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Goldman Sachs Absolute Return Tracker Fund Investor Class (0P0000AB4Y)

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10.000 +0.030    +0.30%
24/12 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 746.9M
Type:  Fund
Market:  United States
Issuer:  Goldman Sachs
Asset Class:  Other
Goldman Sachs Absolute Return Tracker Fund Class I 10.000 +0.030 +0.30%

0P0000AB4Y Overview

 
On this page you'll find an in-depth profile of Goldman Sachs Absolute Return Tracker Fund Investor Class. Learn about the key management, total assets, investment strategy and contact information of 0P0000AB4Y among other information.
Category

Multistrategy

Total Assets

746.9M

Expenses

0.72%

Inception Date

May 30, 2008

Investment Strategy

The investment seeks to deliver long-term total return consistent with investment results that approximate the return and risk patterns of a diversified universe of hedge funds. The fund's Investment Adviser believes that hedge funds derive a large portion of their returns from exposure to sources of market risk and "Trading Strategies" involving long and/or short positions in Market Exposures and/or individual securities or baskets of securities. It uses a dynamic investment process to seek to identify the appropriate weights to Market Exposures and Trading Strategies that approximate the return and risk patterns of specific hedge fund sub-strategies.

Contact Information

Address 200 West Stree
Chicago,NY 10282
United States
Phone (312) 362 3000

Top Executives

Name Title Since Until
Oliver Bunn - 2017 Now
Biography Mr. Bunn is a portfolio manager on the Alternative Investment Strategies (AIS) team within Quantitative Investment Strategies (“QIS”) Team. He joined GSAM in 2014 and is primarily focused on alternative risk premia and hedge fund beta strategies. Previously, he researched and developed equity strategy indices at Barclays. Oliver Bunn, Vice President, has managed the Fund since 2018.
James Park Executive Director 2022 2022
Biography James Park joined Goldman Sachs Asset Management as a member of the QIS Team in 2004. He is a senior member of the QIS research and portfolio management team.
Federico Gilly Co-Head 2018 2022
Biography Mr. Gilly is co-head of research, portfolio management and portfolio construction for the Alternative Investment Strategies (AIS) team within GSAM’s QIS platform. Mr. Gilly joined Goldman Sachs in 2000.
Matthew Schwab Portfolio Manager 2018 2021
Biography Mr. Schwab joined Quantix in 2021 as Head of Investor Solutions. Prior to joining Quantix, Mr. Schwab joined Goldman Sachs in 2007. He is Managing Director, co-head of research, portfolio management and portfolio construction for the Alternative Investment Strategies team within Goldman Sachs Asset Management, L.P’s Quantitative Investment Strategies (QIS) platform. Prior to that, he was Global Head of Systematic Trading in the Securities Division for Goldman Sachs. Mr. Schwab began his investment career in 1993.
Gary Chropuvka Managing Director and Head 2013 2020
Biography Mr. Chropuvka, CFA, is head of the Customized Beta Strategies, Alternative Investment Strategies and Tax-Advantaged Core Strategies businesses within GSAM Quantitative Investment Strategies (QIS) team. In this capacity, Mr. Chropuvka oversees the team’s rules-based and customized index strategies, alternative risk premia and liquid hedge fund replication strategies, as well as tax-efficient investment strategies. Additionally, Mr. Chropuvka oversees global client portfolio management for the entire QIS franchise across the alpha and beta spectrum, including the team’s Equity Alpha, Macro Alpha and smart beta offerings. Previously, Mr. Chropuvka was a portfolio manager for GSAM’s QIS Equity Alpha business, managing the portfolio implementation efforts for both tax-exempt and taxable clients, a position Mr. Chropuvka held for seven years. Mr. Chropuvka has been a member of the QIS team since 1999, having joined to manage the team’s tax-efficient investment strategies. Mr. Chropuvka joined Goldman Sachs in 1998 as an analyst in GSAM’s Private Equity Group and was named managing director in 2006 and partner in 2014.
Stephan Kessler Quantitative Specialist and Portfolio Manager 2016 2018
Biography Mr. Kessler is the Head of Research for the Alternative Investment Strategies team within GSAM’s QIS team, focused on alternative risk premia and hedge fund beta strategies. He joined GSAM in 2010 as an Executive Director. Previously, he was a Portfolio Manager at Morgan Stanley Investment Management.
Alex Chung - 2014 2017
Biography Mr. Chung joined the Goldman Sachs Asset Management, L.P. in 2005 and has been a member of the Customized Beta Strategies Group in QIS since January 2010. He was previously a member of the QIS technology team from 2005 to 2008.
Matthew Hoehn Vice President 2009 2015
Biography Matt, vice president at Goldman Sachs Asset Management, joined the Investment Management Division in July 2003 and is a member of the Quantitative Investment Strategies (QIS) team. He is a researcher and portfolio manager, focusing on strategies in equities, interest rates, credit, commodities, volatility, and currencies. In 2002 Matt graduated magna cum laude from The College of New Jersey with a double major in Economics and English and a minor in Spanish. He received an award at graduation as the top Economics student in his class and later completed a Master’s Degree in Economics at New York University in December 2007. Matt has spoken on a number of different panels as well as at industry events on topics such as hedge fund strategies, hedge fund replication, alternative investing, and risk premium strategies.
Don Mulvihill Managing Director 2012 2013
Biography Mr. Mulvihill joined Goldman Sachs Asset Management, L.P. in 1981 as a portfolio manager. In 1991 he joined the Fixed Income team in London as a portfolio manager, and in 1992 he became President of Goldman Sachs Asset Management, Japan. Mr. Mulvihill joined the Quantitative Investment Strategies team in 1999 and is responsible for the Portfolios’ portfolio management process, including setting research priorities and client contact. He has a BA from the University of Notre Dame and an MBA from the University of Chicago.
Jonathon Sheridan Portfolio Manager 2009 2012
Biography Mr. Sheridan, Director, is head of Strategic Trading for Credit Suisse’s Alternative Liquid Trading Strategies (ALTS)TM group Mr. Sheridan joined Credit Suisse in 2013 after 16 years at Goldman Sachs & Co. where he most recently was the Head of the Financial Solutions Group, a portfolio management and trading business within the Investment Management Division. In this role, Mr. Sheridan was the lead portfolio manager for the Absolute Return Tracker Fund along with other commingled and separate account mandates implementing systematic and passive strategies. Previously, Mr. Sheridan headed Global Trading for the Goldman Sachs Quantitative Investment Strategies Group which included the $12bn Global Alpha Fund. Mr. Sheridan received his B.B.A. in Finance and Banking from Hofstra University and an M.B.A. from NYU, Stern School of Business.
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