GBP38,23 16,93% (12m)

GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (GBP) INC

ISIN: LU0860993731
Nivel de riesgo:
Moneda: GBP (GBP)
Gestora: GOLDMAN SACHS AM
Gastos corrientes: 0,91%
Fecha valor liquidativo: 11.12.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 36 clases disponibles para la comercialización en España con diferentes Gastos Corrientes. Busque la suya por el ISIN, encuentre la más barata y empiece ahorrar.

ISIN
Gastos Corrientes
Rent. 1 año
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (GBP) INC
LU0860993731
LU0860993731
0,91%
16,93%
Buscada
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "A" (USD) ACC
LU0244548862
LU0244548862
2,16%
17,23%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "IO" (GBP) ACC
LU0920369526
LU0920369526
0,09%
17,62%
Más barata
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (GBP) ACC
LU1299705530
LU1299705530
0,91%
16,92%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (EURHDG) INC
LU1299706181
LU1299706181
0,90%
17,96%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (USD) ACC
LU0830623475
LU0830623475
0,91%
18,71%
GS GLOBAL EQUITY PARTNERS PORTFOLIO "P" (EUR) INC
LU2417705162
LU2417705162
1,39%
20,96%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "BS" (USDHDG) ACC
LU1187999849
LU1187999849
1,66%
18,64%
GS GLOBAL EQUITY PARTNERS PORTFOLIO "E" (EUR) INC
LU2417970584
LU2417970584
2,16%
20,00%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (EUR) ACC
LU1000926979
LU1000926979
0,90%
21,56%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "BS" INC
LU0244545843
LU0244545843
1,65%
17,81%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (EURHDG) ACC
LU1732781874
LU1732781874
0,83%
18,02%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "OCS" (EURHDG) ACC
LU1187999500
LU1187999500
1,66%
17,13%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (USDHDG) ACC A
LU1545744846
LU1545744846
0,84%
19,53%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "OCS" GBP INC
LU0258867554
LU0258867554
1,66%
16,04%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (EURHDG) ACC
LU1299706009
LU1299706009
0,91%
18,00%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "IO" (USD) INC
LU0280946392
LU0280946392
0,09%
18,39%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "IO" (USD) ACC
LU0280946558
LU0280946558
0,09%
19,70%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (USD) ACC
LU0981989386
LU0981989386
0,84%
18,80%
GS GLOBAL EQUITY PARTNERS PORTFOLIO "P" (USDHDG) INC
LU1548410676
LU1548410676
1,39%
18,92%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "A" INC
LU0244548433
LU0244548433
2,16%
17,22%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (GBP) INC
LU0280890582
LU0280890582
0,84%
16,29%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (USDHDG) INC
LU1548410247
LU1548410247
0,84%
19,52%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "OCS" EUR ACC
LU0244549597
LU0244549597
1,66%
20,63%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "BS" (USDHDG) INC
LU1187999765
LU1187999765
1,66%
18,63%
GS GLOBAL EQUITY PARTNERS PORTFOLIO "P" (EUR) ACC
LU2417705089
LU2417705089
1,40%
20,99%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "I" (EUR) ACC
LU0417259313
LU0417259313
0,84%
21,41%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "E" (EUR) ACC
LU0418310818
LU0418310818
2,15%
19,82%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "IO" (USDHDG) ACC
LU1206925346
LU1206925346
0,09%
20,43%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "OCS" (EURHDG) INC
LU1187999252
LU1187999252
1,65%
17,19%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "OCS" GBP ACC
LU0258867711
LU0258867711
1,66%
15,97%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (USDHDG) ACC
LU1299705704
LU1299705704
0,92%
19,51%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (USDHDG) INC
LU1299705886
LU1299705886
0,90%
19,49%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "R" (USD) INC
LU0830623392
LU0830623392
0,91%
18,71%
GS GLOBAL EQUITY PARTNERS PORTFOLIO "P" (USDHDG) ACC
LU1548411054
LU1548411054
1,39%
18,86%
GS GLOBAL EQUITY PARTNERS ESG PORTFOLIO "BS" ACC
LU0244546650
LU0244546650
1,65%
17,79%
Ver más clases
Datos de rentabilidad calculados a fecha 11/12/2024

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