-0.444 -1.25 TD 0.132 0.08 0.028 0 k 340.5 364.389 45 13 re FF (h.)Tj /F6 1 Tf )Tj (y the Fund when )Tj 394.235 576.177 l 390 682.889 177 8 re 53.582 53.485 53.207 53.856 52.383 54.345 c 28,04 0,00 (0,00%) Brsenschluss: 10:06AM CET. /F4 1 Tf /F5 1 Tf q /F6 1 Tf The securities listed above are not registered and will not be registered for sale in the United Sates and cannot be purchased by U.S. investors as the securities can only be purchased in jurisdictions where they have been registered for sale or where an exemption from registration applies. 0 0 0 1 k 8 0 0 8 217.5 307.3892 Tm 48.249 59.582 m 0.6 i 64.748 65.212 64.536 65.188 64.384 65.055 c 0 Tc BT 137.024 46.556 l BT f 404.194 656.187 l 53.648 59.582 l 136.385 45.66 l S 268.984 571.494 l You acknowledge that the Fund may not be publicly offered in some jurisdictions and will not be registered for public distribution in the U.S. 12 0 obj 0 0 0 0 k )Tj -46.35 -1.25 TD 469.5 391.389 l 5 0 0 5 144.5 550.8892 Tm 6 0 0 6 485 657.3892 Tm -56.9085 -1.3125 TD Onu : Dbut des audiences sur les allgations de violations des droits de l'homme par Isral, Le bateau humanitaire Ocean Viking est arriv Toulon, USA : Les rpublicains bien placs pour prendre le contrle de la Chambre des reprsentants, Bezos donnera de son vivant la majeure partie de sa fortune estime 124 milliards de dollars, Goldman Sachs Asset Management Fund Services Ltd. 263.914 568.578 l 458.771 596.382 l We think they should change how we invest, too. 231.595 662.592 233.736 664.468 236.108 666.015 c 47.441 57.451 47.828 57.703 48.325 57.738 c 117.271 45.66 l 106.154 56.304 l 267.5 649.173 260.784 655.889 252.5 655.889 c 339.858 549.889 l 8 0 0 8 160.22 507.8892 Tm 329.697 579.358 l 101.975 44.887 101.931 44.472 101.931 44.023 c /Cs7 cs 0 scn 313.241 577.574 l 495.5 377.389 24 -13 re (Total Net Assets \(m\))Tj <> 430 670.889 l 94.076 53.177 94.087 52.931 94.166 52.752 c -2.832 -1.5 TD 0 0.59 1 0.18 k 59.689 59.76 59.267 59.484 58.608 59.484 c Kryptowhrungen. BT (Claridenstrasse 25, 8022 Zurich. 10 0 0 10 491.5 760.3892 Tm f 90.232 45.672 90.749 45.772 91.353 45.772 c 0.92 0.73 0.2 0.05 k W n 434.667 588.081 l Q 8.146 0 TD 480.212 599.127 l BT 363.899 574.073 l 438.284 625.889 445 632.605 445 640.889 c 293.005 574.626 l 0.92 0.73 0.2 0.05 k ET /F5 1 Tf 8 0 0 8 499.516 394.8893 Tm Symbol Letzter Preis; (\(3\))Tj ET 8.5 0 0 8.5 27.5 757.8893 Tm 35.059 64.569 l 135.544 40.002 l q 330.985 581.149 l /F1 1 Tf 19 0 0 19 27.5 799.7784 Tm Pricing for ETFs is the latest price and not "real time". (8)Tj 310.706 578.944 l 33.106 62.996 32.844 63.006 32.693 63.015 c 514.371 623.231 l 80.093 48.092 l q 0 -1.312 TD 212.5 390.389 128 13 re 4 0 0 4 400.588 519.9892 Tm (PayPal Holdings Inc)Tj 0.5 w Q 443.603 591.522 l 6 0 0 6 27.5 235.8892 Tm 396.77 575.259 l 8 0 0 8 217.5 189.5 Tm -0.025 Tc 414.431 581.037 l 30.493 54.527 l ET ( Equity Portfolio)Tj (olio's assets can result )Tj ET Without prejudice to the foregoing, you will keep the Firm indemnified