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GS China A-Share Eq ESG R Cap EUR(HGi) - LU2350833294
Obiettivo di investimento dichiarato
The Sub-Fund aims to generate positive returns in the long run by investing at least two thirds in a diversified portfolio of equities issued by companies based in, or having a significant exposure to, the People’s Republic of China (the “PRC”). The Sub-Fund is actively managed. Portfolio construction and security selection are based on the Investment Manager’s fundamental view of the equity markets, while taking into account environmental, social and governance (ESG) criteria. The Sub-Fund will mainly invest in China A-Shares listed on the Shanghai Stock Exchange or the Shenzhen Stock Exchange.
Anagrafica e indicatori
ISIN: LU2350833294 | Benchmark dichiarato: 100% MSCI China A Onshore NR USD |
Prezzo/Nav al 21/11/2024: 151,57 EUR | Benchmark Morningstar: ND |
Investimento minimo: ND | Società di Gestione: Goldman Sachs |
Categoria Morningstar: Azionari Cina - A shares | Valuta: EUR |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | 3,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 0,75% |
Commissione di performance | ND |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 19,06% | 13,95% |
Rendimento 1 anno % | 15,57% | 9,20% |
Rendimento 3 anni % | -16,29% | -11,11% |
Rendimento 5 anni % | ND | 1,50% |
Rendimento 10 anni % | ND | 6,40% |
Visualizzazione documentazione offerta
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- GS Alternative Trend Oth Ccy Acc EUR Hdg - LU1103308554
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- GS Absolute Ret Trkr Base Acc USD - LU1103307317
- GS Absolute Ret Trkr E Acc EUR Hdg - LU1103308125
- GS Absolute Ret Trkr Oth Ccy Acc EUR Hdg - LU1103307408
- GS Alt Beta-X Cap EUR - LU0370038597
- GS Alt Beta-X Cap USD - LU0370038670
- GS Protection-P Cap EUR - LU0546913194
- GS Glbl Fut Rl Estt & Infras Eq BsUSDAcc - LU2508669418
- GS Glbl Fut Rl Estt & Infras Eq BsUSDInc - LU2508669335
- GS Glbl Fut Rl Estt & Infras Eq E EURAcc - LU2508670697
- GS Glbl Fut Rl Estt & Infras Eq OCEURAcc - LU2508670770
- GS Asia EQ I-X Cap USD - LU0113303043
- GS Asia EQ I-X Dis(M) USD - LU0976923788
- GS Asia Equity A Acc USD - LU1396261254
- GS Asia Equity A Inc USD - LU0122971814
- GS Asia Equity Base Acc USD - LU0234571486
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- GS Asia Equity E Acc EUR - LU0133264282
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- GS EM Corp Bd Base USD Stable MDis - LU1574459522
- GS EM Corp Bd E Acc EUR Hdg - LU0622306818
- GS EM Corp Bd E EUR Hdg QDist - LU0810102003
- GS EM Corp Bd OC EUR Hdg Inc - LU2045894453
- GS EM Corp Bd Oth Ccy Acc EUR Hdg - LU0622306651
- 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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