NAV2024-07-19 Chg.-0.5200 Type of yield Investment Focus Investment company
149.6800USD -0.35% paying dividend Alternative Investments Worldwide Goldman Sachs AM BV 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2020 - - - - - - - - - -2.30 5.73 1.89 -
2021 -1.28 0.34 2.22 3.05 0.46 2.02 1.89 1.64 -2.66 3.86 0.37 1.89 +14.51%
2022 -2.20 -1.34 1.30 -5.39 1.16 -5.09 6.05 -2.78 -6.28 3.01 3.80 -3.36 -11.36%
2023 4.32 -2.62 3.29 1.37 -0.17 2.49 1.19 -0.47 -3.18 -1.30 5.79 3.78 +14.99%
2024 1.03 2.11 2.17 -2.99 3.05 2.39 1.00 - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 6.43% 6.49% 7.13% 9.73% -%
Sharpe ratio 2.08 2.20 1.39 0.21 -
Best month +3.78% +3.05% +5.79% +6.05% -
Worst month -2.99% -2.99% -3.18% -6.28% -
Maximum loss -3.73% -3.73% -5.99% -14.59% -
Outperformance - - - - -
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
GS Strat.Fac.Allo.Pf.I H reinvestment 145.1500 +10.93% +9.65%
GS Strat.Fac.Allo.Pf.I paying dividend 161.1800 +13.08% +16.78%
GS Strat.Fac.Allo.Pf.I reinvestment 169.1400 +13.08% +16.78%
GS Strat.Fac.Allo.Pf.P paying dividend 160.7200 +13.02% +16.60%
GS Strat.Fac.Allo.Pf.P reinvestment 168.3800 +13.02% +16.61%
GS Strat.Fac.Allo.Pf.P H reinvestment 130.4100 +8.39% +5.71%
GS Strat.Fac.Allo.Pf.P H reinvestment 143.1700 +10.87% +9.48%
GS Strat.Fac.Allo.Pf.P H reinvestment 149.0100 +12.61% +13.87%
GS Strat.Fac.Allo.Pf.P H paying dividend 136.6500 +10.90% +9.57%
GS Strat.Fac.Allo.Pf.R paying dividend 149.6800 +13.57% +18.29%
GS Strat.Fac.Allo.Pf.R reinvestment 174.9100 +13.57% +18.29%
GS Strat.Fac.Allo.Pf.R H reinvestment 143.3400 +11.41% +11.07%
GS Strat.Fac.Allo.Pf.R H reinvestment 160.6400 +13.13% +15.63%
GS Strat.Fac.Allo.Pf.R H paying dividend 149.3900 +13.10% +15.47%

Performance

YTD  
+8.96%
6 Months  
+8.58%
1 Year  
+13.57%
3 Years  
+18.29%
5 Years     -
10 Years     -
Since start  
+35.70%
Year
2023  
+14.99%
2022
  -11.36%
2021  
+14.51%
 

Dividends

2023-12-11 4.37 USD
2022-12-12 0.72 USD
2020-12-14 0.18 USD