and harmless with respect to any liabilities (including all costs of investigation and defence) and other damages that directly or indirectly may derive from the failure to comply with the Terms and Conditions hereunder, including, but not limited to, any liability or damage that directly or indirectly may derive from any use of the Website which is not in accordance with the Purpose or any breach by you or by any of your agents or delegates of: i) these Terms and Conditions, or ii) any applicable rules and regulations related to the promotion of financial products or services. BT f q 92.071 44.538 92.003 44.887 91.432 44.887 c 53.965 56.734 53.631 57.502 52.881 57.526 c [(Johnson & Johnson)-11479(1.9)-2000(US)-7744(Health Care)]TJ 8.5 0 0 8.5 37.5 604.3892 Tm BT 477.677 594.829 l q 317.064 576.739 l 8 0 0 8 88.66 490.3892 Tm 0.132 0.08 0.028 0 k 11 0 obj 6 0 0 6 27.5 581.8892 Tm T* (1.37)Tj W n 409.444 578.809 l 47.409 0 TD (US)Tj 0.132 0.08 0.028 0 k (Poland)Tj 149.5 516.389 24 -23.5 re 8 0 0 8 136.22 507.8892 Tm 402.453 627.079 399.989 633.898 400 640.936 c 260.784 625.889 267.5 632.605 267.5 640.889 c 132.867 44.797 132.777 44.403 132.777 43.9 c S (Utilities)Tj Further information regarding how you can protect yourself from fraudulent activity online and how you can contact us about this can be found on the Goldman Sachs Security page, available here. f Q BT 478.965 595.268 l 47.223 58.855 l 509.301 600.448 l 34.58 65.631 34.042 66.61 33.162 66.62 c BT (-)Tj 0 0 0 0 K (Please see Additional Notes. -48.201 -1.25 TD Q 528.334 618.679 l 33.3600 EUR. 232.5 665.389 m 50.998 59.582 l 241.183 571.452 l 339.837 577.459 l 468.867 590.838 l 212.5 495.389 139 14 re 0 0 0 0 K 81.762 51.62 l endobj (203)Tj [(No. 10 0 0 10 216.5 556.8893 Tm ET 0 0 0 1 K 314.529 578.359 l ( Measure of the actual deviation of the funds returns from the comparative benchmark index returns \(annualised\). -0.0244 Tc S ( Illustrates the dispersion of the funds realized monthly returns around the average monthly return, indicating how volatile)Tj 252.5 640.889 m W n (annual/semi-annual report \(as applicable\), and a summary of your investor rights, are available free of charge in English langu)Tj (1)Tj This material must not be construed as investment or tax advice. 0 -1.3125 TD 53.965 56.734 53.631 57.502 52.881 57.526 c f (-)Tj 125.5 516.389 24 -23.5 re 279.145 549.889 l 50.998 59.582 l 118.85 40.002 l 430 640.889 m The fund is designed for: 46.591 65.35 46.296 65.57 45.844 65.57 c /F5 1 Tf 404.194 656.187 l 0 0.59 1 0.18 k (ring documentation, including but not limited to the )Tj 263.914 568.909 l -0.01 Tc 38.65 51.9 38.227 51.623 37.569 51.623 c 94.087 55.005 96.866 55.049 96.866 53.233 c 116.071 41.904 l -24.774 -1.25 TD -46.46 -1.312 TD (documentation is available free of charge from any of the authorised distributors of the fund listed in the Comisin Nacional d)Tj Q 226.5 532.889 m q (Quartile)Tj 92.54 57.021 93.75 57.392 94.772 57.392 c 0 0.59 1 0.18 k q (benchmark but positioned to outperform through )Tj W n 446.569 670.889 460 657.458 460 640.889 c <>/ProcSet[/PDF/Text]/Font<>>> 430 640.889 m /GS1 gs (4)Tj The views and opinions expressed may differ from those of Goldman Sachs Global Investment Research or other departments or divisions of Goldman Sachs and its affiliates. 