Vanguard Core-Plus Bond ETF
Vanguard Core-Plus Bond ETF (ticker: VPLS) is an actively managed fixed-income fund that seeks to provide broad exposure to the U.S. investment-grade bond market while also allocating a portion of assets to higher-yielding sectors such as high-yield corporate bonds, emerging market debt, and non-agency mortgage-backed securities. The fund is managed by Vanguard's in-house fixed income group and aims to generate total returns that exceed those of the Bloomberg U.S. Aggregate Float Adjusted Index over the long term. Its diversified approach across multiple bond sectors is designed to balance income generation with relatively moderate credit and interest-rate risk.
Dividend Yield
4.08%
TTM · NASDAQ
Last Dividend
0.31
USD · 2026-08-03
5Y Growth
—
CAGR
Frequency
Monthly
Years Paid
2
consecutive
Not Cut
—
consecutive yrs
Grown
—
consecutive yrs
Listings
| Exchange | Ticker | Currency | Yield TTM |
|---|---|---|---|
| NASDAQ primary | VPLS | USD | 4.08% |
Total Return
Based on 10,000 invested at the start of the period. Price return uses split-adjusted closing prices. Dividends are not reinvested.
Annual Dividends
Annual dividend per share · 2 years of data
Dividend Yield History
Dividend History
| Ex-Date ▼ | Pay-Date ▼ | Amount ▼ | Type ▼ |
|---|---|---|---|
| 03.08.2026 | 05.08.2026 | 0.31 USD | Ordinary |
| 01.07.2026 | 06.07.2026 | 0.29 USD | Ordinary |
| 01.06.2026 | 03.06.2026 | 0.29 USD | Ordinary |
| 01.05.2026 | 05.05.2026 | 0.28 USD | Ordinary |
| 01.04.2026 | 06.04.2026 | 0.29 USD | Ordinary |
| 02.03.2026 | 04.03.2026 | 0.26 USD | Ordinary |
| 02.02.2026 | 04.02.2026 | 0.29 USD | Ordinary |
| 18.12.2025 | 22.12.2025 | 0.33 USD | Ordinary |
| 18.12.2025 | 22.12.2025 | 0.01 USD | Ordinary |
| 18.12.2025 | 22.12.2025 | 0.16 USD | Ordinary |
| 01.12.2025 | 03.12.2025 | 0.29 USD | Ordinary |
| 03.11.2025 | 05.11.2025 | 0.29 USD | Ordinary |
| 01.10.2025 | 03.10.2025 | 0.28 USD | Ordinary |
| 02.09.2025 | 04.09.2025 | 0.30 USD | Ordinary |
| 01.08.2025 | 05.08.2025 | 0.31 USD | Ordinary |
| 01.07.2025 | 03.07.2025 | 0.29 USD | Ordinary |
| 02.06.2025 | 04.06.2025 | 0.30 USD | Ordinary |
| 01.05.2025 | 05.05.2025 | 0.30 USD | Ordinary |
| 01.04.2025 | 03.04.2025 | 0.29 USD | Ordinary |
| 03.03.2025 | 05.03.2025 | 0.26 USD | Ordinary |