Goldman Sachs Access Inflation Protected USD Bond ETF
GTIP
#1970
ETF rank
$0.18 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
$49.46
Share price
-0.16%
Change (1 day)
5.06%
Change (1 year)

Goldman Sachs Access Inflation Protected USD Bond ETF (GTIP) - Distributions and Dividends

Distributions paid over the last 12 months: 1.9914 USD
Current distribution yield: 0.00%

Yearly distributions/payments for Goldman Sachs Access Inflation Protected USD Bond ETF (GTIP)

Distributions Yield for Goldman Sachs Access Inflation Protected USD Bond ETF (GTIP)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-11-072025-11-072025-11-030.2111USD
2025-10-072025-10-072025-10-010.1521USD
2025-09-082025-09-082025-09-020.2185USD
2025-08-072025-08-072025-08-010.1671USD
2025-07-082025-07-082025-07-010.2189USD
2025-06-062025-06-062025-06-020.1700USD
2025-05-072025-05-072025-05-010.2889USD
2025-04-072025-04-072025-04-010.3860USD
2025-03-072025-03-072025-03-030.0571USD
2025-02-072025-02-072025-02-030.0046USD
2025-01-072025-01-072024-12-310.1171USD
2024-12-062024-12-062024-12-020.1191USD
2024-11-072024-11-072024-11-010.0819USD
2024-10-072024-10-072024-10-010.0974USD
2024-09-092024-09-092024-09-030.0520USD
2024-08-072024-08-072024-08-010.1403USD
2024-07-082024-07-082024-07-010.2224USD
2024-06-072024-06-072024-06-030.3658USD
2024-05-072024-05-072024-05-020.3786USD
2024-04-052024-04-052024-04-020.1227USD
2024-03-072024-03-072024-03-040.0000USD
2024-02-072024-02-072024-02-020.0000USD
2023-12-072023-12-072023-12-040.1307USD
2023-11-072023-11-072023-11-020.2190USD
2023-10-062023-10-062023-10-030.0822USD
2023-09-082023-09-082023-09-050.1492USD
2023-08-072023-08-072023-08-020.1164USD
2023-07-102023-07-102023-07-050.2283USD
2023-06-072023-06-072023-06-020.1359USD
2023-05-052023-05-052023-05-020.2537USD
2023-04-072023-04-072023-04-040.0415USD
2023-03-072023-03-072023-03-020.0000USD
2023-02-072023-02-072023-02-020.0000USD
2023-01-052023-01-052022-12-290.0812USD
2023-01-052023-01-052022-12-290.0812USD
2022-12-072022-12-072022-12-020.0000USD
2022-11-072022-11-072022-11-020.0000USD
2022-10-072022-10-072022-10-040.0000USD
2022-09-072022-09-072022-09-020.6500USD
2022-08-052022-08-052022-08-020.5013USD
2022-07-072022-07-072022-07-020.2199USD
2022-06-072022-06-072022-06-020.6235USD
2022-05-042022-05-042022-05-030.0000USD
2022-04-072022-04-072022-04-020.3873USD
2022-03-072022-03-072022-03-020.0954USD
2022-02-072022-02-072022-02-020.1766USD
2022-01-052022-01-052021-12-290.3392USD
2021-12-072021-12-072021-12-020.0670USD
2021-11-052021-11-052021-11-020.0328USD
2021-10-072021-10-072021-10-040.1744USD
2021-09-082021-09-082021-09-020.3860USD
2021-08-062021-08-062021-08-030.2915USD
2021-07-082021-07-082021-07-020.3526USD
2021-06-072021-06-072021-06-020.2555USD
2021-05-072021-05-072021-05-040.2205USD
2021-04-082021-04-082021-04-050.1152USD
2021-03-052021-03-052021-03-020.0000USD
2021-01-062021-01-062020-12-300.0423USD
2020-12-072020-12-072020-12-020.0377USD
2020-11-062020-11-062020-11-030.1307USD
2020-10-062020-10-062020-10-020.1437USD
2020-09-082020-09-082020-09-020.0000USD
2020-08-072020-08-072020-08-040.0000USD
2020-07-072020-07-072020-07-020.0000USD
2020-06-052020-06-052020-06-020.0000USD
2020-05-072020-05-072020-05-040.1133USD
2020-04-072020-04-072020-04-020.1313USD
2020-03-062020-03-062020-03-030.0000USD
2020-02-072020-02-072020-02-040.0000USD
2020-01-032020-01-032019-12-300.2022USD
2019-12-062019-12-062019-12-030.0558USD
2019-11-072019-11-072019-11-040.0138USD
2019-10-072019-10-072019-10-020.1082USD
2019-09-092019-09-092019-09-040.0349USD
2019-08-072019-08-072019-08-020.1330USD
2019-07-082019-07-082019-07-020.2958USD
2019-06-072019-06-072019-06-040.3128USD
2019-05-072019-05-072019-05-020.0690USD
2019-04-052019-04-052019-04-020.0000USD
2019-03-072019-03-072019-03-040.0000USD
2019-02-072019-02-072019-02-040.0000USD
2019-01-032019-01-032018-12-280.1282USD
2018-12-072018-12-072018-12-040.1541USD
2018-11-072018-11-072018-11-020.0458USD