Funds by Goldman Sachs

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
GS US Sml Cap CORE Eq Pfl
FO Equity - Small Cap USA
View Factsheet
12.8%
-
37.4%
-
64.7%
-
140%
-
0.85%
GS EmgMktsCREqPfl
FO Equity - Emerging Markets
View Factsheet
-3.5%
-
29.7%
-
29.3%
-
46.9%
-
1.05%
GS Global SmCap Core Eq
FO Equity - International
View Factsheet
5.2%
-
28.3%
-
41.8%
-
113.7%
-
0.85%
GS US Core Eq Pfl
FO Equity - USA
View Factsheet
4.5%
-
28.2%
-
65.4%
-
139.4%
-
0.75%
GS BRICs Rqt Portfl
FO Equity - Emerging Markets
View Factsheet
-5.3%
-
24.7%
-
26%
-
26%
-
1.25%
GS Emg Mkts Eq Ptl
FO Equity - Emerging Markets
View Factsheet
-4.7%
-
24.3%
-
35%
-
40.1%
-
1.35%
GS NthAm Eng a En Infr Eq Pfl
FO Commodity & Energy
View Factsheet
11.8%
-
24.2%
-
-
-
-
-
1.15%
GS India Eq Pfl
FO Equity - India
View Factsheet
-10%
-
21.4%
-
102.4%
-
131.4%
-
1.35%
GS Emg Mkt DbLc Pfl
FO Fixed Int - Emerging Markets
View Factsheet
-9.5%
-
21.2%
-
5.1%
-
7.9%
-
0.95%
GS Jap Eq Part Pfl
FO Equity - Japan
View Factsheet
-8.7%
116 / 117
21.2%
10 / 109
-
-
-
-
1.11%
GS US Eq Ptf
FO Equity - USA
View Factsheet
4.1%
-
20%
-
47%
-
114.8%
-
1.15%
GS Jpn Eq Prtfl
FO Equity - Japan
View Factsheet
-4.3%
-
17.9%
-
39%
-
96.8%
-
1.05%
GS Eur CORE Eq Portfolio
FO Equity - Europe inc UK
View Factsheet
0.1%
-
17.7%
-
35.8%
-
93.7%
-
0.75%
GS Gbl Eq Part Pfl
FO Equity - International
View Factsheet
0.3%
-
17.3%
-
36.1%
-
101.6%
-
1.15%
GS Str Gbl Eq Port
FO Equity - International
View Factsheet
1.4%
-
16.9%
-
30.8%
-
87.6%
-
1.05%
GS EmgMktDbBlndPfl
FO Fixed Int - Emerging Markets
View Factsheet
-6.8%
-
14.6%
-
11.1%
-
-
-
0.95%
GS China Opp Eq Prtflio
FO Equity - Greater China
View Factsheet
-5.7%
-
13.3%
-
29.4%
-
60.3%
-
1.15%
GS WB MAsset Gth Pfl
FO Mixed Asset - Aggressive
View Factsheet
1%
-
12.3%
-
-
-
-
-
1.18%
GS GlbSvrgnBndPrtf
FO Fixed Int - Global
View Factsheet
-5.5%
296 / 315
12%
16 / 295
-
-
-
-
0.76%
GS US Focsd Gth Eq Pfl
FO Equity - USA
View Factsheet
-1.3%
-
11.5%
-
42.6%
-
101.9%
-
1.15%
GS Gbl Inc Bldr Prt Pfl
FO Mixed Asset - Balanced
View Factsheet
-0.4%
-
11.2%
-
-
-
-
-
0.9%
GS WB MAsset Bal Pfl
FO Mixed Asset - Balanced
View Factsheet
0.4%
-
10.6%
-
-
-
-
-
1.08%
GS Eurp Pfl
FO Equity - Europe inc UK
View Factsheet
-0.8%
-
10.1%
-
24.8%
-
83.7%
-
1.05%
GS N-11 Equity Pfl
FO Equity - Emerging Markets
View Factsheet
-7.4%
-
9.4%
-
-0.3%
-
12.5%
-
1.25%
GS EmMkts CrpBd Pfl
FO Fixed Int - Emerging Markets
View Factsheet
-1.9%
-
9%
-
17.6%
-
-
-
0.95%
GS Gbl HiYld Pfl
FO Fixed Int - Global High Yield
View Factsheet
0.5%
-
8.1%
-
8.7%
-
-
-
0.85%
GS Sterling Broad FI Pl Pfl
FO Fixed Int - GBP Long Maturity
View Factsheet
-2.5%
-
8.1%
-
24.6%
-
38.4%
-
0.75%
GS AsHiYiBoPo
