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GOLDMAN SACHS EMERGING MARKETS DEBT SHORT DURATION (HARD CURRENCY) - P CAP EUR (HEDGED I)  WPKNR: A3EA9X 
 Aktuell:
up 221,10 
 ISIN:

LU1732801060

   Währung:

EUR 

 Fondsname:

Goldman Sachs Emerging Markets Debt Short Duration (Hard Currency) - P Cap EUR (hedged i)

   Ertragstyp:

Thesaurierend 

 Ursprungsland:

Luxemburg 

   Fondstyp:

Rentenfonds 

 Fondsmanager:

-

   Region:

weltweit  

 Fondsvolumen:

91,32 Mio. EUR

   Land:

 Auflagedatum:

29.03.2018

   Unterkategorie:

Anleihen gemischt 

 Geschäftsjahr:

01.10.

   Vertriebszulassung:

Österreich, Deutschland, Luxemburg, Tschechien 

 Konditionen
ausgabeaufschlag verwaltungsgebühr  mindestanlage einmalig sparplan 

3,00%

1,00%

-

 Kennzahlen per 13.11.2024
  ytd 1 jahr 3 jahre 5 jahre

 Performance

2,05%

4,64%

-

 Volatilität

1,59%

1,70%

-

 Sharpe Ratio

-0,42

0,94

-

 Bester Monat

1,51%

1,51%

-

 Schlechtester Monat

-0,87%

-0,87%

-

 Fondsstrategie

The fund invests in debt instruments (i.e. notes, bonds, certificates etc.) denominated in currencies of economically developed and politically stable countries which are members of the OECD (Organisation for Economic Cooperation and Development). We invest in countries where we are able to assess specific political and economic risks and in countries that have undertaken certain economic reforms. The issuers of the debt instruments are governments and corporates established in low and middle income developing countries (emerging markets). We invest in South and Central American (including the Caribbean), Central and Eastern European, Asian, African and Middle Eastern debt instruments. We aim to keep the average rating of the fund portfolio at BBB- or better, but are allowed to invest in lower quality debt instruments. The fund aims to limit the volatility in its periodic returns by aiming for a weighted average duration between 1 and 3 years. A large majority of these debt instruments have a maturity of less than 5 years. Duration is a measure of the sensitivity to changes in interest rates. The fund aims to provide returns in excess of its benchmark (3-month SOFR), as measured over a medium term time horizon. The fund is actively managed and the benchmark is not used for portfolio construction but for performance measurement purposes only.

 Größte Positionen per -

MEXIKO 23/28

 

4,22%

PETRONAS CAP. 15/25 REGS

 

3,12%

BAYFRONT INF 23/26

 

2,66%

STATE G.O.I. 17/27 REGS

 

2,57%

SAUDIARABIEN 23/28 MTN

 

2,33%

RUMAENIEN 22/27 MTN REGS

 

2,30%

ABU DHABI 24/29 MTN REGS

 

2,06%

CHILE 24/29

 

2,01%

ECOPETROL 15/26

 

1,98%

SERBIEN 23/28 MTN REGS

 

1,95%

Sonstiges

 

74,80 %

     
 Fondsgesellschaft
KAG: Goldman Sachs AM BV
address: Schenkkade 65
2509 LL Den Haag
Internet: www.gsam.com
 
  Fonds-Suche nach Name, WKN, ISIN:        
 
 Österreich-Börsen
 ATX3.537,91 76,72 2,22% 
 ATX Prime1.763,19 36,32 2,10% 
 Immobilien-ATX310,96 6,25 2,05% 
 Indizes
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 S & P 500 (EOD)5.949,17 -36,21 -0,61% 
 SMI11.783,65 79,84 0,68% 


 Zinsen / Währungen
 Wichtige Währungen
 EUR/US$1,0543 0,00 0,12% 
 EUR/Yen164,8175 0,26 0,16% 
 EUR/CHF0,9375 0,00 -0,00% 
 EUR/Brit. Pfund0,8317 0,00 0,05% 
 Yen/US$0,0064 0,00 0,09% 
 CHF/US$1,1245 0,00 0,14% 
 Zinsen
 ESTR (EUR)3,16400,00 0,03% 
 SAR® ON (CHF)0,95470,00 0,13% 
 TONA (JPY)0,2270-0,00 -0,44% 
 Rohstoffe
 baha Brent Indication72,920,34 0,47% 
 Gold2.560,05-42,04 -1,62% 
 Silber29,98-0,92 -2,98% 
 Platin933,91-10,74 -1,14% 
 

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