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Seeking Consistent Returns Across All Market Environments

Global Absolute Return Portfolio 

The economy goes through cycles which when combined with investor emotions can lead to extreme swings in prices across markets. Finding opportunities for capital growth whilst limiting potential losses can be challenging, especially in periods where markets appear expensive.

The Goldman Sachs Global Absolute Return Portfolio seeks to help investors navigate these challenges, targeting stable and attractive returns across all phases of the economic cycle by investing around the globe and across all asset classes.

View of the World from a Multi-Asset Perspective

Why GS Global Absolute Return Portfolio?

  • Robust portfolio construction across traditional and non-traditional proprietary exposures
  • Incorporate multiple investment strategies with unique approaches
  • Active management to navigate constantly evolving markets
  • Unconstrained approach, sourcing ideas across multiple horizons and geographies
  • Experienced team to understand and manage market risks
  • Sophisticated risk systems to aid better decision making