GOLDMAN SACHS LARGE CAP VALUE INSIGHTS FUND INSTITUTIONAL(GCVIX) USD 21.45
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.082USD0.08172023-03-30
20223.58%USD 0.768USD0.10172022-12-16
USD0.45682022-12-13
USD0.0912022-09-29
USD0.06062022-06-29
USD0.05742022-03-30
202120.96%USD 4.496USD0.10672021-12-16
USD4.15122021-12-14
USD0.08932021-09-29
USD0.07452021-06-29
USD0.07462021-03-30
20201.71%USD 0.368USD0.13552020-12-16
USD0.06262020-09-29
USD0.08242020-06-29
USD0.08722020-03-30
20191.83%USD 0.392USD0.10142019-12-18
USD0.09312019-09-27
USD0.0952019-06-27
USD0.10272019-03-28
20186.37%USD 1.366USD0.08452018-12-19
USD1.06072018-12-11
USD0.0762018-09-27
USD0.07792018-06-28
USD0.06722018-03-28
20171.85%USD 0.398USD0.08872017-12-20
USD0.18792017-09-28
USD0.05312017-06-29
USD0.0682017-03-30
20161.32%USD 0.283USD0.07412016-12-20
USD0.0592016-09-29
USD0.07072016-06-29
USD0.07882016-03-30
20151.46%USD 0.313USD0.06582015-12-21
USD0.07892015-09-29
USD0.07512015-06-29
USD0.09312015-03-30
20141.05%USD 0.225USD0.0632014-12-04
USD0.06222014-09-29
USD0.05612014-06-27
USD0.04332014-03-28
20131.03%USD 0.22USD0.05572013-12-05
USD0.04632013-09-27
USD0.0842013-06-27
USD0.03432013-03-27
20121.11%USD 0.238USD0.10052012-12-05
USD0.06052012-09-27
USD0.04872012-06-29
USD0.0282012-03-30
20110.94%USD 0.203USD0.07112011-12-07
USD0.04332011-09-29
USD0.05382011-06-29
USD0.03432011-03-30
20100.86%USD 0.184USD0.05582010-12-08
USD0.04842010-09-29
USD0.04162010-06-29
USD0.03782010-03-30
20090.92%USD 0.196USD0.0082009-12-30
USD0.03192009-12-08
USD0.04042009-09-29
USD0.05122009-06-29
USD0.06492009-03-30
20081.10%USD 0.236USD0.05982008-12-09
USD0.05622008-09-29
USD0.05972008-06-27
USD0.06022008-03-28
20073.21%USD 0.689USD0.5242007-12-13
USD0.05672007-09-27
USD0.05722007-06-28
USD0.05132007-03-29
20063.59%USD 0.771USD0.612006-12-12
USD0.05652006-09-28
USD0.04682006-06-29
USD0.05722006-03-30
20051.84%USD 0.394USD0.28112005-12-08
USD0.03912005-09-29
USD0.03742005-06-29
USD0.03622005-03-30
20041.90%USD 0.408USD0.28622004-12-09
USD0.03412004-09-29
USD0.05092004-06-29
USD0.03682004-03-30
20030.63%USD 0.136USD0.03622003-12-10
USD0.03342003-09-29
USD0.03412003-06-27
USD0.03252003-03-28
20020.73%USD 0.157USD0.0312002-12-31
USD0.03092002-12-11
USD0.03182002-09-27
USD0.02752002-06-27
USD0.03542002-03-27
20010.58%USD 0.125USD0.0212001-12-31
USD0.0212001-12-12
USD0.02882001-09-27
USD0.02652001-06-27
USD0.02792001-03-29
20000.88%USD 0.19USD0.05762000-12-12
USD0.0492000-09-29
USD0.0642000-06-30
USD0.0192000-03-30