Goldman Sachs Asia Equity Portfolio Base Acc USD header image

Goldman Sachs Asia Equity Portfolio Base Acc USD

Fund

ISIN LU0234571486 / Valor 2333189

NAV (2025-01-16)
USD 22.79+0.62%

Goldman Sachs Asia Equity Portfolio Base Acc USD
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General Objective

The fund aims to achieve capital appreciation without the need for income, making it suitable for investors seeking exposure to shares of companies in the Asia (ex Japan) region. While potentially generating higher returns, investors should be aware of the increased levels of risk compared to a diversified global equity portfolio.

Fund Exposure

The fund is primarily exposed to Asian companies (excluding Japan), with significant allocations to China/Hong Kong, India, Korea, Taiwan, and other countries in the region. It may also invest in companies globally to achieve its objective of capital growth over the longer term.

Risks

Investors should be aware that the fund's investment objective may not be realized, and there is a possibility of loss of capital as the value of investments and income derived from them can fluctuate. Additionally, past performance does not guarantee future returns, and the fund's performance may diverge from its reference benchmark.

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Source

https://am.gs.com/de-ch/advisors/funds/detail/PV100004/LU0133264282/goldman-sachs-asia-equity-portfolio

Tags:
asian equities environmental msci all country asia ex japan index

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Annual Return

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Annual Return

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0.68%USD 16.24
Goldman Sachs Asia Equity Portfolio R Inc GBP
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Annual Return

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1.21%GBP 17.54
Goldman Sachs Asia Equity Portfolio I Inc GBP
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Annual Return

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Annual Return

-50%0%+50%

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0.65%USD 29.44