GOLDMAN SACHS LARGE CAP VALUE INSIGHTS FUND SERVICE(GCLSX) USD 21.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.27%USD 0.057USD0.05742023-03-30
20223.00%USD 0.648USD0.07152022-12-16
USD0.45682022-12-13
USD0.05582022-09-29
USD0.03232022-06-29
USD0.03162022-03-30
202120.23%USD 4.374USD0.0782021-12-16
USD4.15122021-12-14
USD0.0562021-09-29
USD0.04072021-06-29
USD0.04842021-03-30
20201.22%USD 0.264USD0.10612020-12-16
USD0.03672020-09-29
USD0.05982020-06-29
USD0.06142020-03-30
20191.30%USD 0.282USD0.07032019-12-18
USD0.06532019-09-27
USD0.0672019-06-27
USD0.07912019-03-28
20185.83%USD 1.26USD0.05572018-12-19
USD1.06072018-12-11
USD0.0472018-09-27
USD0.05052018-06-28
USD0.04622018-03-28
20171.38%USD 0.298USD0.05952017-12-20
USD0.16292017-09-28
USD0.02912017-06-29
USD0.04672017-03-30
20160.90%USD 0.195USD0.04942016-12-20
USD0.03462016-09-29
USD0.04952016-06-29
USD0.06192016-03-30
20151.05%USD 0.227USD0.04422015-12-21
USD0.0582015-09-29
USD0.05382015-06-29
USD0.07132015-03-30
20140.67%USD 0.144USD0.04182014-12-04
USD0.04162014-09-29
USD0.03642014-06-27
USD0.02422014-03-28
20130.70%USD 0.151USD0.03632013-12-05
USD0.02872013-09-27
USD0.06742013-06-27
USD0.01832013-03-27
20120.84%USD 0.181USD0.08582012-12-05
USD0.04632012-09-27
USD0.03512012-06-29
USD0.01372012-03-30
20110.70%USD 0.152USD0.05912011-12-07
USD0.03052011-09-29
USD0.04032011-06-29
USD0.02172011-03-30
20100.63%USD 0.136USD0.04392010-12-08
USD0.03742010-09-29
USD0.02862010-06-29
USD0.02632010-03-30
20090.72%USD 0.157USD0.0082009-12-30
USD0.02042009-12-08
USD0.02992009-09-29
USD0.04192009-06-29
USD0.05652009-03-30
20080.84%USD 0.181USD0.04992008-12-09
USD0.04232008-09-29
USD0.04432008-06-27
USD0.04442008-03-28
20072.87%USD 0.621USD0.50522007-12-13
USD0.03992007-09-27
USD0.042007-06-28
USD0.03632007-03-29
20063.23%USD 0.698USD0.5962006-12-12
USD0.04572006-09-28
USD0.02632006-06-29
USD0.02972006-03-30
20051.53%USD 0.331USD0.26312005-12-08
USD0.02342005-09-29
USD0.02182005-06-29
USD0.02272005-03-30
20041.63%USD 0.352USD0.2712004-12-09
USD0.02092004-09-29
USD0.03752004-06-29
USD0.0232004-03-30
20030.54%USD 0.117USD0.0252003-12-31
USD0.02472003-12-10
USD0.02172003-09-29
USD0.0232003-06-27
USD0.02262003-03-28
20020.29%USD 0.062USD0.02222002-09-27
USD0.01452002-06-27
USD0.0232002-03-28
USD0.00232002-03-27
20010.27%USD 0.059USD0.0082001-12-31
USD0.00842001-12-12
USD0.01592001-09-27
USD0.0132001-06-27
USD0.01362001-03-29
20000.77%USD 0.166USD0.07172000-12-12
USD0.0362000-09-28
USD0.0512000-06-29
USD0.0072000-03-30