Goldman Sachs Income Fund Class P is an actively managed mutual fund focused on generating income from a diversified, multi‑sector fixed income portfolio. The strategy invests across U.S. and international bonds spanning investment‑grade and high‑yield credit, securitized assets, Treasuries and derivatives, with flexibility to allocate to emerging‑market sovereign and corporate debt to broaden income sources and risk drivers. The fund emphasizes diversification through hundreds of holdings and uses futures and credit derivatives to manage interest‑rate exposure and credit risk, maintaining a moderate effective duration profile. It distributes income monthly, reflecting its income orientation, and operates within the multisector bond category with a fee structure positioned competitively versus peers. By combining government, agency mortgage‑backed, and corporate exposures with tactical use of derivatives, Goldman Sachs Income Fund Class P aims to provide a steady income stream while navigating changing rate and credit cycles, serving investors seeking a core‑plus fixed income allocation within a broader portfolio.
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