-170.65%
2025-03-130.76%
2025-03-110.76%
2025-03-070.75%
2025-03-050.75%
2025-03-030.77%
2025-02-270.76%
2025-02-250.75%
2025-02-210.74%
2025-02-190.75%
2025-02-140.75%
2025-02-120.76%
2025-02-100.76%
2025-02-060.77%
2025-02-040.77%
2025-01-310.77%
2025-01-290.78%
2025-01-270.78%
2025-01-230.77%
2025-01-210.78%
2025-01-160.79%
2025-01-140.80%
2025-01-100.80%
2025-01-070.78%
2025-01-030.78%
2024-12-310.78%
2024-12-270.77%
2024-12-240.77%
2024-12-200.77%
2024-12-180.76%
2024-12-162.61%
2024-12-122.60%
2024-12-102.59%
2024-12-062.61%
2024-12-042.62%
2024-12-022.64%
2024-11-272.66%
2024-11-252.66%
2024-11-212.66%
2024-11-192.65%
2024-11-152.68%
2024-11-132.66%
2024-11-112.60%
2024-11-072.52%
2024-11-052.55%
2024-11-012.59%
2024-10-302.59%
2024-10-282.56%
2024-10-242.57%
2024-10-222.55%
2024-10-182.53%
2024-10-162.55%
2024-10-142.52%
2024-10-102.53%
2024-10-082.51%
2024-10-042.46%
2024-10-022.46%
2024-09-302.52%
2024-09-262.50%
2024-09-242.56%
2024-09-202.67%
2024-09-182.41%
2024-09-163.14%
2024-09-123.17%
2024-09-103.21%
2024-09-063.22%
2024-09-043.18%
2024-08-303.13%
2024-08-283.15%
2024-08-263.13%
2024-08-223.15%
2024-08-203.13%
2024-08-163.13%
2024-08-143.20%
2024-08-123.20%
2024-08-083.23%
2024-08-063.32%
2024-08-023.25%
2024-07-313.16%
2024-07-293.22%
2024-07-253.24%
2024-07-233.20%
2024-07-193.19%
2024-07-173.13%
2024-07-153.11%
2024-07-113.09%
2024-07-093.12%
2024-07-053.14%
2024-07-023.18%
2024-06-283.20%
2024-06-263.21%
2024-06-243.19%
2024-06-202.78%
2024-06-173.31%
2024-06-133.34%
2024-06-113.36%
2024-06-073.37%
2024-06-053.36%
2024-06-033.35%
2024-05-303.35%

Showing the most recent 260 of 2,571 data points. The chart above shows the full history.

About Vanguard FTSE Emerging Markets ETF

This ETF is designed to invest in equities of companies situated in developing economies worldwide, including notable markets such as China, Brazil, Taiwan, and South Africa. Its primary objective is to closely mirror the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. While this investment offers significant potential for capital appreciation, it also entails considerable risk; its market value can experience greater fluctuations compared to equity funds that focus on more established economies, like the United States. Consequently, it is best suited for investors with a long-term investment horizon. To ensure diversification, and pertaining to 75% of its total assets, the fund typically refrains from purchasing more than 10% of an issuer's voting shares or dedicating over 5% of its total assets to any single issuer's securities. An exception to these guidelines is permitted if required to align with the composition of its target index. Furthermore, these concentration restrictions do not extend to obligations issued by the U.S. government or its agencies.

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Financial Services / Asset Management - Global
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Asset Management - Global