Funds by Goldman Sachs

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
GS Jap Eq Part Pfl
FO Equity - Japan
View Factsheet
4.8%
27 / 117
46.1%
2 / 111
-
-
-
-
1.11%
GS BRICs Rqt Portfl
FO Equity - Emerging Markets
View Factsheet
5%
-
45.5%
-
33.4%
-
49.2%
-
1.25%
GS Emg Mkts Eq Ptl
FO Equity - Emerging Markets
View Factsheet
4.2%
-
41.7%
-
41.9%
-
64.8%
-
1.35%
GS EmgMktsCREqPfl
FO Equity - Emerging Markets
View Factsheet
2.7%
-
38.1%
-
29.9%
-
69.5%
-
1.05%
GS India Eq Pfl
FO Equity - India
View Factsheet
5.8%
-
37.4%
-
147.6%
-
148.4%
-
1.35%
GS Emg Mkt DbLc Pfl
FO Fixed Int - Emerging Markets
View Factsheet
0.6%
-
35.7%
-
7.3%
-
22.6%
-
0.95%
GS Jpn Eq Prtfl
FO Equity - Japan
View Factsheet
4.5%
-
35%
-
40%
-
109.7%
-
1.05%
GS China Opp Eq Prtflio
FO Equity - Greater China
View Factsheet
6.8%
-
32.9%
-
40%
-
91.8%
-
1.15%
GS US Sml Cap CORE Eq Pfl
FO Equity - Small Cap USA
View Factsheet
3%
-
32.6%
-
54.6%
-
154.5%
-
0.85%
GS Global SmCap Core Eq
FO Equity - International
View Factsheet
3.1%
-
32.1%
-
44.5%
-
129.8%
-
0.85%
GS US Core Eq Pfl
FO Equity - USA
View Factsheet
1.2%
-
31.3%
-
63.6%
-
154.4%
-
0.75%
GS Eur CORE Eq Portfolio
FO Equity - Europe inc UK
View Factsheet
1.9%
-
27%
-
39.6%
-
124.9%
-
0.75%
GS N-11 Equity Pfl
FO Equity - Emerging Markets
View Factsheet
0.3%
-
25.1%
-
7.3%
-
35%
-
1.25%
GS EmgMktDbBlndPfl
FO Fixed Int - Emerging Markets
View Factsheet
0.3%
-
24.3%
-
16.5%
-
-
-
0.95%
GS Str Gbl Eq Port
FO Equity - International
View Factsheet
1.2%
-
23.2%
-
31.6%
-
102.9%
-
1.05%
GS US Focsd Gth Eq Pfl
FO Equity - USA
View Factsheet
0.8%
-
23.1%
-
55%
-
128.2%
-
1.15%
GS US Eq Ptf
FO Equity - USA
View Factsheet
0.3%
-
23%
-
46.6%
-
127.8%
-
1.15%
GS GMS Emrgg Mkt Eq Pfl
FO Equity - Emerging Markets
View Factsheet
1.4%
160 / 264
23%
60 / 258
-0.6%
112 / 206
-
-
1.12%
GS Gbl Eq Part Pfl
FO Equity - International
View Factsheet
0.8%
-
22.5%
-
39.9%
-
122.2%
-
1.15%
GS Eurp Pfl
FO Equity - Europe inc UK
View Factsheet
0.6%
-
21.6%
-
33.9%
-
115.6%
-
1.05%
GS GlbSvrgnBndPrtf
FO Fixed Int - Global
View Factsheet
-0%
103 / 304
21.1%
13 / 287
-
-
-
-
0.76%
GS WB MAsset Gth Pfl
FO Mixed Asset - Aggressive
View Factsheet
1%
-
16.3%
-
-
-
-
-
1.18%
GS Asia Equity Portfolio
FO Equity - Asia Pacific ex Japan
View Factsheet
2.4%
-
16.3%
-
20.7%
-
45.2%
-
1.15%
GS GIVIEmrgMktsEqPfl
FO Equity - Emerging Markets
View Factsheet
1%
-
15.8%
-
-1.6%
-
-
-
0.7%
GS EmgMkt Db Pfl
FO Fixed Int - Emerging Markets
View Factsheet
0.5%
-
15.5%
-
25.7%
-
-
-
1%
GS Sterling Broad FI Pl Pfl
FO Fixed Int - GBP Long Maturity
View Factsheet
-1%
-
15.2%
-
34.4%
-
47.9%
-
0.75%
GS Gbl Inc Bldr Prt Pfl
FO Mixed Asset - Balanced
View Factsheet
0.5%
-
14.9%
-
-
-
-
-
0.9%
GS Sterling Broad Fxd Inc Pfl
FO Fixed Int - GBP Investment Grade
View Factsheet
-1%
-
14.6%
-
32%
-
40.7%
-
0.6%
GS GIVIGlEq-GrthMktsTltPf
FO Equity - International
View Factsheet
-0.1%
-
14.2%
-
15.7%
-
-
-
0.5%
GS WB MAsset Bal Pfl
FO Mixed Asset - Balanced
View Factsheet