404.331 581.847 l 481.5 755.889 42.5 58.5 re 0 0.59 1 0.18 k 27.5 655.389 170 -16.5 re 399.5 729.389 80 78 re Q 242.473 572.532 l 0 Tc W n 272.809 571.666 l 6 0 0 6 290.508 675.3892 Tm BT f <>/ProcSet[/PDF/Text]/ColorSpace<>/Font<>>> 0 0 0 1 k Q 46.745 65.037 l f ET /F5 1 Tf 539.678 654.297 l ET /F6 1 Tf 10 0 0 10 31.5 703.3892 Tm -0.025 Tc 342.372 580.818 l (n, prospectus, supplement, KIID and latest annual/semi-)Tj 102.896 40.169 102.436 39.891 101.753 39.891 c 252.5 640.889 m 476.431 597.889 l (%)Tj 8 0 0 8 136.22 533.8892 Tm 89.796 52.484 90.064 52.685 90.064 53.065 c 46.127 0 TD /F6 1 Tf -0.0247 Tc 0.132 0.08 0.028 0 k 0.2 i 252.5 640.889 m f 8 0 0 8 366.764 109 Tm 552.332 687.889 l 39.209 65.396 38.8 65.598 38.266 65.598 c f /F5 1 Tf 406.908 578.764 l q 372.707 575.353 l 53.88 55.058 54.689 54.785 54.689 53.609 c [(Index)-4728(17.2)-1546(13.7)-1965(9.8)-1965(6.9)-1546(40.1)]TJ 355.025 687.889 l 101.347 51.709 100.788 51.51 100.047 51.51 c 3.17 0 TD S (Any reference to a national regulator is for information purposes only and should not be construed as an endorsement, or otherw)Tj 400.571 549.889 l (USD)Tj 425.312 670.521 l 149.5 542.389 19 12.5 re -0.06 Tc Kennedy, L-1855 Luxembourg. 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BT T* 10 0 0 10 491.5 760.3892 Tm (Investor Prole)Tj 8 0 0 8 32.5 344.3892 Tm 0 0 0 1 K 46.234 65.315 46.343 65.229 46.442 65.086 c 478.965 598.609 l Setzt sich diese Phase der Unsicherheit in 2023 fort? 392.945 573.274 l ET 53.648 64.569 53.706 64.83 53.969 65.055 c 137.203 39.944 137.024 40.852 137.024 41.2 c 247.435 670.459 l 402.074 779.976 l <> 35.146 63.227 l W n Ihre Liste ist leer. /F5 1 Tf W n 309.48 552.889 m BT 59.731 63.381 59.823 63.434 59.823 63.757 c (Excess Returns - 3 yr)Tj -0.05 Tc q q Q 2.589 0 TD 309.48 549.889 l 0 0 0 1 k 39.64 57.463 m W n 118.85 45.088 l Q W n These additional estimates may differ from the estimated )Tj 496.668 618.333 l 48.417 51.719 l /F1 1 Tf endobj Therefore, the shares of the fund must not be marketed or offered in or to residents of any such jurisdictions unle)Tj S 310.706 578.296 l 0 0 0 1 k 35.95 61.459 36.319 60.515 36.947 59.99 c 138.602 45.66 l f 8 0 0 8 387.5 402.8892 Tm 37.949 57.489 37.65 57.4 37.632 57.188 c 0 Tw 8 0 0 8 362.164 381.8892 Tm 318.354 580.249 l 212.5 551.389 355 16.5 re 65.26 64.149 l 280.371 574.068 l 132.777 45.088 m 399.5 807.389 80 -78 re 539.678 625.663 l 513.124 603.202 l BT 0 0 0 1 K 387.5 523.389 70 14 re BT ET The Firm may have issued other reports that are inconsistent with, and reach different conclusions from, the information presented in this Website. 