GOLDMAN SACHS GROWTH AND INCOME FUND INSTITUTIONAL(GSIIX) USD 42.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.49%USD 0.21USD0.21022023-03-30
20225.49%USD 2.35USD0.25172022-12-16
USD1.46812022-12-13
USD0.20942022-09-29
USD0.22482022-06-29
USD0.19562022-03-30
20218.96%USD 3.831USD0.23952021-12-16
USD3.03262021-12-14
USD0.20462021-09-29
USD0.18092021-06-29
USD0.17352021-03-30
20201.74%USD 0.746USD0.16592020-12-16
USD0.1692020-09-29
USD0.16612020-06-29
USD0.24532020-03-30
20195.55%USD 2.373USD0.1632019-12-18
USD1.56842019-12-12
USD0.20652019-09-27
USD0.2082019-06-27
USD0.22752019-03-28
20182.47%USD 1.055USD0.21342018-12-19
USD0.30052018-12-11
USD0.1512018-09-27
USD0.23912018-06-28
USD0.15052018-03-28
20171.81%USD 0.774USD0.26882017-12-20
USD0.18082017-09-28
USD0.18592017-06-29
USD0.1382017-03-30
20161.74%USD 0.743USD0.22252016-12-20
USD0.16352016-09-29
USD0.21712016-06-29
USD0.13962016-03-30
20151.68%USD 0.717USD0.27792015-12-21
USD0.13062015-09-29
USD0.17242015-06-29
USD0.13642015-03-30
20141.25%USD 0.536USD0.19182014-12-04
USD0.11622014-09-29
USD0.12692014-06-27
USD0.10092014-03-28
20130.96%USD 0.412USD0.17222013-12-05
USD0.10982013-09-27
USD0.09672013-06-27
USD0.03332013-03-27
20120.83%USD 0.355USD0.1582012-12-05
USD0.09222012-09-27
USD0.04142012-06-29
USD0.06342012-03-30
20110.84%USD 0.36USD0.16322011-12-07
USD0.07432011-09-29
USD0.08732011-06-29
USD0.03532011-03-30
20101.00%USD 0.429USD0.10292010-12-08
USD0.06992010-09-29
USD0.06592010-06-29
USD0.1372010-04-09
USD0.05332010-03-30
20090.85%USD 0.363USD0.10282009-12-08
USD0.06872009-09-29
USD0.07542009-06-29
USD0.11622009-03-30
20081.51%USD 0.644USD0.24372008-12-09
USD0.10052008-09-29
USD0.16952008-06-27
USD0.13012008-03-28
20079.19%USD 3.931USD3.53112007-12-13
USD0.14062007-09-27
USD0.14362007-06-28
USD0.11572007-03-29
20064.62%USD 1.976USD1.53642006-12-12
USD0.1552006-09-28
USD0.1412006-06-29
USD0.14382006-03-30
20051.06%USD 0.454USD0.12092005-12-08
USD0.11942005-09-29
USD0.10112005-06-29
USD0.11212005-03-30
20041.05%USD 0.448USD0.12652004-12-09
USD0.10412004-09-29
USD0.0562004-08-30
USD0.07832004-06-29
USD0.0832004-03-30
20030.92%USD 0.392USD0.0722003-12-31
USD0.07232003-12-10
USD0.08192003-09-29
USD0.07662003-06-27
USD0.08922003-03-28
20020.92%USD 0.394USD0.0662002-12-31
USD0.06612002-12-11
USD0.08612002-09-27
USD0.08292002-06-27
USD0.09252002-03-27
20010.29%USD 0.126USD0.05752001-09-27
USD0.06862001-03-29
20000.16%USD 0.069USD0.06932000-06-30