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Goldman Sachs Funds

Goldman Sachs is a company that sells mutual funds with $386,046M in... Goldman Sachs is a company that sells mutual funds with $386,046M in assets under management. The average expense ratio from all Goldman Sachs mutual funds is . Liquid error: internal of these mutual funds are no load funds. The oldest fund was launched in 1988; Goldman Sachs Short Dur Govt Instl (GSTGX). The average manager tenure for all managers at Goldman Sachs is years. The company offers investors 132 mutual funds, in terms of unique funds, not share classes. In addition to mutual funds, the company also offers exchange traded funds (ETFs) and closed-end funds. Goldman Sachs has its headquarters in New York City, New York. It was founded in 1988. They serve a diverse array of clients including individuals, advisors and institutions, and investment products across a wide range of asset classes. View more View less

Goldman Sachs is a company that sells mutual funds with $386,046M in assets under management. The average expense ratio from all Goldman Sachs mutual funds is . Liquid error: internal of these mutual... Goldman Sachs is a company that sells mutual funds with $386,046M in assets under management. The average expense ratio from all Goldman Sachs mutual funds is . Liquid error: internal of these mutual funds are no load funds. The oldest fund was launched in 1988; Goldman Sachs Short Dur Govt Instl (GSTGX). The average manager tenure for all managers at Goldman Sachs is years. The company offers investors 132 mutual funds, in terms of unique funds, not share classes. In addition to mutual funds, the company also offers exchange traded funds (ETFs) and closed-end funds. Goldman Sachs has its headquarters in New York City, New York. It was founded in 1988. They serve a diverse array of clients including individuals, advisors and institutions, and investment products across a wide range of asset classes. View more View less

Overview

Returns

Income

Allocations

Fees

About

Security Type
Management Style
Share Class Type
Share Class Account
As of 12/20/24

$116.70

+1.21%

$13.71 B

1.02%

$1.19

25.89%

8.83%

14.11%

-

0.09%

$100.12

+0.03%

$5.68 B

4.30%

$4.31

5.12%

3.64%

2.32%

-

0.14%

$33.35

-0.07%

$3.62 B

2.75%

$0.92

5.30%

1.18%

4.70%

-

0.25%

$81.77

+1.06%

$2.60 B

1.11%

$0.91

26.73%

9.16%

-

-

0.09%

$51.43

+0.96%

$1.90 B

1.07%

$0.55

25.91%

-

-

-

0.11%

$49.91

+0.58%

$1.07 B

1.48%

$0.74

16.73%

-

-

-

0.25%

$78.10

+1.44%

$993.43 M

1.29%

$1.01

18.18%

4.90%

10.77%

-

0.09%

$25.92

+0.99%

$927.69 M

0.00%

-

27.46%

13.07%

11.95%

-

-

$33.03

+0.17%

$892.57 M

0.00%

-

10.08%

-1.63%

1.47%

-

0.52%

$54.11

-0.38%

$873.12 M

2.53%

$1.37

3.70%

1.21%

-

-

0.25%

$45.31

+0.33%

$868.93 M

4.35%

$1.97

2.22%

-2.35%

0.19%

-

0.08%

$50.40

+0.03%

$724.09 M

4.54%

$2.29

6.02%

3.98%

2.75%

-

0.20%

$69.79

+0.47%

$553.04 M

0.67%

$0.47

11.11%

3.11%

9.33%

-

0.20%

$8.21

+0.49%

$546.67 M

7.05%

$0.58

-5.59%

-2.44%

0.75%

-

2.59%

$47.94

+1.13%

$530.34 M

1.90%

$0.91

15.08%

-

-

-

0.12%

$43.92

-0.03%

$447.37 M

4.42%

$1.94

6.21%

-

-

-

0.18%

$84.27

+1.59%

$432.37 M

1.06%

$0.89

25.53%

8.89%

14.26%

-

0.20%

$40.57

+0.27%

$399.19 M

3.79%

$1.54

1.02%

-2.82%

-

-

0.10%

$55.36

+0.91%

$332.54 M

0.58%

$0.32

32.93%

-

-

-

0.12%

$125.35

+1.09%

$323.35 M

0.00%

-

31.13%

7.30%

14.80%

-

0.45%

$49.72

+1.08%

$310.89 M

8.64%

$4.30

22.90%

-

-

-

0.35%

$49.56

+0.77%

$309.70 M

10.43%

$5.17

24.75%

-

-

-

0.35%

$63.01

+1.01%

$279.62 M

0.00%

-

20.86%

1.65%

-

-

0.52%

$33.09

+1.49%

$171.77 M

0.00%

-

19.66%

-5.35%

-

-

0.75%

$51.75

+0.74%

$149.53 M

0.14%

$0.07

13.93%

-

-

-

0.80%

$44.74

+0.54%

$145.03 M

6.60%

$2.95

8.31%

2.44%

3.40%

-

0.15%

$48.28

+0.17%

$137.79 M

2.96%

$1.43

1.89%

-2.14%

1.80%

-

0.12%

$45.28

+0.62%

$108.25 M

0.00%

-

9.60%

-1.44%

-

-

0.45%

$50.86

+0.20%

$86.70 M

4.63%

$2.36

-

-

-

-

0.45%

$34.64

-0.24%

$74.82 M

0.00%

-

1.77%

0.45%

4.77%

-

0.25%

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