36.422 64.559 35.95 63.711 35.95 62.533 c 93.359 45.772 93.618 44.91 93.618 43.877 c 0.6 i Q 7 0 0 7 225.311 542.8892 Tm 0 0.59 1 0.18 K 422.396 778.81 l 8 0 0 8 185.955 794.8893 Tm q 131.197 40.002 l 295.538 574.714 l 27.5 404.889 135 -13 re BT 8.5 0 0 8.5 37.5 270.3892 Tm (: Financial advisers generally suggest a diversied portfolio of investments. 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S S W n 92.071 44.057 l 0.132 0.08 0.028 0 k /F6 1 Tf (: This material has been issued or approved for use in or from Singapore by Goldman Sachs Asset Management \(Singapore\) Pte. 53.648 64.569 53.706 64.83 53.969 65.055 c 476.451 687.889 l 508.013 608.824 l 463.798 592.197 l welcome to gs fund solutions UCITS. 481.5 600.027 l ET (Capital appreciation with no need for income. 113.08 42.578 l 439.78 591.094 l 94.076 53.177 94.087 52.931 94.166 52.752 c 58.04 59.484 57.146 59.729 57.146 61.092 c 27.5 576.389 170 -16.5 re 6.5 0 0 6.5 291.48 559.5892 Tm /F1 1 Tf In einer Expertenrunde diskutieren Dr. 0 0 0 1 k BT 266.449 570.484 l 276.632 573.16 l 53.648 59.582 l 386.587 577.617 l f /F5 1 Tf (t the Portfolio's ability to )Tj All performance and holdings data as at 30-Jun-21. 389.122 577.03 l The higher the number the more volatile the funds returns. -0.015 Tc ET 96.451 45.66 l ET 8 0 0 8 499.516 368.8892 Tm h 8 0 0 8 29.5239 31.2788 Tm 351.5 425.389 25 -14 re 8 0 0 8 88.483 235.8892 Tm 438.49 588.07 l Q 261.464 568.68 l W n 136.385 45.66 m W n -0.0071 Tc f ( )Tj W n q )Tj 142.5 674.389 20 -13 re (PRIIPS\). 92.071 44.538 92.003 44.887 91.432 44.887 c -30 -1.75 TD ()Tj BT 36 0 0 36 524 777.3892 Tm 353.718 566.952 l 477.677 598.362 l f Goldman Sachs Financial Square Funds (SM) is a registered service mark of Goldman, Sachs & Co. 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()Tj 14.088 1.3125 TD 27.5 576.278 540 20.5 re 37.707 52.006 38.01 51.908 38.279 52.02 c (a fund is tracking the risk of the benchmark, and the less risk that the fund is taking against the benchmark. Q 0 0 0 1 k (%)Tj 110.29 39.374 110.311 37.826 108.136 37.826 c 263.914 568.221 l 0.2 i f 53.257 65.363 52.754 65.645 52.067 65.599 c 346.195 578.573 l Goldman Sachs Funds Financial Square SM Money Market Fund - Institutional Shares Inception Date:05/18/1994 Investor Goals Maximize current income Preserve capital S BT f 27.5 365.889 135 13 re 341.083 578.341 l Q 120.039 43.9 l 0.132 0.08 0.028 0 k (5.9)Tj 90.704 41.761 m 304.433 577.639 l (performance fees incurred by the fund. 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Pricing for ETFs is the latest price and not "real time". 