0.7%
-
13.9%
-
-
-
-
-
1.08%
GS GMS Global Equity Pfl
FO Equity - International
View Factsheet
0.1%
308 / 494
13.6%
125 / 471
19.1%
187 / 373
68.8%
156 / 288
0.77%
GS Sterling Cr Prtf
FO Fixed Int - GBP
View Factsheet
-0.6%
-
13.6%
-
29.1%
-
51.7%
-
0.65%
GS AsHiYiBoPo
FO Fixed Int - USD High Yield
View Factsheet
0.3%
21 / 46
11%
4 / 46
-
-
-
-
2%
GS Global CORE Eq Pfl
FO Equity - International
View Factsheet
-0.3%
-
10.8%
-
29.8%
-
96.8%
-
0.75%
GS EmMkts CrpBd Pfl
FO Fixed Int - Emerging Markets
View Factsheet
-0.1%
-
10.8%
-
21.2%
-
-
-
0.95%
GS WB MAsset Cons Pfl
FO Mixed Asset - Cautious
View Factsheet
0.2%
-
10%
-
-
-
-
-
1.05%
GS Gbl Fixed Inc Pfl
FO Fixed Int - Global
View Factsheet
-0.8%
-
8.6%
-
6.4%
-
7.6%
-
0.6%
GS GMS Dyn Wld Eq Pfl
FO Equity - International
View Factsheet
0.5%
225 / 494
8.3%
276 / 471
11.7%
273 / 373
71.1%
143 / 288
1.52%
GS MA Dyn Strat Pfl
FO Mixed Asset - Flexible
View Factsheet
0.4%
56 / 165
8.3%
43 / 150
10.8%
57 / 107
-
-
0.95%
GS GblCrPflH
FO Fixed Int - Global
View Factsheet
-0.6%
-
7.4%
-
17.4%
-
-
-
0.65%
GS OppCorpBdPfl
FO Fixed Int - Global
View Factsheet
-0.2%
-
6.8%
-
9.9%
-
-
-
0.95%
GS Gbl Fxd Inc Pfl Hgd
FO Fixed Int - Global
View Factsheet
-0.4%
-
6.2%
-
15.6%
-
-
-
0.6%
GS EurpHYBdPrtfl
FO Fixed Int - EUR High Yield
View Factsheet
-0.1%
17 / 27
6.2%
18 / 27
-
-
-
-
1.05%
GS Euro Fixed Income Pfl
FO Fixed Int - EUR Investment Grade
View Factsheet
-0.2%
-
6.1%
-
18.9%
-
35.3%
-
0.6%
GS US Real Est Bal Pfl
FO Property - North America
View Factsheet
0.1%
-
6%
-
20.5%
-
-
-
1.1%
GS Gbl HiYld Pfl
FO Fixed Int - Global High Yield
View Factsheet
0.3%
-
5.8%
-
10.8%
-
-
-
0.85%
GS Gbl FI + Pfl (Hgd)
FO Fixed Int - Global
View Factsheet
-0.4%
-
5.8%
-
16.6%
-
-
-
0.75%
GS Gl Eq PrtnESG Ptf
FO Equity - International
View Factsheet
-1.1%
-
5.3%
-
6.2%
-
55.8%
-
1%
GS Gbl Millen Eq Pfl
FO Equity - International
View Factsheet
-0.5%
-
4.7%
-
8%
-
-
-
1.15%
GS US Fixed Income Pfl
FO Fixed Int - USD Investment Grade
View Factsheet
-0.3%
-
4.6%
-
11.8%
-
15.6%
-
0.6%
GS GIVI Europe Eq Pfl
FO Equity - Europe inc UK
View Factsheet
0.3%
-
4.5%
-
23.5%
-
-
-
0.45%
GS US Mort Back Secs Pfl
FO Fixed Int - USD Investment Grade
View Factsheet
0.4%
-
3.8%
-
12.5%
-
15.7%
-
0.55%
GS AbsRtTrkPfl
FO Hedge/Stru Prod - Mixed
View Factsheet
0.3%
32 / 134
3.4%
26 / 126
6.5%
-
14.8%
-
0.8%
GS GMS US Equity Portfolio
FO Equity - USA
View Factsheet
-1.3%
194 / 219
3.2%
182 / 206
22.4%
100 / 170
95.4%
63 / 146
0.71%
GS GMS Eur Eq Prt
FO Equity - Europe inc UK
View Factsheet
0.3%
169 / 233
2.7%
90 / 224
18.9%
97 / 200
86.3%
72 / 175
0.77%
GS Gbl Strat Mcr Bd Pfl
FO Hedge/Stru Prod - Fixed Int
View Factsheet
-0.5%
18 / 21
2.6%
7 / 22
-
-
-
-
1%
GS Eur ShtDur Bd PlsPfl
FO Fixed Int - EUR Short/ Medium Maturity
View Factsheet
0.1%
-
1.7%
-
-
-
-
-
0.45%
GS Strgc AbsRtn Bd I Pfl
FO Absolute Return
View Factsheet
-0.1%
-
0.7%
-
1.4%
-
-
-
0.5%
GS Strgc AbsRtn BdII Pfl
FO Absolute Return
View Factsheet
-0.2%
-
0.4%
-
0.1%
-
-
-
