GOLDMAN SACHS REAL ESTATE SECURITIES FUND INSTITUTIONAL(GREIX) USD 11.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.84%USD 0.543USD0.36082022-12-13
USD0.10492022-09-29
USD0.05692022-06-29
USD0.02062022-03-30
20218.76%USD 0.983USD0.81692021-12-14
USD0.05892021-09-29
USD0.05922021-06-29
USD0.04792021-03-30
202010.47%USD 1.174USD0.99792020-12-14
USD0.04032020-09-29
USD0.06252020-06-29
USD0.07372020-03-30
201922.58%USD 2.533USD0.03892019-12-20
USD2.25972019-12-12
USD0.09362019-09-27
USD0.0942019-06-27
USD0.0472019-03-28
201820.52%USD 2.303USD1.892018-12-11
USD0.2412018-09-27
USD0.10982018-06-28
USD0.0622018-03-28
201729.26%USD 3.283USD2.93932017-12-11
USD0.13432017-09-28
USD0.07172017-06-29
USD0.13732017-03-30
201620.61%USD 2.313USD0.08942016-12-22
USD1.8312016-12-09
USD0.12452016-09-29
USD0.14272016-06-29
USD0.12492016-03-30
20157.93%USD 0.89USD0.51612015-12-10
USD0.12732015-09-29
USD0.09762015-06-29
USD0.14912015-03-30
20142.92%USD 0.328USD0.09562014-09-29
USD0.11232014-06-27
USD0.12022014-03-28
20132.55%USD 0.287USD0.08622013-09-27
USD0.0842013-06-27
USD0.11632013-03-27
20122.26%USD 0.253USD0.07782012-09-27
USD0.07972012-06-29
USD0.09582012-03-30
20112.12%USD 0.238USD0.08052011-09-29
USD0.07642011-06-29
USD0.08082011-03-30
20102.39%USD 0.268USD0.06282010-09-29
USD0.05852010-06-29
USD0.042010-04-30
USD0.10712010-03-30
20092.20%USD 0.247USD0.01122009-12-08
USD0.06412009-09-29
USD0.0852009-06-29
USD0.08712009-03-30
20089.02%USD 1.013USD0.58912008-12-09
USD0.14262008-09-29
USD0.11582008-06-27
USD0.1652008-03-28
200731.28%USD 3.51USD3.13912007-12-13
USD0.1172007-09-27
USD0.14362007-06-28
USD0.11022007-03-29
200616.55%USD 1.857USD1.4722006-12-12
USD0.14012006-09-28
USD0.11922006-06-29
USD0.12582006-03-30
200513.39%USD 1.503USD1.13772005-12-08
USD0.13122005-09-29
USD0.12092005-06-29
USD0.11292005-03-30
200412.75%USD 1.431USD1.06042004-12-09
USD0.11552004-09-29
USD0.12532004-06-29
USD0.12992004-03-30
20035.66%USD 0.636USD0.22152003-12-10
USD0.1252003-09-29
USD0.13632003-06-27
USD0.15272003-03-28
20026.63%USD 0.744USD0.0642002-12-31
USD0.32762002-12-11
USD0.11792002-09-27
USD0.1592002-06-27
USD0.07562002-03-27
20018.32%USD 0.934USD0.0512001-12-31
USD0.49732001-12-12
USD0.15592001-09-27
USD0.10812001-06-27
USD0.12162001-03-29
20003.91%USD 0.438USD0.09332000-12-12
USD0.12032000-09-28
USD0.11362000-06-29
USD0.1112000-03-30