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VANGUARD EMERGING MARKETS STOCK INDEX FUND CL ADMIRAL (VEMAX) |
As of:09/22/2023
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NAV |
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Offer Price (POP) |
33.01 |
Net Change |
0.33 |
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Load % |
0.0000%
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Net Change % |
1.009792% |
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Last Dividend (09/18/2023) |
0.2673 |
Previous NAV |
32.68 |
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Last Cap Gain ST () |
0.00 |
Previous NAV Date |
09/21/2023 |
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Last Cap Gain LT () |
0.00 |
Fund Number |
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30-Day Yield % |
0.00 |
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