GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND CLASS C(GSPQX) USD 14.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.027USD0.02692023-03-30
20225.51%USD 0.776USD0.01892022-12-20
USD0.71842022-12-13
USD0.01712022-09-29
USD0.01182022-06-29
USD0.01022022-03-30
20215.73%USD 0.806USD0.77692021-12-14
USD0.01062021-09-29
USD0.00512021-06-29
USD0.01352021-03-30
20206.17%USD 0.869USD0.01252020-12-18
USD0.780492020-12-14
USD0.01472020-09-29
USD0.02772020-06-29
USD0.03392020-03-30
20195.45%USD 0.768USD0.01862019-12-20
USD0.65232019-12-12
USD0.03212019-09-27
USD0.0322019-06-27
USD0.03252019-03-28
20185.39%USD 0.76USD0.02682018-12-21
USD0.64362018-12-11
USD0.0262018-09-27
USD0.03212018-06-28
USD0.03112018-03-28
20174.70%USD 0.662USD0.01672017-12-22
USD0.56162017-12-11
USD0.03062017-09-28
USD0.02352017-06-29
USD0.02952017-03-30
20163.95%USD 0.556USD0.02542016-12-22
USD0.44782016-12-09
USD0.02332016-09-29
USD0.02882016-06-29
USD0.03072016-03-30
20154.11%USD 0.579USD0.03972015-12-23
USD0.46742015-12-10
USD0.02172015-09-29
USD0.01912015-06-29
USD0.03072015-03-30
20144.28%USD 0.603USD0.49322014-12-09
USD0.03342014-09-29
USD0.03452014-06-27
USD0.04142014-03-28
20134.18%USD 0.589USD0.49422013-12-05
USD0.03162013-09-27
USD0.02992013-06-27
USD0.03332013-03-27
20124.84%USD 0.681USD0.00792012-12-28
USD0.57732012-12-05
USD0.03032012-09-27
USD0.03392012-06-29
USD0.03192012-03-30
20112.67%USD 0.375USD0.28182011-12-07
USD0.02252011-09-29
USD0.02152011-06-29
USD0.04952011-03-30
20100.63%USD 0.089USD0.02092010-12-08
USD0.02542010-09-29
USD0.02262010-06-29
USD0.01982010-03-30
20090.54%USD 0.076USD0.02182009-12-08
USD0.02892009-09-29
USD0.00992009-06-29
USD0.01562009-03-30
20081.02%USD 0.144USD0.04962008-12-09
USD0.02652008-09-29
USD0.03112008-06-27
USD0.03692008-03-28
20079.30%USD 1.309USD1.13942007-12-13
USD0.04592007-09-27
USD0.03232007-06-28
USD0.09182007-03-29
20063.29%USD 0.464USD0.34842006-12-12
USD0.03182006-09-28
USD0.03952006-06-29
USD0.0442006-03-30
20050.66%USD 0.092USD0.08942005-12-08
USD0.00292005-09-29