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Vanguard Growth ETF Portfolio (TSE:VGRO) Hits New 12-Month High - Still a Buy?

Vanguard Growth ETF Portfolio logo with background
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Key Points

  • Shares of Vanguard Growth ETF Portfolio hit a new 52-week high of C$45.67 (last C$45.64) on Wednesday, with 8,943 shares traded and a prior close of C$45.13.
  • The ETF is trading above its 50‑day (C$43.94) and 200‑day (C$43.58) moving averages, signaling recent technical strength.
  • Vanguard paid a quarterly dividend of $0.1723 on April 9 (ex‑dividend April 1), equal to a $0.69 annualized payout and a 1.5% yield; the fund targets long‑term growth with an approximate 80% equity / 20% fixed‑income allocation.
  • MarketBeat previews top five stocks to own in June.

Shares of Vanguard Growth ETF Portfolio (TSE:VGRO - Get Free Report) hit a new 52-week high during mid-day trading on Wednesday . The company traded as high as C$45.67 and last traded at C$45.64, with a volume of 8943 shares traded. The stock had previously closed at C$45.13.

Vanguard Growth ETF Portfolio Price Performance

The firm's fifty day moving average is C$43.94 and its two-hundred day moving average is C$43.58.

Vanguard Growth ETF Portfolio Dividend Announcement

The company also recently announced a quarterly dividend, which was paid on Thursday, April 9th. Shareholders of record on Thursday, April 9th were given a $0.1723 dividend. This represents a $0.69 dividend on an annualized basis and a yield of 1.5%. The ex-dividend date was Wednesday, April 1st.

About Vanguard Growth ETF Portfolio

(Get Free Report)

Vanguard Growth ETF Portfolio (the ETF) seeks to provide long-term capital growth. Fund investing in equity and fixed income securities. The ETF may do so either directly or indirectly through investment in one or more exchange-traded funds managed by Vanguard Investments Canada Inc (the Manager) or an affiliate or certain other investment funds (Underlying Funds). Under normal market conditions, the sub-advisor will strive to maintain a long-term strategic asset allocation of equity (approximately 80%) and fixed income (approximately 20%) securities.

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