Dist USD

Overview

Fund classes:
Goldman Sachs Global Future Generations Equity Portfolio Base Stable Capital M-Dist USD
$8.98 Price
$0.01
0.11%
Today's Change
ISIN LU2433832776
Share Class Income
Ongoing Charge 1.62%
Annual Management Charge 1.5%

The Portfolio seeks to provide capital growth over the longer term. 1 The Portfolio will mostly hold shares or similar instruments relating to companies anywhere in the world, which in the view of the Investment Adviser are beneficiaries from the behaviour of the Millennials generation (defined as individuals born between 1980 and 1999). 1 The Portfolio's holdings will be concentrated and may have significant exposure to specific sectors including, but not limited to, technology and consumer sectors. Concentration and exposure to specific sectors may change over time. 1 The Portfolio will not invest more than one-third of its assets in other types of companies, money market instruments and non-share related instruments. 1 The Portfolio will not invest more than one-tenth of its assets in other collective investment schemes. 1 The Portfolio may use derivatives for efficient portfolio management purposes, to help manage risks and for investment purposes in order to seek to increase return. A derivative instrument is a contract between two or more parties whose value depends on the rise and fall of other underlying assets. 1 The Portfolio may invest up to 30% of its net assets, or up to any other threshold as imposed from time to time by the Applicable Regulator, in PRC Equity Securities directly (e.g., through the Stock Connect scheme (“Stock Connect”) or the Renminbi qualified foreign institutional investor program (“RQFII Program”)) or indirectly (e.g., through Access Products or Permitted Funds investing in China A-Shares). 1 Shares in the Portfolio may be redeemed daily (on each business day) on demand. 1 The Portfolio is actively managed and references the MSCI All Country World Growth Index (Total Return Net) (USD) (the “Benchmark”) for the purposes of setting discretionary internal risk thresholds which may reference deviations from the Benchmark. 1 The Investment Adviser has full discretion over the composition of the assets in the Portfolio. While the Portfolio will generally hold assets that are components of the Benchmark, it can invest in such components in different proportions, and it can hold assets which are not components of the Benchmark. Therefore returns may deviate materially from the performance of the specified reference Benchmark. 1 The Portfolio promotes environmental and/or social characteristics and, while it does not have a sustainable investment objective, it will hold a minimum proportion of sustainable investments as further detailed in the pre contractual disclosure for the Portfolio contained within the Prospectus. As part of its investment process, the Investment Adviser will implement a multi-strategy approach to ESG which may consist of the application of exclusionary screens and the integration of ESG factors alongside traditional factors. 1 Income is distributed on a monthly basis. The Share Class seeks to distribute a stable level of income gross of management fees and operating expenses and therefore ongoing charges are effectively deducted from capital. You should be aware that this may result in an erosion of capital and may reduce future capital growth. Investors should be aware that, where ongoing charges are deducted from capital, this may have tax implications for an investor where income and capital gains are subject to different treatment and personal tax rates. Therefore, investors should seek their own tax advice before investing in such classes. In addition, as the stable distribution level is based on market expectations, such level will, under normal circumstances, be greater than the actual gross income for the period and therefore will result in a further distribution from capital and reduction in future capital growth. 1 The Portfolio currency is USD. The share class currency is USD. 1 For full investment objective and policy details see the Prospectus.

Performance

Price and Net Asset Value breakdown

Midprice $8.98
Change on Day $0.01
Change on Day % 0.11%
52 week high $10.73
52 week low $8.41
Fund currency USD
Date updated 11 April 2025

Fund details

Fund Type SICAV
Unit Type Income
Standard initial Charge -
Annual Management Charge 1.5%
Dividend Frequency Monthly
Latest Distribution Info $0.0159
31 March 2025

Fund manager information

Fund Manager Company Goldman Sachs

Fund manager biographies

Name Nathan Lin
Since 08 July 2019
Bio Mr. Lin joined the GSAM Greater China Equity Research Team as a Research Analyst in April 2008. Before joining GSAM, Mr. Lin was an analyst at RCM Asset Management (Hong Kong) responsible for technology stocks within the Asian region beginning August 2006. Prior to that he was a portfolio manager covering the technology sector at Alliance Global Investors (Taiwan) beginning in 2004.
Name Alexis Deladerrière
Since 05 April 2019
Bio Alexis Deladerrière, CFA,is the Head of International Developed Markets Equity within the Fundamental U.S. Equity team including the International Equity ESG and International Equity Income strategies. He joined Goldman Sachs Asset Management, L.P. in July 2002 as a research analyst. Mr. Deladerrière graduated from the École Supérieure de Commerce de Paris (ESCP-EAP) in 2002 with a Masters degree in Finance, Economics and General Management. As part of his studies he worked at Crédit Lyonnais and A.T. Kearney in Paris.
Name Jennifer Sullivan
Since 02 February 2023
Bio Ms. Sullivan is a portfolio manager and research analyst on the Global Equity team within the Investment Adviser’s Fundamental Equity business. Ms. Sullivan joined the Investment Adviser in September 2021. Prior to joining the Investment Adviser, Ms. Sullivan was a research analyst at Citadel and Point72 Asset Management.
View all manager information