GOLDMAN SACHS FOCUSED INTERNATIONAL EQUITY FUND SERVICE(GSISX) USD 27.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.55%USD 0.153USD0.15252022-12-20
20216.75%USD 1.858USD0.38252021-12-20
USD1.47542021-12-14
20191.23%USD 0.34USD0.33972019-12-20
20180.84%USD 0.231USD0.23052018-12-21
20170.37%USD 0.101USD0.10072017-12-22
20150.21%USD 0.058USD0.0582015-12-23
20141.99%USD 0.549USD0.54922014-12-09
20130.19%USD 0.053USD0.05252013-12-10
20121.73%USD 0.475USD0.4752012-12-10
20111.69%USD 0.464USD0.46412011-12-12
20100.89%USD 0.246USD0.24612010-12-13
20091.03%USD 0.283USD0.2832009-12-11
20082.74%USD 0.755USD0.75472008-12-12
20070.70%USD 0.193USD0.00052007-12-13
USD0.19212007-12-10
20060.62%USD 0.17USD0.17012006-12-08
20050.45%USD 0.125USD0.12492005-12-08
20041.15%USD 0.316USD0.31412004-12-09
USD0.0022004-08-30
20033.90%USD 1.074USD0.5372003-12-31
USD0.53732003-12-10
20021.69%USD 0.464USD0.2322002-12-31
USD0.2322002-12-11
20010.82%USD 0.226USD0.1132001-12-31
USD0.1132001-12-12
20007.72%USD 2.125USD2.12512000-12-12