Goldman Sachs Glo Mlt-Ast Csv Pf R GBP PH
WKNA11141
AssetklasseMischfonds
143,684€-0,54€
20.08.2025 18:47-0,37%
143,684€-0,54€
20.08.2025 18:47-0,37%
Verkaufen
143,031VerkaufenStück: 350Kaufen
145,109KaufenStück: 350Eröffnung
142,971
Hoch
143,684
Tief
142,971
The Portfolio seeks total returns consisting of income and capital appreciation by investing primarily in global equity and fixed income securities, with a focus on fixed income securities. The Portfolio will, under normal circumstances, invest at least two thirds of its net assets in equity and/or equity related Transferable Securities and fixed income Transferable Securities of issuers located anywhere in the world. The Portfolio may hold up to 60% of its assets in equity securities, and up to 95% of its assets in fixed income securities. The Portfolio will invest directly in such securities and/or through Permitted Funds.
Emittent
Goldman Sachs Asset Management BV
Benchmark
-
Fondsgröße in Mio.
224,461
Gesamtkostenquote (TER)
0,87 %
Tracking Difference
1,2137
Replikation
-
Fondswährung
GBP
Domizil
LU
Fondsauflage
-
Ausschüttung
Ausschüttend
Ausschüttungsintervall
-
NAV
124,47
NAV Datum
18.8.2025