FO Fixed Int - USD High Yield
View Factsheet
-1.4%
44 / 45
8%
28 / 43
-
-
-
-
2%
GS Sterling Broad Fxd Inc Pfl
FO Fixed Int - GBP Investment Grade
View Factsheet
-2.7%
-
7.8%
-
22.3%
-
30.8%
-
0.6%
GS GMS Emrgg Mkt Eq Pfl
FO Equity - Emerging Markets
View Factsheet
-3.2%
146 / 263
7.7%
90 / 258
-5.9%
111 / 210
-
-
1.12%
GS EmgMkt Db Pfl
FO Fixed Int - Emerging Markets
View Factsheet
-5%
-
7.4%
-
18.2%
-
-
-
1%
GS Sterling Cr Prtf
FO Fixed Int - GBP
View Factsheet
-2%
-
7.3%
-
20.3%
-
44.3%
-
0.65%
GS WB MAsset Cons Pfl
FO Mixed Asset - Cautious
View Factsheet
-0.4%
-
7.1%
-
-
-
-
-
1.05%
GS GMS Global Equity Pfl
FO Equity - International
View Factsheet
4%
150 / 500
7%
122 / 471
15.5%
176 / 384
52%
152 / 287
0.77%
GS Global CORE Eq Pfl
FO Equity - International
View Factsheet
5.8%
-
6.2%
-
27.9%
-
82.8%
-
0.75%
GS US Real Est Bal Pfl
FO Property - North America
View Factsheet
1.6%
-
5.7%
-
20.1%
-
-
-
1.1%
GS GIVIGlEq-GrthMktsTltPf
FO Equity - International
View Factsheet
0.6%
-
4.8%
-
8.8%
-
-
-
0.5%
GS MA Dyn Strat Pfl
FO Mixed Asset - Flexible
View Factsheet
1.8%
23 / 165
4.6%
46 / 151
8.1%
55 / 107
-
-
0.95%
GS EurpHYBdPrtfl
FO Fixed Int - EUR High Yield
View Factsheet
-0.1%
7 / 28
4.3%
21 / 29
-
-
-
-
1.05%
GS OppCorpBdPfl
FO Fixed Int - Global
View Factsheet
-0.3%
-
4.3%
-
7.1%
-
-
-
0.95%
GS GblCrPflH
FO Fixed Int - Global
View Factsheet
-2.4%
-
3.7%
-
12%
-
-
-
0.65%
GS GMS US Equity Portfolio
FO Equity - USA
View Factsheet
6.6%
79 / 220
3.4%
122 / 208
18.8%
97 / 177
80.1%
62 / 147
0.63%
GS GMS Dyn Wld Eq Pfl
FO Equity - International
View Factsheet
3.6%
167 / 500
3.3%
208 / 471
9.7%
244 / 384
59%
120 / 287
1.52%
GS Gbl Fxd Inc Pfl Hgd
FO Fixed Int - Global
View Factsheet
-1.7%
-
3.3%
-
11.4%
-
-
-
0.6%
GS Gbl Fixed Inc Pfl
FO Fixed Int - Global
View Factsheet
-4.5%
-
2.9%
-
-1.1%
-
2.3%
-
0.6%
GS Gbl FI + Pfl (Hgd)
FO Fixed Int - Global
View Factsheet
-2%
-
2.6%
-
12%
-
-
-
0.75%
GS AbsRtTrkPfl
FO Hedge/Stru Prod - Mixed
View Factsheet
2.1%
15 / 118
2.5%
24 / 124
5.3%
-
11.2%
-
0.8%
GS US Mort Back Secs Pfl
FO Fixed Int - USD Investment Grade
View Factsheet
-1.7%
-
2.3%
-
10%
-
14%
-
0.55%
GS Euro Fixed Income Pfl
FO Fixed Int - EUR Investment Grade
View Factsheet
-1.7%
-
2.3%
-
13.4%
-
33.1%
-
0.6%
GS US Fixed Income Pfl
FO Fixed Int - USD Investment Grade
View Factsheet
-2.4%
-
1.8%
-
7.6%
-
13.1%
-
0.6%
GS Gbl Strat Mcr Bd Pfl
FO Hedge/Stru Prod - Fixed Int
View Factsheet
-0.6%
13 / 16
1.1%
14 / 23
-
-
-
-
1%
GS Eur ShtDur Bd PlsPfl
FO Fixed Int - EUR Short/ Medium Maturity
View Factsheet
-
-
1.1%
-
-
-
-
-
0.45%
GS Strgc AbsRtn Bd I Pfl
FO Absolute Return
View Factsheet
0%
-
0.6%
-
1.1%
-
-
-
0.5%
GS US$ Liq Res
FO Currency - US Dollar
View Factsheet
