GBP10,52

GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (GBP) ACC (SNAP)

ISIN: LU2642427624
Nivel de riesgo:
Moneda: GBP (GBP)
Gestora: GOLDMAN SACHS AM (LU)
Gastos corrientes: -
Fecha valor liquidativo: 15.05.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 29 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 JAPAN EQUITY PARTNERS PORTFOLIO "R" (GBP) ACC (SNAP)
LU2642427624
LU2642427624
Sin Datos
Sin Datos
Buscada y más barata
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "I" (USDHDG) ACC (SNAP)
LU1217871216
LU1217871216
0,83%
31,47%
GS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (EUR) ACC (SNAP)
LU2238031137
LU2238031137
1,65%
8,77%
GS JAPAN EQUITY PARTNERS PORTFOLIO "I" (GBP) INC (SNAP)
LU1725406513
LU1725406513
0,83%
8,27%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (JPY) ACC (SNAP)
LU1217871307
LU1217871307
0,90%
24,92%
GS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (USD) ACC (SNAP)
LU2405385399
LU2405385399
1,67%
8,28%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (GBP) INC (SNAP)
LU2254254183
LU2254254183
0,92%
8,27%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (JPY) INC (SNAP)
LU2264865770
LU2264865770
0,91%
24,93%
GS JAPAN EQUITY PARTNERS PORTFOLIO "P" (USDHDG) INC (SNAP)
LU1861305297
LU1861305297
1,29%
30,75%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "I" (GBPHDG) ACC (SNAP)
LU1220104654
LU1220104654
0,83%
31,39%
GS JAPAN EQUITY PARTNERS PORTFOLIO "P" (USDHDG) ACC (SNAP)
LU1217871729
LU1217871729
1,39%
30,77%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "I" (JPY) ACC (SNAP)
LU1217871059
LU1217871059
0,83%
25,01%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (GBPHDG) INC (SNAP)
LU1313460690
LU1313460690
0,90%
31,34%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (EURHDG) ACC (SNAP)
LU1231169415
LU1231169415
0,90%
29,45%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "I" (GBP) ACC (SNAP)
LU1220104142
LU1220104142
0,84%
8,30%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (GBPHDG) ACC (SNAP)
LU1217871489
LU1217871489
0,90%
31,36%
GS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (HKDHDG) SNAP ACC
LU2475587056
LU2475587056
1,68%
29,53%
GS JAPAN EQUITY PARTNERS PORTFOLIO "I" (EUR) ACC (SNAP)
LU1837047379
LU1837047379
0,83%
9,63%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "I" (EURHDG) ACC (SNAP)
LU1217871133
LU1217871133
0,83%
29,59%
GS JAPAN EQUITY PARTNERS PORTFOLIO "I" (JPY) ACC (SNAP)
LU1425256077
LU1425256077
0,83%
24,87%
GS JAPAN EQUITY PARTNERS PORTFOLIO "IO" (USD) ACC (SNAP)
LU2226974256
LU2226974256
0,09%
10,03%
GS JAPAN EQUITY PARTNERS PORTFOLIO "P" (GBPHDG) INC (SNAP)
LU1494600718
LU1494600718
1,38%
30,71%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (EURHDG) ACC (SNAP)
LU1217870911
LU1217870911
1,65%
28,46%
GS JAPAN EQUITY PARTNERS PORTFOLIO "P" (JPY) ACC (SNAP)
LU1217871646
LU1217871646
1,39%
24,32%
GS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (USDHDG) SNAP ACC
LU2405385126
LU2405385126
1,66%
30,29%
GS JAPAN EQUITY PARTNERS PORTFOLIO "R" (USDHDG) ACC (SNAP)
LU1698129696
LU1698129696
0,90%
31,37%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "OCS" (CHFHDG) ACC (SNAP)
LU1220099714
LU1220099714
1,65%
25,83%
GS JAPAN EQUITY PARTNERS PORTFOLIO "IO" (JPY) ACC (SNAP)
LU2215086294
LU2215086294
0,09%
25,95%
GOLDMAN SACHS JAPAN EQUITY PARTNERS PORTFOLIO "BS" (JPY) ACC (SNAP)
LU1217870671
LU1217870671
1,65%
23,98%
Ver más clases
Datos de rentabilidad calculados a fecha 15/05/2024

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