GOLDMAN SACHS REAL ESTATE SECURITIES FUND CLASS C(GRECX) USD 9.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.014USD0.01382023-03-30
20224.63%USD 0.454USD0.36082022-12-13
USD0.07162022-09-29
USD0.02142022-06-29
20218.97%USD 0.879USD0.81692021-12-14
USD0.02072021-09-29
USD0.02412021-06-29
USD0.0172021-03-30
202011.03%USD 1.081USD0.99792020-12-14
USD0.00792020-09-29
USD0.03392020-06-29
USD0.04132020-03-30
201924.19%USD 2.37USD2.25972019-12-12
USD0.0492019-09-27
USD0.052019-06-27
USD0.01152019-03-28
201821.99%USD 2.155USD1.892018-12-11
USD0.1792018-09-27
USD0.06292018-06-28
USD0.02332018-03-28
201731.94%USD 3.13USD2.93932017-12-11
USD0.08062017-09-28
USD0.01942017-06-29
USD0.09052017-03-30
201621.42%USD 2.099USD0.0382016-12-22
USD1.8312016-12-09
USD0.06642016-09-29
USD0.08632016-06-29
USD0.07752016-03-30
20157.39%USD 0.724USD0.51612015-12-10
USD0.07262015-09-29
USD0.04232015-06-29
USD0.09282015-03-30
20141.86%USD 0.182USD0.04412014-09-29
USD0.06332014-06-27
USD0.07492014-03-28
20131.52%USD 0.149USD0.04072013-09-27
USD0.03662013-06-27
USD0.07132013-03-27
20121.31%USD 0.128USD0.03442012-09-27
USD0.03722012-06-29
USD0.05682012-03-30
20111.28%USD 0.126USD0.04312011-09-29
USD0.03722011-06-29
USD0.04542011-03-30
20101.70%USD 0.167USD0.03072010-09-29
USD0.02672010-06-29
USD0.032010-04-30
USD0.07922010-03-30
20091.79%USD 0.176USD0.04142009-09-29
USD0.06542009-06-29
USD0.06892009-03-30
20089.00%USD 0.882USD0.58912008-12-09
USD0.10162008-09-29
USD0.06982008-06-27
USD0.12142008-03-28
200733.87%USD 3.32USD3.13912007-12-13
USD0.05682007-09-27
USD0.07692007-06-28
USD0.04692007-03-29
200617.19%USD 1.685USD1.4722006-12-12
USD0.07872006-09-28
USD0.06252006-06-29
USD0.07132006-03-30
200524.45%USD 2.396USD1.092005-12-30
USD1.09032005-12-08
USD0.07712005-09-29
USD0.07212005-06-29
USD0.06622005-03-30
200413.05%USD 1.279USD1.03292004-12-09
USD0.07122004-09-29
USD0.08572004-06-29
USD0.08882004-03-30
20036.74%USD 0.661USD0.1612003-12-31
USD0.18332003-12-10
USD0.08932003-09-29
USD0.10382003-06-27
USD0.12332003-03-28
20026.03%USD 0.591USD0.0342002-12-31
USD0.29752002-12-11
USD0.08732002-09-27
USD0.1272002-06-27
USD0.04492002-03-27
20017.18%USD 0.704USD0.0212001-12-31
USD0.46742001-12-12
USD0.12232001-09-27
USD0.09332001-03-29
20003.44%USD 0.337USD0.06442000-12-12
USD0.09112000-09-28
USD0.09372000-06-29
USD0.08812000-03-30