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Goldman Sachs U.s. Equity Esg Fund Class C: (MF: GCGVX)

(NASDAQ Mutual Funds) As of Sep 13, 2024 08:00 PM ET

$19.73 USD

+0.25 (1.28%)

Zacks MF Rank

This is our Mutual Fund rating system that serves as a timeliness indicator for Mutual Fund's over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

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4-Sell of 5       4  

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Latest Performance as of Aug 31, 2024

Total Return %* Percentile Rank Objective
YTD 15.71 46
3 months 6.13 48
6 months 9.92 33
1 Year 21.42 56
3 Year 4.33 65
5 Year 12.56 51
10 Year 9.90 54

* Annual for three years and beyond.

Zacks Premium Research for GCGVX

Zacks MF Rank

This is our Mutual Fund rating system that serves as a timeliness indicator for Mutual Fund's over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

Zacks Mutual Fund Rank FAQ - Learn more about the Zacks Mutual Fund Rank
Zacks Mutual Fund Rank Home - All Zacks Rank resources in one place
Zacks Premium - The only way to get access to the Zacks Rank

Sell 4
MF Research Report

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Portfolio Statistics

% Unrealized Gain 28.63
% Yield 0.00
% SEC Yield NA
Net Assets (Mil $) 8/31/2024 0.80
% Turnover 8/31/2024 46.00

Risk

3 Year 5 Year 10 Year
Beta 1.02 0.97 0.97
Alpha -4.62 -2.56 -2.43
R Squared 0.97 0.96 0.95
Std. Dev. 18.38 17.91 15.20
Sharpe 0.14 0.66 2.00

Sector / Country Weightings

As of 8/31/2024 % of Portfolio
Technology 36.07
Industrial Cyclical 12.56
Finance 12.17
Health 8.79
Retail Trade 8.11
Non-Durable 7.86
Consumer Durables 5.70
Services 4.12
Utilities 3.62
Other 1.00

Portfolio Holdings

Top Equity Holdings
(As of 5/31/2024)
% of Portfolio Value (Mil$)
MICROSOFT CORP 8.56 2.36
ALPHABET INC CLASS A 6.26 1.73
NVIDIA CORP 5.19 1.44
APPLE INC 5.14 1.42
AMAZON.COM INC 4.35 1.20
JPMORGAN CHASE & CO 4.05 1.12
NEXTERA ENERGY INC 2.96 0.82
PROCTER & GAMBLE CO 2.84 0.79
MORGAN STANLEY 2.81 0.78

Stock Holding % of Net Assets

As Of 5/31/2024
Total Issues 43
Avg. P/E 29.47
Avg. P/Book 3.75
Avg. EPS Growth 9.36
Avg. Market Value (Mil $) 592,454

Allocation

% of Portfolio
Large Growth 26.05
Large Value 28.31
Small Growth 9.50
Small Value 0.00
Foreign Stock 7.98
Emerging Market 2.59
Precious Metal 0.00
Intermediate Bond 0.00
Foreign Bond 0.00
High Yield Bond 9.17