GOLDMAN SACHS INFLATION PROTECTED SECURITIES FUND CLASS C(GSCFX) USD 9.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.10%USD 0.58USD0.00012022-12-29
USD0.03362022-12-07
USD0.2352022-09-29
USD0.26772022-06-29
USD0.04392022-03-30
20215.47%USD 0.521USD0.10052021-12-30
USD0.09742021-12-10
USD0.18382021-09-29
USD0.13492021-06-29
USD0.00422021-03-30
20200.56%USD 0.053USD0.04462020-12-30
USD0.00522020-09-29
USD0.00322020-03-30
20191.76%USD 0.167USD0.00922019-12-30
USD0.02492019-09-27
USD0.1332019-06-27
20181.25%USD 0.119USD0.0322018-09-27
USD0.08722018-06-28
20171.11%USD 0.105USD0.04352017-12-28
USD0.05312017-06-29
USD0.00862017-03-30
20160.67%USD 0.064USD0.03932016-09-29
USD0.02422016-06-29
20150.33%USD 0.031USD0.0082015-10-30
USD0.0082015-09-30
USD0.0092015-08-31
USD0.0042015-07-31
USD0.0022015-06-30
20140.96%USD 0.091USD0.0262014-08-29
USD0.0222014-07-31
USD0.0262014-06-30
USD0.0172014-05-30
20132.00%USD 0.191USD0.16282013-12-12
USD0.012013-06-28
USD0.0142013-05-31
USD0.0012013-04-30
USD0.0012013-03-28
USD0.0012013-02-28
USD0.0012013-01-31
20124.75%USD 0.452USD0.0012012-12-31
USD0.37932012-12-12
USD0.0132012-11-30
USD0.0012012-10-31
USD0.0012012-09-28
USD0.0142012-08-31
USD0.0232012-07-31
USD0.0172012-06-29
USD0.0022012-05-31
USD0.0012012-04-30
201110.82%USD 1.03USD0.78592011-12-14
USD0.0362011-08-31
USD0.0642011-07-29
USD0.0832011-06-30
USD0.032011-05-31
USD0.0142011-04-29
USD0.0072011-03-31
USD0.0052011-02-28
USD0.0052011-01-31
20106.86%USD 0.654USD0.0052010-12-31
USD0.57152010-12-15
USD0.0042010-11-30
USD0.0042010-10-29
USD0.0032010-09-30
USD0.0062010-08-31
USD0.0182010-07-30
USD0.0132010-06-30
USD0.0142010-05-28
USD0.0012010-03-31
USD0.0012010-02-26
USD0.0132010-01-29
20091.36%USD 0.129USD0.0352009-12-31
USD0.022009-11-30
USD0.0222009-10-30
USD0.0022009-09-30
USD0.0132009-08-31
USD0.0082009-07-31
USD0.0012009-06-30
USD0.0122009-05-29
USD0.0122009-04-30
USD0.0012009-03-31
USD0.0012009-02-27
USD0.0022009-01-30
20082.47%USD 0.235USD0.0322008-12-31
USD0.01692008-12-15
USD0.0312008-11-28
USD0.0342008-10-31
USD0.0362008-09-30
USD0.0032008-08-29
USD0.0042008-07-31
USD0.0042008-06-30
USD0.0052008-05-30
USD0.0062008-04-30
USD0.0092008-03-31
USD0.0082008-02-29
USD0.0112008-01-31
USD0.035152008-01-02
20070.25%USD 0.024USD0.0092007-11-30
USD0.0092007-10-31
USD0.0062007-09-28