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VOO trailing-twelve-month payout per share and the yield it works out to

Answered against 22 years of US equities and 12 years of US options data and published with the query that produced it. This result is stored as of 2026-10-04, from VOO Dividend: Ex-Dividend Dates & Yield.

as of series 13×4read in context →
VOO trailing-twelve-month payout per share and the yield it works out to — 13 rows by 4 columns, computed from US exchange, SIP and OPRA data.
ex_dateas_of_labelttm_per_sharettm_yield_pct
2023-09-28Sep 28, 20236.22781.58
2023-12-20Dec 20, 20236.35721.48
2024-03-22Mar 22, 20246.41271.34
2024-06-28Jun 28, 20246.621.32
2024-09-27Sep 27, 20246.76611.29
2024-12-23Dec 23, 20246.70351.23
2025-03-27Mar 27, 20256.97271.34
2025-06-30Jun 30, 20256.93391.22
2025-09-29Sep 29, 20257.03531.15
2025-12-22Dec 22, 20257.06781.12
2026-03-27Mar 27, 20267.12811.22
2026-06-26Jun 26, 20267.34561.1
2026-09-28Sep 28, 20267.42821.06
Rows × columns
13 × 4
Period covered
to
Computed
Completeness
No missing values
Source
US exchange, SIP and OPRA market data
Licence
Strasmore terms · free, no signup
Formats
JSON · CSV · the SQL below

What each column holds

Column definitions for VOO trailing-twelve-month payout per share and the yield it works out to, derived from the stored result.
ColumnTypeRangeNotes
ex_date date 2023-09-28 to 2026-09-28
as_of_label text 13 distinct values (Dec 20, 2023, Dec 22, 2025, Dec 23, 2024…)
ttm_per_share number 6.2278 to 7.4282
ttm_yield_pct number 1.06 to 1.58 percent

Computed from Strasmore's warehouse of US exchange, SIP and OPRA market data. Equity prices are delayed; options greeks and implied volatility are end-of-day. This result is stored, not recomputed on load — it is exactly the numbers that were returned on , and the query below is what returned them.

Run it yourself

This is the exact query behind the result above. Change a ticker, a date or a column and run it against the warehouse — no account, no key. The no-signup tier is smaller than the one this page was computed on; a query that reaches past it comes back saying which plan runs it.

SELECT
    toString(r.ex_date)                                             AS ex_date,
    concat(formatDateTime(r.ex_date, '%b '),
           toString(toDayOfMonth(r.ex_date)), ', ',
           toString(toYear(r.ex_date)))                             AS as_of_label,
    round(r.ttm_per_share, 4)                                       AS ttm_per_share,
    round(100 * r.ttm_per_share / p.close, 2)                       AS ttm_yield_pct
FROM
(
    SELECT
        ex_date,
        sum(amount) OVER (ORDER BY ex_date ASC ROWS BETWEEN 3 PRECEDING AND CURRENT ROW) AS ttm_per_share,
        count()     OVER (ORDER BY ex_date ASC ROWS BETWEEN 3 PRECEDING AND CURRENT ROW) AS quarters_counted
    FROM
    (
        SELECT
            ex_dividend_date            AS ex_date,
            toFloat64(max(cash_amount)) AS amount
        FROM global_markets.stocks_dividends
        WHERE ticker = 'VOO'
          AND ex_dividend_date <= today()
        GROUP BY ex_dividend_date
    )
) AS r
INNER JOIN
(
    SELECT
        date,
        toFloat64(max(close)) AS close
    FROM global_markets.stocks_daily_aggs
    WHERE ticker = 'VOO'
      AND date >= today() - 1500
    GROUP BY date
) AS p ON p.date = r.ex_date
WHERE r.quarters_counted = 4
  AND r.ex_date >= today() - 1150
ORDER BY r.ex_date
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