GOLDMAN SACHS FOCUSED INTERNATIONAL EQUITY FUND INSTITUTIONAL(GSIEX) USD 27.06
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.90%USD 0.245USD0.24462022-12-20
20216.93%USD 1.875USD0.39952021-12-20
USD1.47542021-12-14
20200.26%USD 0.071USD0.07112020-12-18
20191.56%USD 0.423USD0.4232019-12-20
20180.88%USD 0.238USD0.23782018-12-21
20171.22%USD 0.329USD0.32892017-12-22
20161.98%USD 0.535USD0.5352016-12-22
20151.04%USD 0.281USD0.28092015-12-23
20142.40%USD 0.649USD0.64872014-12-09
20130.54%USD 0.146USD0.14612013-12-10
20122.05%USD 0.554USD0.5542012-12-10
20112.01%USD 0.545USD0.54462011-12-12
20101.26%USD 0.341USD0.34122010-12-13
20091.31%USD 0.354USD0.35372009-12-11
20083.19%USD 0.863USD0.86252008-12-12
20071.40%USD 0.38USD0.00052007-12-13
USD0.37922007-12-10
20060.87%USD 0.234USD0.23412006-12-08
20050.81%USD 0.219USD0.21912005-12-08
20041.56%USD 0.423USD0.40732004-12-09
USD0.0022004-08-30
USD0.0052004-08-27
USD0.0022004-08-23
USD0.0052004-08-06
USD0.0022004-08-02
20035.56%USD 1.506USD0.7532003-12-31
USD0.75252003-12-10
20022.22%USD 0.602USD0.3012002-12-31
USD0.30052002-12-11
20011.37%USD 0.37USD0.1852001-12-31
USD0.18462001-12-12
20007.85%USD 2.125USD2.12512000-12-12