GTAMX : Goldman Sachs Target Date 2040 Portfolio A Shares

GTAMX is a Allocation Market Target-Date with HIGH fees.

GTAMX

Goldman Sachs Target Date 2040 Portfolio A Shares

FI Score

29 /100

Expense Ratio Rating

4 /10

Expense Rating

5 /10

Market Score

0 /10

Category Score

5 /10

Market Size

0 /10

29% FI Score
  • gtamx
  • Mutual Fund
  • Allocation
  • Target-Date

Goldman Sachs Target Date 2040 Portfolio A Shares

Expenses: 0.53% (Better than 0% of similar funds)

This is a bad choice for a Target-Date Allocation fund. See why »

Fund Summary

The investment seeks to provide capital appreciation and current income consistent with its current asset allocation. The Portfolio employs an asset allocation strategy designed for investors who plan to retire and withdraw their investment from the Portfolio beginning in approximately 2040. Under normal conditions, the Portfolio will invest in underlying funds according to the Investment Adviser's asset allocation strategy such that over time the asset allocation will generally become more conservative through the reduction of allocation to equity funds and increased allocation to fixed income funds in accordance with the glide path's strategic allocation.

Largest Holdings

Amount Holding
39.93% Goldman Sachs ActiveBeta® US LgCp Eq ETF
19.42% Goldman Sachs ActiveBeta® Intl Eq ETF
8.46% Goldman Sachs Acss Invmt Grd Corp Bd ETF
5.86% Goldman Sachs ActiveBeta® EMkts Eq ETF
4.87% Vanguard Long-Term Corporate Bd ETF
4.09% Goldman Sachs Acs Infl Protd USD Bd ETF
2.91% iShares Core US Aggregate Bond ETF
2.81% Goldman Sachs ActiveBeta® US SmCp Eq ETF
2.31% iShares JP Morgan USD Em Mkts Bd ETF
2.24% iShares MSCI EAFE Small-Cap ETF
1.51% Goldman Sachs Access Hi Yld Corp Bd ETF
0.97% Vanguard Real Estate ETF
0.94% iShares JP Morgan EM Local Ccy Bd ETF
0.90% iShares Global Infrastructure ETF

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