8 0 0 8 32.5 246.6892 Tm 0.6 i 8 0 0 8 415.692 159 Tm ET 534.693 622.662 l GSAMFSL is registered as a Limited Company in Ireland (registered no: 623005) and its VAT registration number is IE 3573871MH. 8 0 0 8 156.268 552.8892 Tm <> 0.53 0.32 0.11 0 k f 327.162 583.001 l 133.963 43.9 l 8 0 0 8 40.5 266.3892 Tm /F1 1 Tf 237.5 632.605 244.216 625.889 252.5 625.889 c 105.942 52.574 106.042 52.574 106.12 52.595 c 0.53 0.32 0.11 0 k 390 682.889 177 8 re 139.421 44.685 l (1, SE-106 40 Stockholm, Sweden. q Q Q 4 0 0 4 59.38 500.8892 Tm 399.5 784.889 80 -8 re 77.5 529.389 24 13 re -60.3516 -1.3125 TD ET W n BT 0.53 0.32 0.11 0 k (0.02)Tj (9)Tj 0 0 0 0 K 344.907 576.942 l 426.862 670.766 428.43 670.889 430 670.889 c 136.385 45.66 m ()Tj 427.147 587.652 l Past performance is not necessarily a guide to future performance; unit prices may fall as well as rise. -18.546 -1.625 TD This Website, including, without limitation, the information, functions and documents herein (the Contents), is intended exclusively for distributors, sub-distributors and other intermediaries who: i) may be involved in the marketing and distribution of Goldman Sachs Funds, SICAV, Goldman Sachs Funds II, SICAV and Goldman Sachs Funds, plc (each separately the Fund), ii) are residents of the United Kingdom and iii) qualify as professional clients under the Markets in Financial Instruments Directive 2014/65/EU (each an Adviser and together the Advisers). 8 0 0 8 225.609 799.3892 Tm 120.039 43.9 l q /F6 1 Tf (4)Tj q 0.53 0.32 0.11 0 k 420.025 669.182 l 81.763 46.242 l 280.679 627.383 275.564 619.806 268.095 615.261 c 255.105 569.989 l 101.5 529.389 24 13 re (30-Jun-19 )Tj (t)Tj 0.6 i 32.451 59.222 31.92 58.796 31.92 58.095 c 6 0 0 6 476.532 630.3892 Tm f 429.599 586.383 l f ET 42.982 57.527 42.842 56.893 42.784 56.397 c 295.538 573.468 l 529.58 616.317 l 39.64 57.463 m 309.48 687.889 l 42.368 0 TD 252.5 640.889 m (400)Tj Q 430 640.889 m 532.117 615.48 l 6 0 0 6 476.532 657.3892 Tm ET 426.898 611.05 l 97.26 45.727 97.516 45.772 97.807 45.772 c 44.829 51.865 45.663 53.275 45.718 54.56 c (reect any management or other charges to the fund, whereas stated returns of the fund do. /F2 1 Tf W n W n 8.5 0 0 8.5 37.5 42.3892 Tm 8 0 0 8 177.516 665.8892 Tm 45.496 52.623 44.818 51.614 43.679 51.614 c 524.511 609.477 l 1 w [2 2 ]2 d 0.132 0.08 0.028 0 k 108.061 45.772 108.54 45.525 108.765 44.997 c (4. W n (Reference )Tj /F5 1 Tf 0.132 0.08 0.028 0 k -56.4272 -1.3125 TD THE FIRM MAKES NO WARRANTY, EXPRESS OR IMPLIED, CONCERNING THIS WEBSITE. 0.132 0.08 0.028 0 k /F5 1 Tf Interaktives Chart wird geladen Krzlich angezeigt. -21.25 -24.1737 TD /F5 1 Tf 9 0 0 9 27.5 635.3893 Tm ET (Custodian risk)Tj W n 0.2 i h 0.2 i 492.845 605.449 l ET 445 640.889 m (2)Tj GS Systematic Funds; 448.69 673.895 l Q 462.509 599.37 l 57.146 62.351 57.992 62.619 58.873 63.005 c 90.064 54.264 87.287 53.995 87.287 55.799 c 89 52.574 89.168 52.484 89.482 52.484 c BT S 465.5 403.389 5 -13 re BT 516.908 627.288 l 81.74 40.002 l /F1 1 Tf 6 0 0 6 27.5 144.3892 Tm 113.08 41.904 113.101 40.898 113.795 40.898 c 360.074 571.116 l 16 0 obj h 430 640.889 m 489.148 607.812 l (grade debt, including government. %PDF-1.3 BT 477.677 607.35 l 0.132 0.08 0.028 0 k 86.436 40.002 l Q S 465 626.889 16 8 re 472.692 603.807 l 6 0 0 6 27.5 716.8892 Tm 279.145 687.889 l 121.674 44.797 121.584 44.403 121.584 43.9 c 80.093 48.092 l 45.463 0 TD 0.132 0.08 0.028 0 k 370.172 