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Goldman Sachs

Stock
Stock
ISIN: US38141G1040
Ticker: GS
US38141G1040
GS

Price

Dividend metrics

Annual payout (TTM) 
€10.89
Yield (TTM) 
1.705%
Payout ratio 
27.98%
Payout frequency 
Quarterly
Dividend growth (3Y) 
23.99%
Next payment 
€3.429

Dividend history & forecast

€2.915

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
2.02%
+5.89%
€11.32
Forecasted
02.12.2025
30.12.2025
0.49%
-25%
€2.572
Announced
29.08.2025
29.09.2025
0.53%
+33.96%
€3.429
Paid
30.05.2025
27.06.2025
0.5%
-7.11%
€2.56
Paid
28.02.2025
28.03.2025
0.49%
-4.41%
€2.756
2024
2.39%
+10.37%
€10.69
Paid
02.12.2024
30.12.2024
0.49%
+7.33%
€2.883
Paid
30.08.2024
27.09.2024
0.59%
+4.57%
€2.686
Paid
30.05.2024
27.06.2024
0.6%
+0.78%
€2.569
Paid
28.02.2024
28.03.2024
0.7%
+2.53%
€2.549
2023
3.33%
+12.66%
€9.682
Paid
29.11.2023
28.12.2023
0.9%
-4.5%
€2.486
Paid
30.08.2023
28.09.2023
0.9%
+13.14%
€2.603
Paid
31.05.2023
29.06.2023
0.81%
+0.33%
€2.301
Paid
01.03.2023
30.03.2023
0.72%
-2.21%
€2.293
2022
2.61%
+53.3%
€8.595
Paid
30.11.2022
29.12.2022
0.65%
-7.81%
€2.345
Paid
31.08.2022
29.09.2022
0.75%
+32.85%
€2.543
Paid
31.05.2022
29.06.2022
0.61%
+6.84%
€1.915
Paid
01.03.2022
30.03.2022
0.6%
+1.46%
€1.792
2021
1.72%
+29.61%
€5.606
Paid
01.12.2021
30.12.2021
0.51%
+2.47%
€1.766
Paid
31.08.2021
29.09.2021
0.5%
+64.09%
€1.724
Paid
28.05.2021
29.06.2021
0.34%
-1.49%
€1.05
Paid
01.03.2021
30.03.2021
0.37%
+4.92%
€1.066
2020
2.33%
+16.33%
€4.326
Paid
01.12.2020
30.12.2020
0.54%
-4.54%
€1.016
Paid
31.08.2020
29.09.2020
0.63%
-4.21%
€1.065
Paid
29.05.2020
29.06.2020
0.63%
-1.93%
€1.111
Paid
28.02.2020
30.03.2020
0.54%
+1.56%
€1.133
2019
2.02%
+38.33%
€3.718
Paid
29.11.2019
30.12.2019
0.56%
-2.33%
€1.116
Paid
29.08.2019
27.09.2019
0.61%
+52.84%
€1.142
Paid
29.05.2019
27.06.2019
0.44%
+4.92%
€0.747
Paid
27.02.2019
28.03.2019
0.41%
+1.86%
€0.712
2018
1.41%
+6.33%
€2.688
Paid
29.11.2018
28.12.2018
0.44%
+1.74%
€0.699
Paid
29.08.2018
27.09.2018
0.34%
-0.61%
€0.687
Paid
30.05.2018
28.06.2018
0.35%
+13.49%
€0.692
Paid
28.02.2018
29.03.2018
0.29%
-2.95%
€0.609
2017
1.24%
+7.5%
€2.528
Paid
29.11.2017
28.12.2017
0.3%
-1.33%
€0.628
Paid
29.08.2017
28.09.2017
0.33%
-2.9%
€0.636
Paid
30.05.2017
29.06.2017
0.34%
+7.79%
€0.655
Paid
28.02.2017
30.03.2017
0.26%
-1.06%
€0.608
2016
1.54%
+1.99%
€2.352
Paid
29.11.2016
29.12.2016
0.28%
+6.1%
€0.615
Paid
30.08.2016
29.09.2016
0.39%
-0.87%
€0.579
Paid
27.05.2016
29.06.2016
0.43%
+1.87%
€0.584
Paid
29.02.2016
30.03.2016
0.43%
-3.59%
€0.574
2015
1.32%
+33.29%
€2.306
Paid
30.11.2015
30.12.2015
0.35%
+3.03%
€0.595
Paid
28.08.2015
29.09.2015
0.34%
-0.31%
€0.577
Paid
28.05.2015
29.06.2015
0.31%
+4.54%
€0.579
Paid
26.02.2015
30.03.2015
0.32%
+12.27%
€0.554
2014
1.3%
+12.14%
€1.73
Paid
28.11.2014
30.12.2014
0.31%
+13.87%
€0.494
Paid
27.08.2014
29.09.2014
0.31%
+7.56%
€0.433
Paid
28.05.2014
27.06.2014
0.35%
+0.76%
€0.403
Paid
26.02.2014
28.03.2014
0.33%
+0.32%
€0.40
2013
1.3%
+12.76%
€1.543
Paid
