Goldman Sachs has filed to launch the Multi Asset Real Return Fund. The fund seeks real return by investing in inflation-sensitive assets.
Primarily, the fund invests in a portfolio of equity, fixed income and commodity asset classes, including in derivatives that provide exposure to the underlying asset classes. The investment adviser seeks to allocate the funds risk across a range of exposures, which may vary depending on the then-current market environment.
The funds portfolio managers include: Samantha Davidson, managing director; Raymond Chan, managing director; and Christopher Lvoff, vice president.
According to the filing with the SEC, the fund will be available in A, C, IR, R and institutional shares. No expense ratios were listed.
Register or login for access to this item and much more
All On Wall Street content is archived after seven days.
Community members receive:
- All recent and archived articles
- Conference offers and updates
- A full menu of enewsletter options
- Web seminars, white papers, ebooks
Already have an account? Log In
Don't have an account? Register for Free Unlimited Access