GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND CLASS A(GIDAX) USD 7.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.024USD0.02372023-03-30
20223.61%USD 0.256USD0.02062022-09-29
USD0.20372022-06-29
USD0.03192022-03-30
20212.88%USD 0.205USD0.0382021-12-20
USD0.07482021-09-29
USD0.072021-06-29
USD0.02182021-03-30
20202.29%USD 0.162USD0.02892020-12-18
USD0.06492020-09-29
USD0.03322020-06-29
USD0.03532020-03-30
20192.89%USD 0.205USD0.03712019-12-20
USD0.01812019-09-27
USD0.1142019-06-27
USD0.03572019-03-28
20182.68%USD 0.191USD0.02782018-12-21
USD0.0192018-09-27
USD0.11572018-06-28
USD0.0282018-03-29
20172.27%USD 0.161USD0.03122017-12-22
USD0.01612017-09-28
USD0.08362017-06-29
USD0.032017-03-30
20162.38%USD 0.169USD0.03242016-12-22
USD0.01762016-09-29
USD0.08772016-06-29
USD0.03142016-03-30
20153.45%USD 0.245USD0.08862015-12-10
USD0.02862015-09-29
USD0.07872015-06-29
USD0.04892015-03-30
20146.50%USD 0.462USD0.00752014-12-30
USD0.23622014-12-09
USD0.01312014-09-29
USD0.13762014-06-27
USD0.06732014-03-28
20135.91%USD 0.419USD0.25042013-12-10
USD0.0342013-09-27
USD0.09722013-06-27
USD0.03772013-03-27
20123.21%USD 0.228USD0.06362012-12-10
USD0.03452012-09-27
USD0.08822012-06-29
USD0.04132012-03-30
20118.10%USD 0.575USD0.37162011-12-12
USD0.04612011-09-29
USD0.11942011-06-29
USD0.03832011-03-30
20103.70%USD 0.263USD0.12422010-12-13
USD0.02622010-09-29
USD0.08212010-06-29
USD0.03032010-03-30
20091.72%USD 0.122USD0.00982009-12-11
USD0.01992009-09-29
USD0.05512009-06-29
USD0.03752009-03-30
20082.57%USD 0.182USD0.04582008-09-29
USD0.06832008-06-27
USD0.06832008-03-28