GOLDMAN SACHS INTERNATIONAL REAL ESTATE SECURITIES FUND CLASS IR(GIRTX) USD 6.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.62%USD 0.111USD0.11072022-04-20
20214.88%USD 0.335USD0.21632021-12-20
USD0.11832021-06-29
20200.78%USD 0.053USD0.00442020-12-18
USD0.04892020-06-29
20196.59%USD 0.451USD0.38412019-12-20
USD0.0672019-06-27
20181.98%USD 0.136USD0.04552018-12-21
USD0.09032018-06-28
20174.04%USD 0.277USD0.15812017-12-22
USD0.11892017-06-29
20163.85%USD 0.264USD0.19812016-12-22
USD0.06552016-06-29
20152.40%USD 0.165USD0.09842015-12-23
USD0.06612015-06-29
20143.56%USD 0.244USD0.05492014-12-30
USD0.08832014-12-09
USD0.10072014-06-27
20134.39%USD 0.301USD0.21782013-12-10
USD0.08312013-06-27
20128.64%USD 0.592USD0.53522012-12-10
USD0.05692012-06-29
20112.70%USD 0.185USD0.09342011-12-12
USD0.09132011-06-29
20106.54%USD 0.448USD0.35112010-12-13
USD0.09722010-06-29
200912.91%USD 0.884USD0.78292009-12-11
USD0.10142009-06-29
20081.53%USD 0.105USD0.10472008-06-27
200712.41%USD 0.85USD0.84992007-12-13