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Goldman Sachs CHN A-Shr Eq Ptf Base Acc€ - IE000DIV5KC3
Obiettivo di investimento dichiarato
The investment objective of the Fund is to achieve long term capital appreciation through investment in companies established or operating in the PRC.
Anagrafica e indicatori
ISIN: IE000DIV5KC3 | Benchmark dichiarato: 100% MSCI China A Onshore NR EUR |
Prezzo/Nav al 22/11/2024: 7,11 EUR | Benchmark Morningstar: MSCI China A Onshore NR CNY |
Investimento minimo: 5.000,00 EUR | Società di Gestione: Goldman Sachs |
Categoria Morningstar: Azionari Cina - A shares | Valuta: EUR |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | 5,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 1,75% |
Commissione di performance | ND |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 14,31% | 13,95% |
Rendimento 1 anno % | 9,72% | 9,20% |
Rendimento 3 anni % | -12,35% | -11,11% |
Rendimento 5 anni % | ND | 1,50% |
Rendimento 10 anni % | ND | 6,40% |
Visualizzazione documentazione offerta
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- GS EM Corp Bd Oth Ccy Inc EUR Hdg - LU0622306578
- GS EM Corp Bd Oth Ccy Inc GBP Hdg - LU0622306735
- GS EM Db Loc Bnd-X Cap USD - LU0546915728
- GS Emerging Mkts Dbt Lcl A Acc USD - LU0302283246
- GS Emerging Mkts Dbt Lcl A Inc USD - LU0302282941
- GS Emerging Mkts Dbt Lcl Base Acc USD - LU0302282867
- GS Emerging Mkts Dbt Lcl Base Inc USD - LU0302282511
- GS Emerging Mkts Dbt Lcl Base USD MDist - LU0616879713
- GS Emerging Mkts Dbt Lcl E Acc EUR - LU0302284640
- GS Emerging Mkts Dbt Lcl E EUR QDist - LU0616879804
- GS Emerging Mkts Dbt Lcl E Inc EUR - LU0302284566
- GS Emerging Mkts Dbt Lcl Oth Ccy Inc GBP - LU0502799959
- GS EM Debt HC-X Cap EUR (HG i) - LU0546915215
- GS EM Debt HC-X Cap USD - LU0555020568
- GS EM Debt HC-X Dis USD - LU0555020642
- GS EM Debt HC-X Dis(M) AUD (HG i) - LU0577846529
- GS EM Debt HC-X Dis(M) USD - LU0803999100
- GS Em Mkts Dbt A Acc USD - LU1505912524
- GS Em Mkts Dbt A Inc USD - LU0122974081
- GS Em Mkts Dbt A USD MDist - LU0620232107
- GS Em Mkts Dbt Base Acc EUR Hdg - LU0262418394
- GS Em Mkts Dbt Base Acc USD - LU0234573003
- GS Em Mkts Dbt Base Inc USD - LU0110449138
- GS Em Mkts Dbt Base USD GrsMDist - LU1698128961
- GS Em Mkts Dbt Base USD MDist - LU0616879556
- GS Em Mkts Dbt Base USD Stable MDis - LU1440713441
- GS Em Mkts Dbt Blnd Base Acc USD - LU0910636462
- GS Em Mkts Dbt Blnd Base Inc USD - LU0910636389
- GS Em Mkts Dbt Blnd E Acc EUR - LU0910636892
- GS Em Mkts Dbt Blnd Oth Ccy Acc EUR - LU0910636546
- GS Em Mkts Dbt Blnd Oth Ccy Inc EUR - LU0910636629
- GS Em Mkts Dbt E Acc EUR - LU0133266147
- GS Em Mkts Dbt E Acc EUR Hdg - LU0556703741
- GS Em Mkts Dbt E EUR Hdg QDist - LU0618658024
- GS Em Mkts Dbt Oth Ccy EUR Hdg MDist - LU1483922933
- GS Em Mkts Dbt Oth Ccy Inc EUR Hdg - LU0772501077
- GS Em Mkts Ttl Ret Bd Base Acc USD - LU1706948640
- GS Em Mkts Ttl Ret Bd Base Inc USD - LU1706948483
- GS Em Mkts Ttl Ret Bd E Acc EUR Hdg - LU1706949028
- GS Em Mkts Ttl Ret Bd Oth Ccy Acc EUR H - LU1706948996
- GS Em Mkts Ttl Ret Bd Oth Ccy Inc EUR H - LU1706948723
- GS EM ShortDur Bd EURH E Acc - LU1891074475
- GS EM ShortDur Bd EURH OC Acc - LU1891074392
- GS EM ShortDur Bd EURH OC Inc - LU1891074129
- GS EM ShortDur Bd USD Base Acc - LU1891074046
- GS EM ShortDur Bd USD Base Inc - LU1891073824
- GS FrntierMrk Db HC-X Cap EUR(HGi) - LU1061675168
- GS FrntierMrk Db HC-X Dis EUR(HGi) - LU1088905846
- GS Sterling Credit Portfolio Base IncGBP - LU0386574452
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