0%
18 / 59
0.2%
27 / 56
0.2%
24 / 50
0.2%
25 / 47
0.45%
GS Sterling Govt Liq Res
FO Currency - Sterling
View Factsheet
0%
27 / 46
0.2%
19 / 42
0.7%
17 / 38
1.1%
16 / 31
0.2%
GS Gbl Strat IncBd Pfl
FO Fixed Int - Global
View Factsheet
-0.2%
-
0.1%
-
0.8%
-
-
-
0.85%
GS Stg Liquid Reserves
FO Currency - Sterling
View Factsheet
0%
29 / 46
0.1%
25 / 42
0.3%
27 / 38
0.7%
21 / 31
0.45%
GS US$ Treas Liq Res
FO Currency - US Dollar
View Factsheet
0%
43 / 59
0%
45 / 56
0%
38 / 50
0%
37 / 47
0.7%
GS Strgc AbsRtn BdII Pfl
FO Absolute Return
View Factsheet
-0.3%
-
-0.2%
-
-1%
-
-
-
0.75%
GS Tactical Tilt Portf
FO Mixed Asset - Flexible
View Factsheet
1.1%
46 / 165
-0.3%
96 / 151
5.9%
66 / 107
31.4%
30 / 78
1%
GS Euro Liquid Reserves
FO Currency - Euro
View Factsheet
-0%
30 / 58
-0.3%
39 / 56
-0.4%
34 / 53
-0.3%
28 / 44
0.45%
GS Gbl AbsRtn Pf
FO Absolute Return
View Factsheet
0.5%
-
-0.4%
-
-
-
-
-
1.03%
GS Yen Liquid Reserves
FO Currency - Other
View Factsheet
-0.1%
16 / 23
-0.6%
14 / 22
-0.7%
14 / 21
-0.7%
14 / 21
0.2%
GS Euro Govt Liq Res
FO Currency - Euro
View Factsheet
-0.1%
46 / 58
-0.6%
50 / 56
-0.8%
43 / 53
-0.8%
34 / 44
0.45%
GS Asia Equity Portfolio
FO Equity - Asia Pacific ex Japan
View Factsheet
-2.7%
-
-0.9%
-
8%
-
23.2%
-
1.15%
GS Gl Eq PrtnESG Ptf
FO Equity - International
View Factsheet
2.1%
-
-1.5%
-
1.2%
-
38%
-
1%
GS GMS Eur Eq Prt
FO Equity - Europe inc UK
View Factsheet
5.3%
24 / 233
-2.4%
55 / 227
18.5%
71 / 200
66.8%
68 / 175
0.77%
GS Gbl Millen Eq Pfl
FO Equity - International
View Factsheet
0.1%
-
-3%
-
1.1%
-
-
-
1.15%
GS GIVI Europe Eq Pfl
FO Equity - Europe inc UK
View Factsheet
2.7%
-
-3.8%
-
18.6%
-
-
-
0.45%
GS GblCurrPl Pfl
FO Hedge/Stru Prod - Currency
View Factsheet
-2.3%
-
-5.9%
-
-0.6%
-
-
-
0.95%
GS AlterTrPfl
FO Hedge/Stru Prod - Mixed
View Factsheet
2.5%
12 / 118
-5.9%
101 / 124
8.3%
20 / 83
-3.5%
60 / 68
0.86%
GS EFILgShrtRskPrmiaPfl
FO Hedge/Stru Prod - Equity
View Factsheet
-1.4%
93 / 113
-6.9%
83 / 109
-
-
-
-
-
GS GlbEqLngShrtPrtf
FO Hedge/Stru Prod - Equity
View Factsheet
-1%
88 / 113
-10.1%
99 / 109
-
-
-
-
2.15%
GS Stgc Factr Alloc Pf
FO Mixed Asset - Balanced
View Factsheet
0.7%
56 / 143
-
-
-
-
-
-
0.96%
GS GlMMngAltPtfl
FO Hedge/Stru Prod - Mixed
View Factsheet
2.7%
10 / 118
-
-
-
-
-
-
2.55%
GS US$TreasInstrLiqRes
FO Currency - US Dollar
View Factsheet
0%
43 / 59
-
-
-
-
-
-
0.45%
GS $ Shrt Dur Bnd Prtf
FO Fixed Int - USD Short/ Medium Maturity
View Factsheet
-0.4%
8 / 20
-
-
-
-
-
-
0.9%
GS Stg Ul Shrt Dur Bnd Prtf
FO Currency - Sterling
View Factsheet
-
32 / 46
-
-
-
-
-
-
0.54%
GS Bal Alloc Pfl
FO Mixed Asset - Balanced
View Factsheet
1.5%
26 / 143
-
-
-
-
-
-
1%
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