GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND INSTITUTIONAL(GSPKX) USD 14.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.66%USD 0.938USD0.05972022-12-20
USD0.71842022-12-13
USD0.0572022-09-29
USD0.05372022-06-29
USD0.04962022-03-30
20216.99%USD 0.985USD0.05032021-12-20
USD0.77692021-12-14
USD0.05662021-09-29
USD0.04872021-06-29
USD0.05212021-03-30
20207.22%USD 1.017USD0.05372020-12-18
USD0.780492020-12-14
USD0.05392020-09-29
USD0.06142020-06-29
USD0.06792020-03-30
20196.50%USD 0.915USD0.06022019-12-20
USD0.65232019-12-12
USD0.06952019-09-27
USD0.072019-06-27
USD0.06322019-03-28
20186.45%USD 0.909USD0.06732018-12-21
USD0.64362018-12-11
USD0.0652018-09-27
USD0.06942018-06-28
USD0.06382018-03-28
20175.71%USD 0.804USD0.05662017-12-22
USD0.56162017-12-11
USD0.06812017-09-28
USD0.05942017-06-29
USD0.05852017-03-30
20164.83%USD 0.681USD0.05832016-12-22
USD0.44782016-12-09
USD0.05642016-09-29
USD0.06022016-06-29
USD0.05812016-03-30
20155.04%USD 0.71USD0.07032015-12-23
USD0.46742015-12-10
USD0.05442015-09-29
USD0.05392015-06-29
USD0.06382015-03-30
20145.22%USD 0.736USD0.52812014-12-09
USD0.06812014-09-29
USD0.06682014-06-27
USD0.07292014-03-28
20135.04%USD 0.71USD0.52692013-12-05
USD0.06292013-09-27
USD0.05952013-06-27
USD0.06072013-03-27
20125.59%USD 0.788USD0.00792012-12-28
USD0.60582012-12-05
USD0.05832012-09-27
USD0.06032012-06-29
USD0.05572012-03-30
20113.41%USD 0.481USD0.30722011-12-07
USD0.04912011-09-29
USD0.0492011-06-29
USD0.07532011-03-30
20101.33%USD 0.187USD0.04692010-12-08
USD0.04942010-09-29
USD0.04712010-06-29
USD0.04372010-03-30
20091.13%USD 0.159USD0.04522009-12-08
USD0.05012009-09-29
USD0.02932009-06-29
USD0.03432009-03-30
20081.77%USD 0.249USD0.07072008-12-09
USD0.05362008-09-29
USD0.05992008-06-27
USD0.06512008-03-28
20077.23%USD 1.019USD0.75942007-12-13
USD0.07752007-09-27
USD0.06292007-06-28
USD0.11912007-03-29
20064.41%USD 0.621USD0.4232006-12-12
USD0.06022006-09-28
USD0.06592006-06-29
USD0.0722006-03-30
20050.85%USD 0.119USD0.10692005-12-08
USD0.01252005-09-29