USX:GIRAX - Goldman Sachs International Real Estate Securities Fund Class A GOLDMAN SACHS INTERNATIONAL RE
Sector: Unknown, Industry: Unknown
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Summary


ExDate Payable Date Type Amount (%)
20 Apr 2022 10 May 2022* CASH USD 0.106 (1.77%)
20 Dec 2021 21 Dec 2021 CASH USD 0.2065 (3.13%)
29 Jun 2021 30 Jun 2021 CASH USD 0.1106 (1.57%)
29 Jun 2020 30 Jun 2020 CASH USD 0.0411 (0.75%)
20 Dec 2019 23 Dec 2019 CASH USD 0.3742 (5.41%)
27 Jun 2019 17 Jul 2019* CASH USD 0.058 (0.87%)
21 Dec 2018 24 Dec 2018 CASH USD 0.0369 (0.61%)
28 Jun 2018 29 Jun 2018 CASH USD 0.0827 (1.28%)
22 Dec 2017 26 Dec 2017 CASH USD 0.1536 (2.35%)
29 Jun 2017 30 Jun 2017 CASH USD 0.111 (1.77%)
22 Dec 2016 23 Dec 2016 CASH USD 0.1899 (3.25%)
29 Jun 2016 30 Jun 2016 CASH USD 0.0563 (0.93%)
23 Dec 2015 24 Dec 2015 CASH USD 0.0894 (1.44%)
29 Jun 2015 30 Jun 2015 CASH USD 0.0605 (0.91%)
30 Dec 2014 31 Dec 2014 CASH USD 0.0549 (0.85%)
9 Dec 2014 10 Dec 2014 CASH USD 0.0867 (1.33%)
27 Jun 2014 30 Jun 2014 CASH USD 0.091 (1.32%)
10 Dec 2013 11 Dec 2013 CASH USD 0.2142 (3.24%)
27 Jun 2013 28 Jun 2013 CASH USD 0.0717 (1.15%)
10 Dec 2012 11 Dec 2012 CASH USD 0.5 (7.43%)
29 Jun 2012 29 Jun 2012 CASH USD 0.0489 (0.86%)
28 Jun 2012 18 Jul 2012* CASH USD 0.049 (0.86%)
12 Dec 2011 13 Dec 2011 CASH USD 0.0851 (1.64%)
29 Jun 2011 30 Jun 2011 CASH USD 0.0816 (1.29%)
13 Dec 2010 14 Dec 2010 CASH USD 0.3327 (5.16%)
29 Jun 2010 30 Jun 2010 CASH USD 0.09 (1.64%)
30 Apr 2010 20 May 2010* CASH USD 0.012 (0.20%)
11 Dec 2009 14 Dec 2009 CASH USD 0.7669 (11.40%)
30 Jun 2009 20 Jul 2009* CASH USD 0.065 (1.15%)
29 Jun 2009 30 Jun 2009 CASH USD 0.0943 (1.66%)
27 Jun 2008 30 Jun 2008 CASH USD 0.091 (1.03%)
13 Dec 2007 14 Dec 2007 CASH USD 0.8037 (6.53%)
28 Jun 2007 29 Jun 2007 CASH USD 0.0822 (0.66%)
12 Dec 2006 13 Dec 2006 CASH USD 0.0992 (0.86%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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