Goldman Sachs Fund

<div class='circular--portrait' style='background:#999999;color: white;font-size:3em;padding-top: 40px;;'>GEB</div>


0 / 100

Odds of Distress

Analyze Filter   Check how we calculate scores
Equity ratings for Goldman Sachs ESG Emerging Mark are calculated based on Macroaxis scoring framework. The performance scores are derived for the period starting December 29, 2019 and ending today March 28, 2020. Click here to learn more.

Goldman Sachs Profile

The fund generally invests at least 80 percent of its net assets plus any borrowings for investment purposes in a diversified portfolio of equity investments in emerging country issuers that the Investment Adviser believes adhere to the funds environmental, social and governance criteria. Goldman Sachs is traded on BATS Exchange in USA. more on Goldman Sachs
Legal NameGoldman Sachs ESG Emerging Mark
Macroaxis Advice
Macroaxis buy hold or sell recommendation provided in the context of your current investment horizon and risk tolerance.
Horizon: 30 days (very short)Advice
StartdateApril 12, 2017
Goldman Sachs ESG Emerging Mark [GEBCX] is traded in USA and was established March 28, 2020. The fund is listed under Diversified Emerging Mkts category and is part of Goldman Sachs family. Goldman Sachs ESG currently has accumulated 7.33 M in assets under management (AUM) with minimum initial investment of 1 K.
Check Goldman Sachs Probability Of Bankruptcy

Instrument Allocation

Sector Allocation (%)

Top Goldman Sachs ESG Emerging Mark Constituents

Goldman Sachs Target Price Odds Analysis

Odds Down 8.31HorizonTargetOdds Up 8.31
3.77%30 days
Based on normal probability distribution, the odds of Goldman Sachs to move above current price in 30 days from now is roughly 96.0 (This Goldman Sachs ESG Emerging Mark probability density function shows the probability of Goldman Sachs Mutual Fund to fall within a particular range of prices over 30 days) .

Goldman Sachs ESG Risk Profiles

Goldman Sachs Against Markets

Did you try this?

Run Correlation Analysis Now


Correlation Analysis

Reduce portfolio risk simply by holding instruments which are not perfectly correlated
All  Next Launch Module
Please check Risk vs Return Analysis. Please also try Crypto Correlations module to use cryptocurrency correlation module to diversify your cryptocurrency portfolio across multiple coins.
Company logos by clearbit
Macroaxis is not a registered investment advisor or broker/dealer. All investments, including stocks, funds, ETFs, or cryptocurrencies, are speculative and involve substantial risk of loss. We encourage our investors to invest carefully. Much of our information is derived directly from data published by companies or submitted to governmental agencies which we believe are reliable, but are without our independent verification. Therefore, we cannot assure you that the information is accurate or complete. We do not in any way warrant or guarantee the success of any action you take in reliance on our statements or recommendations. Also, note that past performance is not necessarily indicative of future results. All investments carry risk, and all investment decisions of an individual remain the responsibility of that individual. There is no guarantee that systems, indicators, or signals will result in profits or that they will not result in losses. All investors are advised to fully understand all risks associated with any investing they choose to do. Hypothetical or simulated performance is not indicative of future results. We make no representations or warranties that any investor will, or is likely to, achieve profits similar to those shown because hypothetical or simulated performance is not necessarily indicative of future results. For more information please visit our terms and condition page