576.946 l 294.312 552.889 m 0 0 0 1 K ET 430 640.889 m 37.826 65.262 37.984 65.39 38.266 65.39 c 162.5 365.889 35 13 re Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. ET 0.53 0.32 0.11 0 k Q 387.875 581.014 l -53.2457 -1.3125 TD 27.5 287.889 135 13 re 47.289 56.965 47.222 56.697 47.222 56.285 c 97.64 43.9 l 439.95 677.837 432.082 677.142 y (t)Tj endstream 0 0 0 1 k S 443.348 612.777 435.129 610.194 426.898 611.05 c 256.351 567.622 l This Website and its Contents are made available for the exclusive use of Advisers and for educational purposes only (the Purpose). Data delayed at least 10 minutes, as of Nov 16 2022 06:24 GMT. 59.645 60.009 59.823 60.494 59.823 61.066 c <>stream 519.484 608.356 l f f 420.855 779.976 l 39.023 61.455 39.023 60.486 38.811 60.031 c 5 0 obj h You hereby agree that in the event of non compliance with these Terms and Conditions GSAMFSL will be entitled to specific performance and injunctive or other equitable relief as a remedy in addition to and not in lieu of any appropriate relief in the way of monetary damages. 38.705 59.804 38.549 59.675 38.266 59.675 c -2.4213 -1.5 TD (specied index. W n 0 0 0 0 K BT 134.882 45.772 135.544 45.322 135.544 44.538 c (onstitute an offer to buy shares in the fund. -3.124 -1.2 TD /GS1 gs h [(S&P 500 \(Net Total Return, Unhedged, USD\))-14260(11.2)-1671(21.1)-1837(-4.9)-1671(30.7)-1671(17.8)]TJ 347.441 574.287 l (Consumer Staples)Tj The Key Investor Information Document \(KIID\) as well as the annual and semi-annual reports of )Tj W n (Registered and Principal Ofces:)Tj W n q endobj BT /F5 1 Tf 0 Tw yzP3A@< $8(D9Q!(?-3(0>Q. 438.284 625.889 445 632.605 445 640.889 c 18.147 0 TD -2.4213 -1.5 TD Q 138.602 44.685 l 236.114 575.997 l 0 -1.3125 TD 38.835 51.719 l 362.609 572.428 l 0 Tc )Tj 128.441 44.012 128.462 44.797 127.712 44.797 c 7 0 0 7 218.176 619.3892 Tm -0.0071 Tc 490.312 615.621 l 50.93 51.718 l q 457.5 467.389 110 14 re 0.132 0.08 0.028 0 k 88.833 53.436 m 0 Tc 6 0 0 6 485 630.3892 Tm S (S&P 500 )Tj 0 0 0 0 k 97.74 56.068 97.964 57.392 100.047 57.392 c 0 0 0 0 K 365.146 575.328 l (el Mercado de Valores \(CNMV\) webpage at )Tj 1 0.84 0.31 0.17 k 8 0 0 8 377.34 526.8892 Tm (: Raiffeisen Bank International AG, Am Stadtpark 9, A-1030 Wien, Austria. 0 Tw f -0.031 Tc 105.336 58.881 l 51.479 54.88 50.869 55.224 50.869 56.087 c 448.588 599.678 l 0.2 i (%)Tj 412.959 784.848 l 5 0 0 5 168.5 550.8892 Tm -30 -1.75 TD 0 Tc 422.076 582.13 l 53.199 51.951 53.582 52.328 53.582 52.932 c S (Important Risk Considerations)Tj 8 0 0 8 219.724 29 Tm ET 0.53 0.32 0.11 0 k 269.069 670.889 282.5 657.458 282.5 640.889 c 0 0 0 1 K 138.602 41.659 l -0.015 Tc 99.32 56.415 99.331 55.564 99.331 55.084 c 108.453 40.303 108.003 40.08 107.488 40.08 c 34.803 57.669 34.701 58.005 34.454 58.432 c 308.173 576.089 l 529.58 633.426 l (assets. 399.5 807.389 80 -30.5 re /F5 1 Tf 47.416 0 TD (fund and the performance of its reference benchmark may diverge. 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