Goldman Sachs Global Yield Opportunities N Dis EUR

The fund invests worldwide in bonds issued by governments and companies. The fund manager has flexibility when composing the portfolio, with bond categories such as corporate bonds, High Yield and Emerging Market Debt. The aim of the fund is to create a diversified portfolio with a good balance between expected risk and return.

Yield overview (after costs)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 (YTD) i
-2,77 6,93 3,97 -4,81 7,91 2,46 0,23 -15,34 7,14 1,69

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  • Date 17-09-2024
  • Price € 18,72 i
  • Performance YTD 1,69% i
  • Performance 7,14% i i
  • Interest rate sensitivity Interest rate sensitivity 5,26% i
  • Ongoing charges -- i
  • Transaction costs
    with € 1.000,-
    example
    --
    i
  • Dividend € 0,72 i
  • Morningstar

Source: Morningstar

With FitVermogen you only pay the costs of the investment fund. These costs are already included in the price.
The Fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation. The Fund promotes environmental or social characteristics but does not have a sustainable investment objective. The Fund integrates ESG factors and risk in the investment process alongside traditional factors. Detailed information on the sustainability related disclosures of the Fund can be found in the Template Pre-contractual disclosure (annex of the prospectus) on https://www.gsam.com/responsible-investing/en-INT/non-professional/funds/documents. The fund''s objective is to achieve returns higher than EURIBOR 1-month, measured over a rolling 3 - 5 years period. This index is not used for portfolio construction but for performance measurement purposes only. The fund is actively managed. The fund invests in a diversified portfolio of mainly fixed income instruments and aims to generate returns from dynamic asset allocation decisions and security selection. The fund mainly invests in investment and non-investment grade corporate and sovereign bonds in both developed and emerging markets but can also invest in other fixed income instruments such as, but not limited to, covered bonds and asset backed securities. The fund uses derivatives and can take long and short positions (short positions via derivative instruments only) in order to achieve its objectives. In order to control the risk in the fund, we apply strict risk monitoring measures. The fund aims at providing you with a regular dividend. You can sell your participation in this fund on each (working) day on which the value of the units is calculated, which for this fund occurs daily.
These financial instruments are impacted by various factors. These include, but are not limited to, the development of the financial market, the economic development of issuers of these financial instruments who are themselves affected by the general world economic situation and the economic and political conditions in each country. Expected credit risk, the risk of failure of the issuers of underlying investments is high. The Sub-Fund’s liquidity risk is set to high. Liquidity risks may arise when a specific underlying investment is difficult to sell. Moreover, currency fluctuation may impact the Sub-Fund’s performance. No guarantee is provided as to the recovery of the initial investment. Investments through Bond Connect may be subject to specific risks, including but not limited to, trading restrictions, currency risk and regulatory risk. Investors are advised to familiarize themselves with the risks of this market as outlined in the prospectus.

The fund invests worldwide in bonds issued by governments and companies. The fund manager has flexibility when composing the portfolio, with bond categories such as corporate bonds, High Yield and Emerging Market Debt. The aim of the fund is to create a diversified portfolio with a good balance between expected risk and return.

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  • Date 17-09-2024
  • Price € 18,72 i
  • Performance YTD 1,69% i
  • Performance 7,14% i i
  • Interest rate sensitivity Interest rate sensitivity 5,26% i
  • Ongoing charges -- i
  • Transaction costs
    with € 1.000,-
    example
    --
    i
  • Dividend € 0,72 i
  • Morningstar

Source: Morningstar

With FitVermogen you only pay the costs of the investment fund. These costs are already included in the price.
Growth of EUR 1000 (EUR) 16-09-2024
Return per year 16-09-2024
  2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 (YTD) i
Return (%) -2,77 6,93 3,97 -4,81 7,91 2,46 0,23 -15,34 7,14 1,69

Source: Morningstar

Past performance is not indicative of future results and should in no event be deemed as such. Returns are presented after all transactions costs.

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