GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND CLASS A(GSPAX) USD 14.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.29%USD 0.89USD0.04732022-12-20
USD0.71842022-12-13
USD0.04532022-09-29
USD0.04122022-06-29
USD0.03762022-03-30
20216.59%USD 0.931USD0.03512021-12-20
USD0.77692021-12-14
USD0.04262021-09-29
USD0.03532021-06-29
USD0.04142021-03-30
20206.84%USD 0.967USD0.04092020-12-18
USD0.780492020-12-14
USD0.04212020-09-29
USD0.04982020-06-29
USD0.05412020-03-30
20196.12%USD 0.866USD0.04632019-12-20
USD0.65232019-12-12
USD0.05692019-09-27
USD0.0572019-06-27
USD0.0532019-03-28
20186.08%USD 0.859USD0.05282018-12-21
USD0.64362018-12-11
USD0.0532018-09-27
USD0.05712018-06-28
USD0.05262018-03-28
20175.33%USD 0.754USD0.04332017-12-22
USD0.56162017-12-11
USD0.05472017-09-28
USD0.04742017-06-29
USD0.0472017-03-30
20164.50%USD 0.637USD0.04742016-12-22
USD0.44782016-12-09
USD0.04452016-09-29
USD0.04862016-06-29
USD0.04842016-03-30
20154.69%USD 0.663USD0.05922015-12-23
USD0.46742015-12-10
USD0.04272015-09-29
USD0.04192015-06-29
USD0.0522015-03-30
20144.87%USD 0.689USD0.5162014-12-09
USD0.0562014-09-29
USD0.05532014-06-27
USD0.06162014-03-28
20134.72%USD 0.667USD0.51542013-12-05
USD0.05172013-09-27
USD0.04882013-06-27
USD0.0512013-03-27
20125.30%USD 0.75USD0.00792012-12-28
USD0.5952012-12-05
USD0.04832012-09-27
USD0.05092012-06-29
USD0.04772012-03-30
20113.14%USD 0.445USD0.29932011-12-07
USD0.03992011-09-29
USD0.0392011-06-29
USD0.06632011-03-30
20101.03%USD 0.145USD0.03882010-12-08
USD0.03212010-09-29
USD0.03872010-06-29
USD0.03552010-03-30
20090.92%USD 0.13USD0.0372009-12-08
USD0.04242009-09-29
USD0.02272009-06-29
USD0.02812009-03-30
20081.50%USD 0.212USD0.06312008-12-09
USD0.04382008-09-29
USD0.04982008-06-27
USD0.05522008-03-28
20076.89%USD 0.975USD0.74772007-12-13
USD0.06592007-09-27
USD0.0522007-06-28
USD0.10912007-03-29
20064.01%USD 0.567USD0.39622006-12-12
USD0.05112006-09-28
USD0.05612006-06-29
USD0.0642006-03-30
20050.80%USD 0.113USD0.10142005-12-08
USD0.01122005-09-29