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VANGUARD EMERGING MARKETS STOCK INDEX FUND CL ADMIRAL (VEMAX)

As of:09/22/2023

NAV 33.01   Offer Price (POP) 33.01
Net Change 0.33   Load % 0.0000%
Net Change % 1.009792%   Last Dividend (09/18/2023) 0.2673
Previous NAV 32.68   Last Cap Gain ST () 0.00
Previous NAV Date 09/21/2023   Last Cap Gain LT () 0.00
Fund Number   30-Day Yield % 0.00
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