Goldman Sachs Absolute Return Tracker Fund Class R is a U.S. mutual fund in the multistrategy alternatives category. Its primary objective is to deliver long-term total return that approximates the return and risk patterns of a diversified basket of hedge fund betas, seeking exposure to market-driven factors rather than individual manager alpha. The strategy tracks an internal benchmark framework designed to replicate broad hedge fund style exposures across equities, fixed income, commodities, and credit, implemented through a mix of ETFs, derivatives such as swaps and credit default swaps, cash equivalents, and Treasuries. Positioned as an absolute return solution, it targets low to modest sensitivity to traditional market indexes while providing diversified alternative risk premia access within a single portfolio. The fund is overseen by Goldman Sachs Asset Management, with portfolio management tenure dating to 2017, and is offered in multiple share classes to meet different platform and plan needs. Within the alternatives landscape, it serves as a core allocation tool for institutions and retirement plans seeking systematic, cost-transparent exposure to hedge fund-like returns without employing fund-of-funds structures.
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