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GOCAX

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Analysis and statistics

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About

GOCAX.US represents the Goldman Sachs Core Accelerated Alpha Fund Class A. This is a mutual fund managed by Goldman Sachs Asset Management that aims to provide long-term capital appreciation. The fund invests primarily in U.S. equity securities and employs an accelerated alpha strategy that seeks to outperform its benchmark by combining fundamental research with quantitative analysis. Performance and holdings information are available in the fund's prospectus and other regulatory filings.
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Factors

**Market Interest Rates**: Higher interest rates generally decrease bond prices, impacting the NAV of GOCAX.US.

**Credit Quality of Holdings**: Downgrades in the credit ratings of bonds held by the fund can negatively affect the fund's price.

**Inflation Expectations**: Rising inflation expectations can lead to higher yields and lower bond prices, decreasing the fund's value.

**Supply and Demand**: Investor demand for GOCAX.US shares influences the price; higher demand typically increases the price.

**Fund Management Strategy**: The fund manager's decisions on bond selection and duration management impact fund performance and price.

**Economic Growth**: Stronger economic growth can lead to higher interest rates and potentially lower bond prices.

**Geopolitical Events**: Major geopolitical events can increase market uncertainty and affect bond prices, thus impacting the fund.

**Liquidity of Underlying Assets**: Lower liquidity in the bond market can make it difficult to buy or sell bonds, affecting fund pricing.

**Expense Ratio**: Higher expense ratios can decrease the fund's return, potentially affecting its attractiveness and price.

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