GOLDMAN SACHS BALANCED STRATEGY PORTFOLIO CLASS A(GIPAX) USD 10.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.047USD0.04652023-03-30
20224.84%USD 0.529USD0.29972022-12-23
USD0.13932022-12-07
USD0.03122022-09-29
USD0.042022-06-29
USD0.01882022-03-30
20217.02%USD 0.768USD0.32442021-12-30
USD0.39022021-12-10
USD0.0132021-09-29
USD0.01112021-06-29
USD0.02882021-03-30
20202.19%USD 0.239USD0.1622020-12-30
USD0.02542020-09-29
USD0.02312020-06-29
USD0.02862020-03-30
20192.27%USD 0.248USD0.16072019-12-30
USD0.02372019-09-27
USD0.0262019-06-27
USD0.0382019-03-28
20184.03%USD 0.441USD0.15152018-12-28
USD0.20072018-12-13
USD0.042018-09-27
USD0.03112018-06-28
USD0.01752018-03-28
20174.34%USD 0.475USD0.18182017-12-28
USD0.20622017-12-14
USD0.03572017-09-28
USD0.02822017-06-29
USD0.02282017-03-30
20161.05%USD 0.115USD0.06462016-12-29
USD0.01862016-09-29
USD0.02162016-06-29
USD0.01012016-03-30
20155.05%USD 0.553USD0.46842015-12-30
USD0.02382015-09-29
USD0.03162015-06-29
USD0.02872015-03-30
20143.09%USD 0.338USD0.25362014-12-30
USD0.02422014-09-29
USD0.02812014-06-27
USD0.03232014-03-28
20132.69%USD 0.295USD0.21242013-12-30
USD0.02222013-09-27
USD0.02452013-06-27
USD0.03572013-03-27
20122.56%USD 0.281USD0.21682012-12-28
USD0.01862012-09-27
USD0.02492012-06-29
USD0.02022012-03-30
20111.55%USD 0.17USD0.09842011-12-29
USD0.02012011-09-29
USD0.02242011-06-29
USD0.02862011-03-30
20102.19%USD 0.24USD0.14712010-12-30
USD0.01992010-09-29
USD0.02872010-06-29
USD0.04412010-03-30
20093.53%USD 0.387USD0.13142009-12-18
USD0.16272009-09-29
USD0.0362009-06-29
USD0.05662009-03-30
20084.13%USD 0.452USD0.27922008-12-19
USD0.05022008-09-29
USD0.05722008-06-27
USD0.06562008-03-28
20075.99%USD 0.656USD0.49872007-12-19
USD0.05972007-09-27
USD0.0432007-06-28
USD0.05432007-03-29
20067.89%USD 0.864USD0.65692006-12-18
USD0.06652006-09-28
USD0.05842006-06-29
USD0.08192006-03-30
20054.58%USD 0.501USD0.34852005-12-15
USD0.04412005-09-29
USD0.04742005-06-29
USD0.06062005-03-30
20042.07%USD 0.226USD0.06562004-12-16
USD0.05062004-09-29
USD0.05382004-06-29
USD0.05622004-03-30
20032.16%USD 0.236USD0.08672003-12-18
USD0.04562003-09-29
USD0.05042003-06-27
USD0.05362003-03-28
20022.28%USD 0.249USD0.06872002-12-19
USD0.05682002-09-27
USD0.06062002-06-27
USD0.06312002-03-27
20014.75%USD 0.52USD0.0732001-12-31
USD0.21392001-12-20
USD0.0712001-09-28
USD0.0372001-06-29
USD0.1252001-03-30
20004.61%USD 0.504USD0.2532000-12-20
USD0.0842000-09-29
USD0.0872000-06-30
USD0.082000-03-30