GOLDMAN SACHS FOCUSED INTERNATIONAL EQUITY FUND CLASS A(GSIFX) USD 26.34
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.73%USD 0.192USD0.19162022-12-20
20216.84%USD 1.802USD0.32612021-12-20
USD1.47542021-12-14
20200.00%USD 0.001USD0.00092020-12-18
20191.36%USD 0.358USD0.35772019-12-20
20180.94%USD 0.247USD0.24732018-12-21
20170.96%USD 0.254USD0.2542017-12-22
20161.74%USD 0.458USD0.45782016-12-22
20150.76%USD 0.201USD0.20062015-12-23
20142.14%USD 0.564USD0.56442014-12-09
20130.28%USD 0.074USD0.07372013-12-10
20121.67%USD 0.441USD0.4412012-12-10
20111.77%USD 0.467USD0.46652011-12-12
20101.69%USD 0.444USD0.27322010-12-13
USD0.1712010-04-09
20091.12%USD 0.296USD0.29622009-12-11
20082.87%USD 0.755USD0.75492008-12-12
20071.05%USD 0.277USD0.00052007-12-13
USD0.27682007-12-10
20060.59%USD 0.155USD0.15522006-12-08
20050.56%USD 0.146USD0.14622005-12-08
20041.31%USD 0.344USD0.34422004-12-09
20034.98%USD 1.312USD0.6562003-12-31
USD0.65612003-12-10
20021.15%USD 0.302USD0.1512002-12-31
USD0.15062002-12-11
20010.42%USD 0.11USD0.0552001-12-31
USD0.05542001-12-12
20008.07%USD 2.125USD2.12512000-12-12