27.11.2013
30.12.2013
0.34%
+7.82%
€0.399
Paid
28.08.2013
27.09.2013
0.31%
-3.6%
€0.37
Paid
28.05.2013
27.06.2013
0.33%
-1.79%
€0.384
Paid
26.02.2013
28.03.2013
0.33%
+3.24%
€0.391
2012
1.58%
+34.35%
€1.368
Paid
28.11.2012
28.12.2012
0.42%
+6.1%
€0.378
Paid
28.08.2012
27.09.2012
0.42%
-3.61%
€0.357
Paid
29.05.2012
28.06.2012
0.45%
+40.54%
€0.37
Paid
28.02.2012
29.03.2012
0.3%
-2.66%
€0.263
2011
1.15%
-4.69%
€1.018
Paid
29.11.2011
29.12.2011
0.36%
+5.12%
€0.27
Paid
30.08.2011
29.09.2011
0.33%
+6.04%
€0.257
Paid
27.05.2011
29.06.2011
0.25%
-2.2%
€0.243
Paid
28.02.2011
30.03.2011
0.22%
-5.91%
€0.248
2010
0.91%
-0.88%
€1.068
Paid
30.11.2010
30.12.2010
0.21%
+2.63%
€0.264
Paid
30.08.2010
29.09.2010
0.24%
-10.56%
€0.257
Paid
27.05.2010
29.06.2010
0.25%
+10.13%
€0.287
Paid
26.02.2010
30.03.2010
0.21%
+6.75%
€0.261
2009
1.23%
+11.57%
€1.078
Paid
30.11.2009
30.12.2009
0.2%
+2.49%
€0.244
Paid
21.08.2009
24.09.2009
0.22%
-4.91%
€0.238
Paid
21.05.2009
25.06.2009
0.25%
-27.26%
€0.251
Paid
20.02.2009
26.03.2009
0.56%
+26.68%
€0.345
2008
0.9%
-5.24%
€0.966
Paid
23.10.2008
24.11.2008
0.32%
+14.29%
€0.272
Paid
25.07.2008
28.08.2008
0.2%
+5.53%
€0.238
Paid
25.04.2008
29.05.2008
0.19%
-2.15%
€0.226
Paid
25.01.2008
28.02.2008
0.19%
-2.11%
€0.23
2007
0.67%
-1.09%
€1.019
Paid
25.10.2007
26.11.2007
0.15%
-8.27%
€0.235
Paid
27.07.2007
30.08.2007
0.19%
-1.48%
€0.257
Paid
20.04.2007
24.05.2007
0.16%
-2.3%
€0.261
Paid
19.01.2007
22.02.2007
0.17%
-2.35%
€0.267
2006
0.84%
+28.01%
€1.031
Paid
19.10.2006
20.11.2006
0.19%
-0.34%
€0.273
Paid
21.07.2006
24.08.2006
0.24%
+0.07%
€0.274
Paid
21.04.2006
25.05.2006
0.22%
+30.64%
€0.274
Paid
20.01.2006
23.02.2006
0.19%
-1.55%
€0.21
2005
0.92%
+0.22%
€0.805
Paid
20.10.2005
21.11.2005
0.2%
+4.79%
€0.213
Paid
22.07.2005
25.08.2005
0.24%
+1.72%
€0.203
Paid
22.04.2005
26.05.2005
0.24%
+5.58%
€0.20
Paid
21.01.2005
24.02.2005
0.24%
-1.32%
€0.189
2004
1.04%
+22.59%
€0.803
Paid
21.10.2004
22.11.2004
0.26%
-7.21%
€0.192
Paid
23.07.2004
26.08.2004
0.28%
+1.3%
€0.207
Paid
23.04.2004
27.05.2004
0.25%
+1.51%
€0.204
Paid
23.01.2004
26.02.2004
0.25%
-5.34%
€0.201
2003
0.56%
+28.79%
€0.655
Paid
23.10.2003
24.11.2003
0.27%
-7.68%
€0.212
Paid
25.07.2003
28.08.2003
0.29%
+126.23%
€0.23
Paid
25.04.2003
29.05.2003
-
-8.75%
€0.102
Paid
24.01.2003
27.02.2003
-
-7.81%
€0.111
2002
-
-5.67%
€0.509
Paid
24.10.2002
25.11.2002
-
-0.97%
€0.121
Paid
26.07.2002
29.08.2002
-
-4.65%
€0.122
Paid
26.04.2002
30.05.2002
-
-7.26%
€0.128
Paid
17.01.2002
21.02.2002
-
+1.27%
€0.138
2001
-
+2.27%
€0.539
Paid
25.10.2001
26.11.2001
-
+3.91%
€0.136
Paid
27.07.2001
30.08.2001
-
-6.32%
€0.131
Paid
20.04.2001
24.05.2001
-
+6.03%
€0.14
Paid
18.01.2001
21.02.2001
-
-6.62%
€0.132
2000
-
+121.23%
€0.527
Paid
19.10.2000
20.11.2000
-
+6.27%
€0.141
Paid
20.07.2000
24.08.2000
-
+0.67%
€0.133
Paid
19.04.2000
25.05.2000
-
+9.33%
€0.132
Paid
20.01.2000
24.02.2000
-
+1.4%
€0.121
1999
-
-
€0.238
Paid
21.10.1999
22.11.1999
-
0%
€0.119
Paid
10.08.1999
27.08.1999
-
-
€0.119

