GOLDMAN SACHS INTERNATIONAL REAL ESTATE SECURITIES FUND INSTITUTIONAL(GIRIX) USD 6.67
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.69%USD 0.113USD0.1132022-04-20
20215.14%USD 0.343USD0.22062021-12-20
USD0.12212021-06-29
20200.92%USD 0.061USD0.00852020-12-18
USD0.05262020-06-29
20196.89%USD 0.46USD0.38882019-12-20
USD0.0712019-06-27
20182.02%USD 0.135USD0.05082018-12-21
USD0.08412018-06-28
20174.35%USD 0.29USD0.16782017-12-22
USD0.12242017-06-29
20164.08%USD 0.272USD0.20352016-12-22
USD0.06882016-06-29
20152.65%USD 0.177USD0.10262015-12-23
USD0.07412015-06-29
20143.92%USD 0.262USD0.05492014-12-30
USD0.1012014-12-09
USD0.10572014-06-27
20134.74%USD 0.316USD0.22762013-12-10
USD0.08862013-06-27
20128.93%USD 0.596USD0.53572012-12-10
USD0.062012-06-29
20112.89%USD 0.193USD0.0972011-12-12
USD0.0962011-06-29
20106.88%USD 0.459USD0.35752010-12-13
USD0.10152010-06-29
200913.43%USD 0.896USD0.79122009-12-11
USD0.10472009-06-29
20081.68%USD 0.112USD0.11222008-06-27
200714.22%USD 0.949USD0.84752007-12-13
USD0.10122007-06-28
20061.62%USD 0.108USD0.10832006-12-12