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Goldman Sachs Global Dynamic Bond Plus Portfolio I Acc USD

Fund

ISIN LU0600008329 / Valor 12614333

NAV (2024-12-27)
USD 149.53+0.08%

Goldman Sachs Global Dynamic Bond Plus Portfolio I Acc USD
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General Objective

The fund aims to provide capital appreciation and income for investors seeking a flexible global investment and sub-investment grade fixed income fund that can adjust its exposure to interest rates, currencies, and credit markets to generate returns in various market conditions.

Fund Exposure

The fund is exposed to a diverse range of asset classes including collateralized loan obligations, commercial mortgages, asset-backed securities, quasi-government bonds, residential mortgages, and corporate bonds (both investment grade and high yield). It also has exposure to various currencies such as the US Dollar, Australian Dollar, Euro, Brazilian Real, and Japanese Yen.

Risks

Investors should be aware that the fund's investment objective may not be realized, and there is a risk of loss of capital as the value of investments and income derived from investments 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/en-de/advisors/funds/detail/PV101503/LU0858299471/goldman-sachs-global-dynamic-bond-plus-portfolio

Tags:
esg fixed income bloomberg global aggregate

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