GOLDMAN SACHS EMERGING MARKETS EQUITY FUND INSTITUTIONAL(GEMIX) USD 21.36
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.21%USD 0.045USD0.04492022-12-20
20211.30%USD 0.277USD0.27722021-12-20
20200.44%USD 0.093USD0.09322020-12-18
20191.18%USD 0.252USD0.25182019-12-20
20180.69%USD 0.147USD0.14682018-12-21
20170.97%USD 0.207USD0.20652017-12-22
20160.82%USD 0.174USD0.17412016-12-22
20150.07%USD 0.015USD0.0152015-12-23
20140.25%USD 0.054USD0.05372014-12-09
20130.57%USD 0.122USD0.12182013-12-10
20120.67%USD 0.143USD0.14342012-12-10
20110.34%USD 0.072USD0.05212011-12-12
USD0.01972011-06-29
20100.46%USD 0.099USD0.09922010-12-13
20090.07%USD 0.015USD0.01462009-12-11
200816.43%USD 3.511USD3.51052008-12-12
200718.40%USD 3.93USD3.93022007-12-10
20061.33%USD 0.285USD0.28492006-12-08
20050.78%USD 0.167USD0.16662005-12-08
20040.36%USD 0.076USD0.07632004-12-09
20030.71%USD 0.152USD0.0762003-12-31
USD0.07582003-12-10
20001.69%USD 0.362USD0.3622000-12-12