Goldman Sachs Absolute Return Tracker Portfolio Class P Shares (Acc.) (EUR-Hedged)/  LU1103308042  /

Fonds
NAV06/11/2024 Var.+0.1000 Type of yield Focus sugli investimenti Società d'investimento
12.1100EUR +0.83% reinvestment Alternative Investments Worldwide Goldman Sachs AM BV 

Investment strategy

The investment objective of the Portfolio is to implement a trading strategy (the "Strategy") that seeks to approximate the returns of hedge funds as a broad asset class. Returns of hedge funds can be viewed as being composed of both "beta" (or varying market exposure) or "alpha" (or manager skill). The Portfolio seeks to approximate this "beta" component by taking exposure to various asset classes that hedge funds are exposed to such as equities, fixed income, credit and commodities. The Portfolio may invest directly in the underlying assets that make up these asset classes or, indirectly, using various techniques and instruments, such as financial derivative instruments. The Portfolio may also use any combination of these two investment methods. In implementing the Strategy, the Investment Adviser expects to utilise a mathematical formula to determine when and how much of the Portfolio's assets to allocate to each asset class. The Investment Adviser may remove, or add new, asset classes to the Strategy from time to time in its sole discretion. The Investment Adviser may deviate from the mathematical formula but expects to do so only in exceptional circumstances. The Investment Adviser has the discretion to modify the mathematical formula without notice to investors.
 

Investment goal

The investment objective of the Portfolio is to implement a trading strategy (the "Strategy") that seeks to approximate the returns of hedge funds as a broad asset class. Returns of hedge funds can be viewed as being composed of both "beta" (or varying market exposure) or "alpha" (or manager skill).
 

Dati master

Type of yield: reinvestment
Fondi Categoria: Alternative Investments
Region: Worldwide
Settore: AI Hedgefonds Multi Strategies
Benchmark: ICE BofA 3month US T-Bill
Business year start: 01/12
Ultima distribuzione: -
Banca depositaria: State Street Bank International GmbH, Luxembourg Branch
Domicilio del fondo: Luxembourg
Permesso di distribuzione: Austria, Germany, Switzerland, Luxembourg, Czech Republic
Gestore del fondo: -
Volume del fondo: 1.14 bill.  USD
Data di lancio: 13/01/2015
Investment focus: -

Condizioni

Sovrapprezzo emissione: 5.50%
Tassa amministrativa massima: 1.00%
Investimento minimo: 50,000.00 EUR
Deposit fees: -
Redemption charge: 0.00%
Prospetto semplificato: Download (Print version)
 

Società d'investimento

Funds company: Goldman Sachs AM BV
Indirizzo: Schenkkade 65, 2509, LL Den Haag
Paese: Netherlands
Internet: www.gsam.com
 

Attività

Alternative Investments
 
100.00%

Paesi

Global
 
100.00%