The Goldman Sachs Group Inc(GS-PJ) USD 25.37
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.35%USD 0.344USD0.343752023-01-25
20225.42%USD 1.375USD0.343752022-10-25
USD0.343752022-07-25
USD0.343752022-04-22
USD0.343752022-01-25
20215.42%USD 1.375USD0.343752021-10-25
USD0.343752021-07-23
USD0.343752021-04-22
USD0.343752021-01-25
20205.42%USD 1.375USD0.343752020-10-23
USD0.343752020-07-23
USD0.343752020-04-23
USD0.343752020-01-23
20195.42%USD 1.375USD0.343752019-10-25
USD0.343752019-07-25
USD0.343752019-04-24
USD0.343752019-01-24
20185.42%USD 1.375USD0.343752018-10-26
USD0.343752018-07-25
USD0.343752018-04-24
USD0.343752018-01-25
20175.42%USD 1.375USD0.343752017-10-25
USD0.343752017-07-24
USD0.343752017-04-21
USD0.343752017-01-24
20165.42%USD 1.375USD0.343752016-10-24
USD0.343752016-07-22
USD0.343752016-04-21
USD0.343752016-01-22
20155.42%USD 1.375USD0.343752015-10-22
USD0.343752015-07-22
USD0.343752015-04-22
USD0.343752015-01-22
20145.42%USD 1.375USD0.343752014-10-22
USD0.343752014-07-23
USD0.343752014-04-23
USD0.343752014-01-22
20132.94%USD 0.745USD0.343752013-10-24
USD0.401042013-07-24