GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND INSTITUTIONAL(GIDHX) USD 6.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.42%USD 0.029USD0.02892023-03-30
20223.93%USD 0.273USD0.02592022-09-29
USD0.20962022-06-29
USD0.03742022-03-30
20213.31%USD 0.23USD0.04522021-12-20
USD0.08142021-09-29
USD0.07642021-06-29
USD0.02722021-03-30
20202.67%USD 0.186USD0.03512020-12-18
USD0.07072020-09-29
USD0.03842020-06-29
USD0.04142020-03-30
20193.33%USD 0.231USD0.04482019-12-20
USD0.0252019-09-27
USD0.122019-06-27
USD0.04132019-03-28
20183.16%USD 0.22USD0.0362018-12-21
USD0.0262018-09-27
USD0.12292018-06-28
USD0.0352018-03-29
20172.78%USD 0.193USD0.042017-12-22
USD0.02372017-09-28
USD0.09092017-06-29
USD0.03882017-03-30
20162.80%USD 0.195USD0.03912016-12-22
USD0.02472016-09-29
USD0.09422016-06-29
USD0.03692016-03-30
20153.84%USD 0.267USD0.08862015-12-10
USD0.03572015-09-29
USD0.08632015-06-29
USD0.05622015-03-30
20147.10%USD 0.493USD0.01482014-12-30
USD0.23622014-12-09
USD0.02152014-09-29
USD0.14582014-06-27
USD0.07492014-03-28
20136.49%USD 0.451USD0.25842013-12-10
USD0.04252013-09-27
USD0.10492013-06-27
USD0.04522013-03-27
20123.77%USD 0.262USD0.07062012-12-10
USD0.04882012-09-27
USD0.09492012-06-29
USD0.04792012-03-30
20118.72%USD 0.606USD0.37912011-12-12
USD0.05362011-09-29
USD0.12752011-06-29
USD0.04612011-03-30
20104.20%USD 0.292USD0.13222010-12-13
USD0.03352010-09-29
USD0.08882010-06-29
USD0.03732010-03-30
20092.12%USD 0.148USD0.01712009-12-11
USD0.02542009-09-29
USD0.06052009-06-29
USD0.04462009-03-30
20084.09%USD 0.284USD0.05392008-09-29
USD0.162008-06-27
USD0.07022008-03-28