GS Global.Dyn.Bd.Plus Portfolio IS GBP H/  LU1725403338  /

Fonds
NAV2024-04-17 Chg.-0.1100 Type of yield Investment Focus Investment company
89.1000GBP -0.12% paying dividend Bonds Worldwide Goldman Sachs AM BV 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2020 - - - - - - - - - 0.02 2.54 1.01 -
2021 -0.18 -2.75 0.05 0.82 0.17 0.03 -0.04 0.29 0.49 -2.43 -0.34 1.26 -2.68%
2022 -0.62 -1.18 -0.87 -1.19 -0.62 -2.77 1.57 -0.02 -2.12 0.46 1.27 0.35 -5.67%
2023 2.12 -0.30 0.63 0.16 0.07 -0.34 1.29 0.77 0.21 1.90 1.22 2.30 +10.44%
2024 0.51 -0.21 0.67 -0.82 - - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 2.77% 4.75% 4.17% 3.57% -%
Sharpe ratio -1.24 1.87 0.79 -0.75 -
Best month +2.30% +2.30% +2.30% +2.30% -
Worst month -0.82% -0.82% -0.82% -2.77% -
Maximum loss -1.00% -1.00% -1.55% -9.51% -
Outperformance - - - - -
 
All quotes in GBP

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 119.1400 +7.70% +5.15%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 95.4900 +7.20% +3.83%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 136.8200 +7.21% +3.82%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 95.5100 +7.45% +4.59%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 141.3000 +7.45% +4.57%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 116.0500 +5.30% -1.51%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 77.9100 +5.33% -1.41%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 119.8400 +5.55% -0.77%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 80.4000 +5.56% -0.78%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 89.0600 +7.05% +3.31%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 98.1900 +3.25% -3.76%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 14,590.5303 +23.76% -
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 9,795.1797 +1.47% -5.03%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 101.5900 +5.50% +0.25%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 85.0000 +6.13% +1.89%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 111.3400 +10.37% +18.13%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 7,149.3599 +1.46% -5.03%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 95.0000 +7.58% +4.95%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 89.1000 +7.20% +3.67%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 30.2400 +8.13% +6.49%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 94.3300 +7.21% +3.83%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 80.2100 +4.36% -4.14%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 102.5900 +4.36% -4.15%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 94.3600 +6.76% +2.55%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 95.2900 +6.50% +1.79%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 94.3000 +6.51% +1.79%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 89.0100 +6.37% +1.30%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 108.9600 +5.51% -0.94%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 127.6400 +7.41% +4.42%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 77.3300 +5.51% -0.93%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 91.2100 +7.42% +4.43%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 71.7000 +2.60% -5.62%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 91.3600 +2.59% -5.63%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 97.9000 +5.04% -1.53%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 89.2900 +7.42% +4.41%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 89.1900 +6.80% +2.52%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 96.4500 +3.21% -3.92%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 85.7000 +7.04% +3.16%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 129.2400 +6.77% +2.56%
GS Global.Dyn.Bd.Plus Portfolio ... reinvestment 109.3000 +4.87% -2.71%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 74.7300 +4.87% -2.71%
GS Global.Dyn.Bd.Plus Portfolio ... paying dividend 95.4000 +6.77% +2.56%

Performance

YTD  
+0.13%
6 Months  
+6.18%
1 Year  
+7.20%
3 Years  
+3.67%
5 Years     -
Since start  
+5.02%
Year
2023  
+10.44%
2022
  -5.67%
2021
  -2.68%
 

Dividends

2023-12-11 3.78 GBP
2022-12-12 3.13 GBP
2021-12-13 3.93 GBP
2020-12-14 3.70 GBP