Goldman Sachs Group Inc(GS) USD 333.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.75%USD 2.5USD2.52023-03-01
20222.70%USD 9USD2.52022-11-30
USD2.52022-08-31
USD22022-05-31
USD22022-03-01
20211.95%USD 6.5USD22021-12-01
USD22021-08-31
USD1.252021-05-28
USD1.252021-03-01
20201.50%USD 5USD1.252020-12-01
USD1.252020-08-31
USD1.252020-05-29
USD1.252020-02-28
20191.24%USD 4.15USD1.252019-11-29
USD1.252019-08-29
USD0.852019-05-29
USD0.82019-02-27
20180.94%USD 3.15USD0.82018-11-29
USD0.82018-08-29
USD0.82018-05-30
USD0.752018-02-28
20170.87%USD 2.9USD0.752017-11-29
USD0.752017-08-29
USD0.752017-05-30
USD0.652017-02-28
20160.78%USD 2.6USD0.652016-11-29
USD0.652016-08-30
USD0.652016-05-27
USD0.652016-02-29
20150.76%USD 2.55USD0.652015-11-30
USD0.652015-08-28
USD0.652015-05-28
USD0.62015-02-26
20140.67%USD 2.25USD0.62014-11-28
USD0.552014-08-27
USD0.552014-05-28
USD0.552014-02-26
20130.61%USD 2.05USD0.552013-11-27
USD0.52013-08-28
USD0.52013-05-28
USD0.52013-02-26
20120.53%USD 1.77USD0.52012-11-28
USD0.462012-08-28
USD0.462012-05-29
USD0.352012-02-28
20110.42%USD 1.4USD0.352011-11-29
USD0.352011-08-30
USD0.352011-05-27
USD0.352011-02-28
20100.42%USD 1.4USD0.352010-11-30
USD0.352010-08-30
USD0.352010-05-27
USD0.352010-02-26
20090.45%USD 1.517USD0.352009-11-30
USD0.352009-08-21
USD0.352009-05-21
USD0.466672009-02-20
20080.42%USD 1.4USD0.352008-10-23
USD0.352008-07-25
USD0.352008-04-25
USD0.352008-01-25
20070.42%USD 1.4USD0.352007-10-25
USD0.352007-07-27
USD0.352007-04-20
USD0.352007-01-19
20060.39%USD 1.3USD0.352006-10-19
USD0.352006-07-21
USD0.352006-04-21
USD0.252006-01-20
20050.30%USD 1USD0.252005-10-20
USD0.252005-07-22
USD0.252005-04-22
USD0.252005-01-21
20040.30%USD 1USD0.252004-10-21
USD0.252004-07-23
USD0.252004-04-23
USD0.252004-01-23
20030.22%USD 0.74USD0.252003-10-23
USD0.252003-07-25
USD0.122003-04-25
USD0.122003-01-24
20020.18%USD 0.6USD0.122002-12-26
USD0.122002-10-24
USD0.122002-07-26
USD0.122002-04-26
USD0.122002-01-17
20010.14%USD 0.48USD0.122001-10-25
USD0.122001-07-27
USD0.122001-04-20
USD0.122001-01-18
20000.14%USD 0.48USD0.122000-10-19
USD0.122000-07-20
USD0.122000-04-19
USD0.122000-01-20