INTERNATIONAL PORTFOLIO INTERNATIONAL PORTFOLIO(GTCIX) USD 14.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.83%USD 0.419USD0.01062022-12-15
USD0.07222022-10-05
USD0.14922022-07-06
USD0.18722022-04-06
20213.26%USD 0.483USD0.13022021-12-14
USD0.08142021-10-06
USD0.10832021-07-07
USD0.16292021-04-07
20202.02%USD 0.298USD0.21452020-10-07
USD0.05832020-07-01
USD0.02552020-04-01
20192.88%USD 0.426USD0.08982019-12-13
USD0.0942019-10-02
USD0.2042019-07-03
USD0.0382019-04-03
20182.23%USD 0.33USD0.0772018-12-14
USD0.0582018-10-03
USD0.1912018-07-05
USD0.0042018-04-04
20171.82%USD 0.27USD0.0382017-12-13
USD0.0622017-10-04
USD0.142017-07-05
USD0.032017-04-05
20161.58%USD 0.234USD0.0242016-12-14
USD0.0532016-10-05
USD0.1482016-07-06
USD0.0092016-04-06
20150.64%USD 0.095USD0.0122015-12-11
USD0.0072015-10-07
USD0.0762015-07-01
20141.62%USD 0.24USD0.0462014-12-11
USD0.0272014-10-01
USD0.1672014-07-02
20131.94%USD 0.287USD0.0852013-12-12
USD0.1412013-07-03
USD0.0612013-04-03
20122.07%USD 0.306USD0.0562012-10-03
USD0.1692012-07-11
USD0.0812012-04-04
20112.16%USD 0.319USD0.0112011-12-12
USD0.0612011-10-05
USD0.1752011-07-06
USD0.0722011-04-06
20102.03%USD 0.3USD0.0112010-12-13
USD0.062010-10-06
USD0.1872010-07-07
USD0.0422010-04-07
20091.72%USD 0.254USD0.0022009-12-14
USD0.0222009-10-07
USD0.1912009-07-01
USD0.0392009-04-01
20083.62%USD 0.536USD0.0792008-10-01
USD0.3282008-07-02
USD0.1292008-04-02
200725.26%USD 3.739USD0.1912007-12-17
USD3.2222007-10-24
USD0.0492007-10-03
USD0.2132007-07-05
USD0.0642007-04-04
200620.82%USD 3.081USD0.0942006-12-15
USD2.7032006-10-25
USD0.0852006-10-04
USD0.1642006-07-05
USD0.0352006-04-05
200525.16%USD 3.724USD3.3892005-10-26
USD0.0232005-10-05
USD0.2392005-07-06
USD0.0732005-04-06
20042.53%USD 0.374USD0.1332004-12-17
USD0.0962004-10-06
USD0.1152004-07-07
USD0.032004-04-07
20032.24%USD 0.331USD0.072003-12-12
USD0.0432003-10-01
USD0.1812003-07-02
USD0.0372003-04-02
20021.96%USD 0.29USD0.0492002-12-13
USD0.0332002-10-02
USD0.1612002-07-03
USD0.0472002-04-03
20012.16%USD 0.32USD0.12001-10-03
USD0.152001-07-06
USD0.072001-04-04
20002.36%USD 0.35USD0.022000-12-15
USD0.022000-10-04
USD0.172000-07-06
USD0.142000-04-05