GS IRL US$ Liquid Reserves P Dis $
Rating and Score (On 30/06/2026)
Rating
FIDA
Rating
ESG
FIDA Category
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Static data
Name | GS IRL US$ Liquid Reserves P Dis $ |
Typology | Funds and Sicav |
ISIN Code | IE0009407531 |
Sicav | Goldman Sachs Funds Plc |
Registration country | - |
Country authorised for sale | |
Asset manager | |
Address | 47-49 ST. STEPHEN'S GREEN D02-W634 Dublin |
Phone | |
Web site | |
FIDA Category | |
Assogestioni category | |
EFAMA Category | Low volatility NAV Money Market USD |
Priips | Yes |
Official benchmark | 0.00% - non previsto |
Start Date placement | 07/03/2000 |
Search by currency | Usd - us dollar |
Quotation currency | Usd - us dollar |
Status | Active |
Distribution policy | Yes |
Total asset value at 30/05/2025 | - |
Assets of portfolio as of 30/05/2025 | 36,554.98 mln USD |
Documentation |
Quotation evolution (From 28/07/2023 On 29/07/2026)
1.00
0.00
%
29/07/2026
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Quote
Quotation currency | Usd - us dollar |
Quotation frequency | Daily |
Last quotation | $1.00 (30/07/2026) |
% change | |
Last Price in Euro | €0.87 |
Investment Objective
The investment objective of the US$ Liquid Reserves Fund is to maximise current income to the extent consistent with the preservation of capital and the maintenance of liquidity by investing in a diversified portfolio of high quality money market securities.The Fund will invest in US Dollar denominated money market instruments: securities with remaining maturities (eg, a final maturity date) of 397 days or less at the time of purchase.The weighted average time to the maturity date (meaning date of interest rate change or principal repayment, if earlier) of all such securities will be up to 60 days and the weighted average time until the full principal must be repaid on all securities will be up to 120 days. The Fund has been authorised as a Low Volatility NAV Money Market Fund under Regulation 2017/1131 and is a "short-term money market fund".The Fund will consider Environmental Social Governance (ESG) factors and as such will not invest in debt securities issued by companies that are, in the opinion of the Investment Manager, directly engaged and/or generating significant revenues from the following activities: production of, and/or involvement in controversial weapons (including nuclear weapons); production or sale of tobacco; extraction, production or generation of certain fossil fuels (including thermal coal, shale gas and oil, oil sands, and arctic oil and gas); production or sale of civilian firearms; and operation of private prisons. The Investment Manager may periodically update the types of activities that are excluded.The Fund promotes environmental and/or social characteristics, however, does not commit to making any sustainable investments. Shares in the Fund may be redeemed daily (on each business day) on demand. The share class seeks to maintain a stable Net Asset Value Per Share however this may not be guaranteed. The Fund is actively managed without reference to any benchmark. The Fund currency is USD. The share class currency is USD. The Fund is a m |
Tax system
PIR compliant | No |
PEA compliant | No |
PEA-PME compliant | No |
Company registry
Asset manager | |
Phone | |
Web site | |
Address | 47-49 ST. STEPHEN'S GREEN D02-W634 Dublin |
The data and information covered by the Service are for the exclusive internal use of the User and may neither be transferred to third parties, nor circulated, disclosed or allowed to be disclosed, nor used on external information systems, without the written consent of FIDA and, when necessary, of the information sources.
