Goldman Sachs Global Core Fixed Income Fund Class C is an actively managed mutual fund focused on generating total return from a diversified mix of global bonds. The strategy targets both capital appreciation and income, investing across government, corporate, securitized, and derivative instruments to manage duration, yield, and currency exposures within a risk-controlled framework. Positioned in the global bond—USD hedged category, it seeks to reduce foreign-exchange volatility while allocating dynamically across sectors and maturities. Portfolio positioning materials indicate meaningful use of interest rate swaps, futures, and credit derivatives to fine-tune duration and sector risk, alongside allocations to government, corporate, and asset-backed securities. The fund is guided by a seasoned team within Goldman Sachs Asset Management’s fixed income platform, with named portfolio managers overseeing macro, multisector, and implementation disciplines. Its role in the market is to serve as a core fixed income holding for investors seeking broad, hedged global bond exposure and a balance of interest rate and credit drivers, supported by institutional research, robust risk management, and diversified sources of income.
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