Goldman Sachs Alternative Beta - I Dis(HY) JPY (hedged i) header image

Goldman Sachs Alternative Beta - I Dis(HY) JPY (hedged i)

Fund

ISIN LU2434802489 / Valor 11604833

NAV (2025-02-10)
JPY 10,299.00+0.58%

Goldman Sachs Alternative Beta - I Dis(HY) JPY (hedged i)
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General Objective

The fund aims to provide long-term capital growth by investing in a set of liquid financial market betas where allocations are determined by proprietary sophisticated quantitative models. The fund seeks to capture the main return drivers of well-performing themes prevailing in alternative markets such as the hedge fund industry.

Fund Exposure

The fund exposure includes investments in a broad range of indices through linear and non-linear derivative financial instruments, cash instruments, fixed income instruments, and money market instruments. The fund does not have a benchmark and strictly manages risks through risk controls.

Risks

The fund is classified as medium-low risk, with a summary risk indicator of 3 out of 7. This indicates a medium-low level of potential losses from future performance, and poor market conditions are unlikely to impact the fund's capacity to pay investors. Currency risk should be considered when the fund's currency differs from the official currency of the Member State where the fund is marketed.

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Source

https://am.gs.com/de-ch/individual/funds/detail/PV104806/LU0370038167/goldman-sachs-alternative-beta

Tags:
quantitative models alternative markets

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