Goldman Sachs Global Flexible Multi Asset - I Cap EUR
ISIN: LU0809674202
Categoría Morningstar: EUR Moderate Allocation - Global
Empresa: Goldman Sachs Asset Management
ISIN: LU0809674202
Categoría Morningstar: EUR Moderate Allocation - Global
Empresa: Goldman Sachs Asset Management
The investment strategy applies a flexible approach designed to respond to rapidly changing market environments. The Investment Manager will mainly gain exposures to traditional asset classes (such as for example stocks, bonds and cash and/or cash equivalents) either directly or via financial derivatives instruments, mutual funds and ETFs, resulting in a diversified portfolio. The Sub-Fund aims to provide positive investment returns and to outperform the Index as listed in the Appendix II of the Company’s Prospectus over a full market cycle within a strictly defined risk budget and a focus on downside risk mitigation. The Sub-Fund is actively managed and the Index is not used for portfolio construction but for performance measurement purposes only. The Sub-Fund uses active management to respond to changing market conditions by using amongst others fundamental and behavioural analysis resulting in dynamic asset allocation over time.
Rentabilidad anual | 1 año | 3 años | 5 años | Inicio | 2023 | 2022 | 2021 | 2020 | 2019 |
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Rentabilidad anual: Fondo | 1 año: -1,97 | 3 años: -2,80 | 5 años: -1,62 | Inicio: 1,79 | 2023: 1,21 | 2022: -15,85 | 2021: 5,25 | 2020: 1,37 | 2019: 4,45 |
Rentabilidad anual: Categoría | 1 año: 2,60 | 3 años: 1,20 | 5 años: 1,49 | Inicio: - | 2023: 4,22 | 2022: -12,94 | 2021: 9,41 | 2020: 2,37 | 2019: 12,53 |
Rentabilidad anual: Percentil | 1 año: 87,00 | 3 años: 96,00 | 5 años: 96,00 | Inicio:- | 2023: 81,00 | 2022: 83,00 | 2021: 84,00 | 2020: 62,00 | 2019: 98,00 |
Riesgo | Volatilidad | Ratio Sharpe | Correlación | Beta | Alfa | Tracking error | Info Ratio |
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Riesgo: 3 años | 1 Volatilidad: 6,17 | 3 Ratio Sharpe: -0,45 | 5 Correlación: 93,50 | Beta: 0,67 | Alfa: -4,93 | Tracking error: 3,60 | Info Ratio: -1,62 |