GOLDMAN SACHS INTERNATIONAL REAL ESTATE SECURITIES FUND CLASS A(GIRAX) USD 6.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.53%USD 0.106USD0.10592022-04-20
20214.59%USD 0.317USD0.20652021-12-20
USD0.11062021-06-29
20200.59%USD 0.041USD0.04112020-06-29
20196.25%USD 0.432USD0.37422019-12-20
USD0.0582019-06-27
20181.73%USD 0.12USD0.03692018-12-21
USD0.08272018-06-28
20173.83%USD 0.265USD0.15362017-12-22
USD0.1112017-06-29
20163.56%USD 0.246USD0.18992016-12-22
USD0.05632016-06-29
20152.17%USD 0.15USD0.08942015-12-23
USD0.06052015-06-29
20143.37%USD 0.233USD0.05492014-12-30
USD0.08672014-12-09
USD0.0912014-06-27
20134.14%USD 0.286USD0.21422013-12-10
USD0.07172013-06-27
20127.94%USD 0.549USD0.52012-12-10
USD0.04892012-06-29
20112.41%USD 0.167USD0.08512011-12-12
USD0.08162011-06-29
20106.29%USD 0.435USD0.33272010-12-13
USD0.092010-06-29
USD0.0122010-04-30
200913.40%USD 0.926USD0.76692009-12-11
USD0.0652009-06-30
USD0.09432009-06-29
20081.32%USD 0.091USD0.0912008-06-27
200712.82%USD 0.886USD0.80372007-12-13
USD0.08222007-06-28
20061.44%USD 0.099USD0.09922006-12-12