NAV2024-04-18 Chg.-58.7500 Type of yield Investment Focus Investment company
24,514.9102JPY -0.24% reinvestment Equity Mixed Sectors Goldman Sachs AM BV 
 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2006 - - 6.40 -0.70 -8.53 -0.45 -1.85 3.68 -0.80 1.25 -0.93 5.94 -
2007 1.06 1.17 -2.44 -1.62 4.41 2.17 -3.75 -5.72 1.14 -0.18 -4.35 -3.66 -11.63%
2008 -9.20 -1.17 -5.97 12.49 3.31 -5.95 -1.68 -5.19 -12.16 -20.73 -3.15 2.13 -40.79%
2009 -9.59 -3.96 5.95 6.33 6.44 3.37 4.13 1.59 -5.88 -2.43 -4.35 8.71 +8.73%
2010 -0.15 -1.79 11.18 0.95 -11.58 -5.68 1.34 -5.48 4.09 -0.74 5.56 5.30 +0.97%
2011 1.60 5.05 -10.09 -0.38 -1.46 1.42 -1.44 -9.48 -3.10 -0.28 -1.80 -2.37 -21.03%
2012 4.01 11.79 2.55 -5.35 -10.67 7.53 -3.63 -0.04 1.13 0.63 6.01 9.56 +23.45%
2013 9.80 2.74 7.55 14.13 -4.09 1.15 1.11 -2.76 7.86 1.24 5.31 3.51 +57.21%
2014 -6.25 1.23 -0.99 -4.47 4.24 4.27 0.74 -1.14 5.00 -3.46 9.97 -1.69 +6.48%
2015 1.09 7.30 2.41 3.23 4.19 -0.96 1.32 -6.80 -7.81 9.37 2.42 -2.57 +12.44%
2016 -5.37 -11.03 4.53 -0.09 3.43 -9.40 3.43 0.45 1.18 3.49 4.95 1.35 -4.65%
2017 -0.40 0.94 0.10 0.91 2.85 2.53 0.19 0.83 3.76 6.76 1.03 1.71 +23.14%
2018 1.76 -3.45 -2.64 3.02 -0.58 -1.87 1.38 -0.74 5.30 -10.50 1.93 -9.61 -16.00%
2019 2.78 3.66 0.32 3.33 -6.82 3.83 1.49 -3.65 6.14 4.28 3.66 0.14 +20.06%
2020 -1.68 -9.62 -6.37 5.56 8.84 1.38 0.47 2.64 4.93 -2.71 11.62 2.26 +16.45%
2021 -0.45 1.18 5.03 -1.81 1.84 -0.09 -0.63 3.08 4.82 0.14 -1.22 3.10 +15.72%
2022 -9.25 -0.81 3.55 -3.31 -0.66 -2.98 3.50 0.99 -5.72 5.79 4.45 -7.19 -12.20%
2023 6.05 0.33 2.66 1.16 4.44 7.29 2.14 -0.12 -1.75 -3.21 5.46 0.47 +27.26%
2024 5.45 8.04 3.43 -4.53 - - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 15.19% 14.79% 15.27% 16.85% 17.28%
Sharpe ratio 3.07 2.42 1.66 0.41 0.53
Best month +8.04% +8.04% +8.04% +8.04% +11.62%
Worst month -4.53% -4.53% -4.53% -9.25% -9.62%
Maximum loss -5.49% -5.49% -9.00% -20.33% -30.24%
Outperformance +15.59% - +14.07% +18.41% +12.96%
 
All quotes in JPY

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
GS Japan Eq.Pf.I JPY paying dividend 3,535.3799 +30.45% +40.02%
GS Japan Eq.Pf.I(S)JPY reinvestment 25,798.7793 +30.44% +40.02%
GS Japan Eq.Pf.I EUR H reinvestment 31.7900 +35.16% +43.65%
GS Japan Eq.Pf.P(S)JPY reinvestment 30,661.0508 +29.59% +37.31%
GS Japan Eq.Pf.I JPY Close reinvestment 2,403.0400 +31.04% +39.99%
GS Japan Eq.Pf.I H USD H reinvestment 34.7000 +37.70% +53.00%
GS Japan Eq.Pf.I(S)EUR reinvestment 12.3200 +16.56% -
GS Japan Eq.Pf.P USD H reinvestment 31.6100 +36.84% +50.02%
GS Japan Eq.Pf.IS (S) JPY reinvestment 15,059.8496 +30.61% +40.57%
GS Japan Eq.Pf.IS (S) EUR H reinvestment 15.4600 +35.38% +44.49%
GS Japan Eq.Pf.IS (S) EUR reinvestment 11.1800 +16.70% +11.02%
GS Japan Eq.Pf.RS (I) GBP H paying dividend 26.1600 +36.98% +48.94%
GS Japan Eq.Pf.B USD paying dividend 15.8800 +10.43% -8.89%
GS Japan Eq.Pf.Base JPY reinvestment 24,514.9102 +29.24% +36.20%
GS Japan Eq.Pf.OC GBP paying dividend 25.1100 +12.00% +7.03%
GS Japan Eq.Pf.R(S)JPY paying dividend 4,312.8901 +30.35% +39.73%
GS Japan Eq.Pf.R(S)GBP paying dividend 29.2600 +12.95% +9.72%
GS Japan Eq.Pf.R(S)JPY reinvestment 4,569.8398 +30.35% +39.72%
GS Japan Eq.Pf.E EUR H reinvestment 22.0200 +32.89% +36.60%
GS Japan Eq.Pf.OC EUR H reinvestment 36.6500 +33.91% +39.78%
GS Japan Eq.Pf.R GBP H paying dividend 26.1500 +36.89% +48.63%
GS Japan Eq.Pf.R USD reinvestment 11.2100 +13.12% -
GS Japan Eq.Pf.R(S)USD paying dividend 12.3100 +13.14% -2.18%
GS Japan Eq.Pf.OC. USD H reinvestment 30.4100 +36.43% +48.78%
GS Japan Eq.Pf.OC. SEK H reinvestment 277.2000 +33.77% +40.22%
GS Japan Eq.Pf.RS (S) EUR H reinvestment 14.6100 +35.15% -
GS Japan Eq.Pf.R (S) EUR reinvestment 11.6000 +16.47% -
GS Japan Eq.Pf.Base JPY paying dividend 2,819.3301 +29.25% +36.20%
GS Japan Eq.Pf.A(S)USD paying dividend 19.2700 +11.65% -6.05%
GS Japan Eq.Pf.E(S)EUR reinvestment 16.4100 +14.60% +5.26%
GS Japan Eq.Pf.OC USD paying dividend 27.6300 +12.18% -4.66%

Performance

YTD  
+12.50%
6 Months  
+18.11%
1 Year  
+29.24%
3 Years  
+36.20%
5 Years  
+84.98%
Since start  
+109.38%
Year
2023  
+27.26%
2022
  -12.20%
2021  
+15.72%
2020  
+16.45%
2019  
+20.06%
2018
  -16.00%
2017  
+23.14%
2016
  -4.65%
2015  
+12.44%