Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
GS Patrim.Defensive X EUR
LU0121217334
reinvestment
EUR
Goldman Sachs AM BV 565.9400
2024-07-25
+2.81% +6.38% -9.17% - 0.51
5.26%
GS Patrim.Defensive P EUR
LU0119197076
paying dividend
EUR
Goldman Sachs AM BV 1,844.2600
2024-07-25
+3.01% +7.23% -7.01% - 0.67
5.26%
GS Patrim.Defensive I EUR
LU1095487317
reinvestment
EUR
Goldman Sachs AM BV 6,024.2900
2024-07-25
+3.16% +7.88% -5.38% - 0.80
5.26%
GS Patrim.Balanced X EUR
LU0121216955
reinvestment
EUR
Goldman Sachs AM BV 1,593.6899
2024-07-25
+3.60% +9.06% -0.51% - 0.93
5.75%
GS Patrim.Balanced P EUR
LU0119195963
reinvestment
EUR
Goldman Sachs AM BV 1,910.8400
2024-07-25
+3.81% +9.94% +1.89% - 1.09
5.75%
GS Pat.Bal.Europ.Sus.P EUR
LU1444116096
paying dividend
EUR
Goldman Sachs AM BV 2,830.3401
2024-07-25
+3.18% +9.22% -1.90% +19.32% 0.89
6.21%
GS ING Moderat X RON
LU1505916277
reinvestment
RON
Goldman Sachs AM BV 1,428.8800
2024-07-25
+3.86% +10.89% +11.17% - 1.45
4.95%
GS Gl.Multi-Asset Inc.Pf.OC EUR H
LU1380333333
paying dividend
EUR
Goldman Sachs AM BV 83.8400
2024-07-25
+3.75% +6.00% -1.55% +4.90% 0.36
6.36%
GS Gl.Multi-Asset Inc.Pf.I USD
LU1032466879
paying dividend
USD
Goldman Sachs AM BV 111.8400
2024-07-25
+4.40% +8.86% +6.81% +28.19% 0.81
6.4%
GS Gl.Multi-Asset Inc.Pf.I USD
LU1032466952
reinvestment
USD
Goldman Sachs AM BV 164.6900
2024-07-25
+4.40% +8.86% +6.80% +28.17% 0.81
6.39%
GS Gl.Multi-Asset Inc.Pf.E EUR H
LU1057464072
paying dividend
EUR
Goldman Sachs AM BV 95.8400
2024-07-25
+3.59% +5.38% -3.28% +9.08% 0.26
6.37%
GS Gl.Multi-Asset Inc.Pf.Base USD
LU1811214755
paying dividend
USD
Goldman Sachs AM BV 93.1400
2024-07-25
+4.22% +8.08% +4.53% +14.76% 0.69
6.39%
GS Gl.Multi-Asset Growth Pf.R GBP H
LU1057463777
paying dividend
GBP
Goldman Sachs AM BV 174.8200
2024-07-25
+4.25% +12.07% +9.17% - 1.01
8.33%
GS Gl.Multi-Asset Growth Pf.R EUR H
LU1057463934
reinvestment
EUR
Goldman Sachs AM BV 139.7100
2024-07-25
+4.71% +11.88% +7.35% - 0.98
8.34%
GS Gl.Multi-Asset Growth Pf.OC GBP ...
LU1057463009
paying dividend
GBP
Goldman Sachs AM BV 171.0500
2024-07-25
+4.06% +11.24% +6.75% +29.11% 0.91
8.33%
GS Gl.Multi-Asset Growth Pf.OC EUR ...
LU1057463181
paying dividend
EUR
Goldman Sachs AM BV 157.8600
2024-07-25
+4.51% +11.03% +4.90% +28.08% 0.88
8.33%
GS Gl.Multi-Asset Growth Pf.I USD
LU1057463264
paying dividend
USD
Goldman Sachs AM BV 162.3000
2024-07-25
+5.48% +12.65% +8.77% - 0.96
9.37%
GS Gl.Multi-Asset Growth Pf.I USD
LU1057463348
reinvestment
USD
Goldman Sachs AM BV 176.7000
2024-07-25
+5.48% +12.65% +8.73% - 0.95
9.38%
GS Gl.Multi-Asset Growth Pf.E EUR H
LU1057463694
reinvestment
EUR
Goldman Sachs AM BV 153.6900
2024-07-25
+4.37% +10.47% +3.34% - 0.81
8.33%
GS Gl.Multi-Asset Growth Pf.Base US...
LU1057462969
reinvestment
USD
Goldman Sachs AM BV 162.8400
2024-07-25
+5.27% +11.75% +6.15% +35.50% 0.86
9.37%