Frequently asked questions

When does Goldman Sachs pay dividends?

Goldman Sachs's dividends are paid out in March, June, September, and December.

How often does Goldman Sachs pay dividends?

On a quarterly basis.

What is the dividend yield of Goldman Sachs?

The dividend yield is currently 1.70% and distributions have increased by 23.99% in the last 3 years.

When was Goldman Sachs's last dividend payout date?

The last payment was made on 27.06.2025.

When do you have to have Goldman Sachs in your portfolio to receive the last dividend?

If you had Goldman Sachs in your securities account on 30.05.2025, you received the distribution.

How much was Goldman Sachs's dividend in 2024?

Goldman Sachs paid out a dividend of €10.69 in 2024.

How much was Goldman Sachs's dividend in 2023?

Goldman Sachs paid out a dividend of €9.682 in 2023.

When is the ex-dividend date for the next Goldman Sachs's dividend?

To receive the next dividend, Goldman Sachs must be booked in the securities account on 29.08.2025.

What is Goldman Sachs's next dividend?

On 29.09.2025, €3.429 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 10.37% based on the previous financial year. The average dividend growth over the last 5 years is 23.51%.

1 Year

Strong growth10.37%

3 Year

Strong growth23.99%

5 Year

Strong growth23.51%

10 Year

Strong growth19.97%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
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