0.75%
GS Tactical Tilt Portf
FO Mixed Asset - Flexible
View Factsheet
0.5%
49 / 165
0.3%
123 / 150
6.1%
74 / 107
-
-
1%
GS Gbl Strat IncBd Pfl
FO Fixed Int - Global
View Factsheet
-0.1%
-
0.3%
-
1.9%
-
-
-
0.85%
GS Stg Liquid Reserves
FO Currency - Sterling
View Factsheet
0%
32 / 45
0.1%
25 / 42
0.3%
25 / 37
0.7%
18 / 29
0.45%
GS US$ Liq Res
FO Currency - US Dollar
View Factsheet
0%
26 / 60
0.1%
28 / 56
0.1%
28 / 52
0.2%
31 / 50
0.45%
GS Sterling Govt Liq Res
FO Currency - Sterling
View Factsheet
0%
31 / 45
0.1%
30 / 42
0.1%
29 / 37
0.2%
24 / 29
0.45%
GS US$ Treas Liq Res
FO Currency - US Dollar
View Factsheet
0%
46 / 60
0%
44 / 56
0%
40 / 52
0%
40 / 50
0.7%
GS Euro Liquid Reserves
FO Currency - Euro
View Factsheet
-0%
34 / 59
-0.3%
38 / 57
-0.3%
35 / 54
-0.1%
26 / 43
0.45%
GS Gbl AbsRtn Pf
FO Absolute Return
View Factsheet
-0.4%
-
-0.3%
-
-
-
-
-
1.03%
GS Yen Liquid Reserves
FO Currency - Other
View Factsheet
-0.1%
17 / 24
-0.4%
17 / 25
-0.5%
17 / 24
-0.5%
16 / 24
0.2%
GS Euro Govt Liq Res
FO Currency - Euro
View Factsheet
-0.1%
51 / 59
-0.5%
50 / 57
-0.7%
45 / 54
-0.6%
34 / 43
0.45%
GS NthAm Eng a En Infr Eq Pfl
FO Commodity & Energy
View Factsheet
3.6%
-
-1.9%
-
-
-
-
-
1.15%
GS GblCurrPl Pfl
FO Hedge/Stru Prod - Currency
View Factsheet
-1.4%
-
-2.9%
-
1.2%
-
-
-
0.95%
GS EFILgShrtRskPrmiaPfl
FO Hedge/Stru Prod - Equity
View Factsheet
-0.7%
95 / 120
-5.1%
76 / 106
-
-
-
-
-
GS AlterTrPfl
FO Hedge/Stru Prod - Mixed
View Factsheet
-1.8%
114 / 134
-8.7%
117 / 126
10.8%
25 / 83
-10.4%
64 / 69
0.86%
GS GlbEqLngShrtPrtf
FO Hedge/Stru Prod - Equity
View Factsheet
1.4%
16 / 120
-14.3%
99 / 106
-
-
-
-
2.15%
GS GlMMngAltPtfl
FO Hedge/Stru Prod - Mixed
View Factsheet
-0.1%
51 / 134
-
-
-
-
-
-
2.55%
GS US$TreasInstrLiqRes
FO Currency - US Dollar
View Factsheet
0%
46 / 60
-
-
-
-
-
-
0.45%
GS $ Shrt Dur Bnd Prtf
FO Fixed Int - USD Short/ Medium Maturity
View Factsheet
0%
13 / 21
-
-
-
-
-
-
0.9%
GS Stg Ul Shrt Dur Bnd Prtf
FO Currency - Sterling
View Factsheet
0%
15 / 45
-
-
-
-
-
-
0.7%
GS Bal Alloc Pfl
FO Mixed Asset - Balanced
View Factsheet
-0%
97 / 144
-
-
-
-
-
-
1%
Data provided by

The Content is only for your general information and use and is not intended to address your particular requirements. The Content does not constitute any form of advice, recommendation or arrangement by Moneywise and is not intended to be relied upon by you in making (or refraining from making) any specific investment or other decisions. Appropriate independent advice should be obtained before making any such decision.

This information is sourced from our partner Financial Express. We believe the data to be correct however you should take care in using any information.

You should be aware that prices may fall as well as rise and that the income derived can go down as well as up. When buying or selling any investment that fluctuates in price or value you may get back less than you invested. Past performance is not necessarily a guide to future performance.