GSAM Institutional
 
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Best of Both Worlds
Goldman Sachs Asset Management (GSAM) delivers innovative investment solutions through a global multi-product platform that offers clients the advantages of a large firm while maintaining the benefits of a boutique.

Broad Capabilities, Deep Expertise
Our investment platform comprises independent teams that offer a broad range of products spanning across asset classes, market capitalization, fundamental and quantitative orientations, regions and the risk spectrum.

Dedicated Services and Resources
We partner with our clients to ensure they have access to all the firmwide resources they need. We provide insights on investment ideas and timely market issues through publications, conference calls and events.

Products
Clients
Insurance
Our global insurance business provides customized solutions that can help insurers meet their unique business, product, tax and accounting objectives.
Retirement
Investment solutions that deliver strong, consistent performance results, while addressing diversification and risk management needs.
Institutional Advisory Services
A world-class team dedicated to working with the sales forces of our sub-advisory partners, providing value-added presentations, economic and market commentary along with ongoing sales support in the field.
Consultants
We build long-term relationships with consultants and help them deliver innovative investment solutions to their clients.
Unions
We partner with many of the largest and most prominent Taft-Hartley plans and provide investment solutions to help them secure retirement savings for their employees.
Publics
We leverage world-class resources and thoughtful investment solutions to address the specific needs of a variety of public funds – from large state agency plan sponsors to small local fire district pension plans.
Endowments & Foundations
We offer a wide range of investment services and innovative products designed to meet the unique needs of endowments and foundations.
Global Cash Services
Online trading that provides real-time execution capabilities for money market funds, fixed income securities, and foreign exchange along with exclusive research, market commentaries, and economic discussions.
Education
Mortgage & Credit University
Mortgage and Credit University features some of Goldman Sachs Asset Management’s top experts in the field. The instructors provide an overview of mortgages (including both agency and non-agency), bank loans and structured credit.
Derivatives University
The use of derivatives has increased dramatically in recent years, enabling many investors to better manage risk, and to potentially generate alpha.
Liability-Driven Investing
Today institutional investors face an ever-increasing problem: a growing mismatch in their plan assets and liabilities. In addition, the changing regulatory environment poses several challenges for plan sponsors.
Beyond Active Alpha
As the market and our clients’ portfolios have evolved, so have our ideas. While we are still vigilantly focused on finding those elusive alpha sources, we’ve expanded our search for returns into a new area – exotic beta.
Active Alpha
Active Alpha is an investment approach which can enable investors to improve their risk adjusted return. By separating sources of risk — interest rate, market and active risk — investors can identify additional alpha opportunities.
Conference Call Series
Ideas matter. That's why we offer institutional investors our best insights and perspectives from our senior investment professionals addressing market trends, current events and institutional investment issues.
 
  • Fundamental Equity
  • Quantitative Investment Strategies
  • Global Fixed Income
  • Alternatives
Our Fundamental Equity teams consist of over 120 investment professionals and conduct original, bottom-up research across a broad range of capitalizations and style spectrums, spanning global developed and emerging markets.

   Growth
 Value

   Global
 Real Estate

Our QIS team, which comprises approximately 160 professionals globally, uses advanced quantitative methods to systematically uncover and exploit sources of alpha. Our proprietary risk models help ensure that risk is actively managed and allocated according to our investment criteria. We offer a range of strategies across market capitalizations, regions and investment styles that can be tailored to meet specific client demands.

   Quantitative Equity
 Quantitative Strategies

   
Our globally integrated team of over 130 professionals seeks to uncover opportunities across borders and in under-researched markets. We utilize independent specialist teams for bottom-up and top-down decisions, and for generating strategies within their areas of expertise.

   US & Global Fixed Income
        -Multi-Strategy: Short Duration, Core,
        Core Plus and Global
        -Sector-Specific: Corporate, Municipal,
        High Yield and Emerging Markets Debt
   Money Markets
As investors seek different ways to generate alpha and diversify risk, demand for innovative strategies has increased. As a leading provider of these solutions, we offer the flexibility, skill and resources to meet our clients’ specific investment objectives.

   Hedge Funds (Direct and Fund of Funds)
 Private Equity (Direct and Fund of Funds)
 Private Real Estate
July 29: Investing in Infrastructure
Julian Allen, COO, Infrastructure Investment Group, GS & Co.
Overview of current market conditions and considerations for investing in the class.
The GIS group supplements our investment teams by offering independent advice to help clients meet financial objectives through customized portfolio solutions and strategic research.


THIS MATERIAL DOES NOT CONSTITUTE AN OFFER OR SOLICITATION IN ANY JURISDICTION WHERE OR TO ANY PERSON TO WHOM IT WOULD BE UNAUTHORIZED OR UNLAWFUL TO DO SO. Opinions expressed are current opinions as of the date appearing in this material. This information is to be read in conjunction with the linked materials and their relevant disclosures.

Important Disclosures