GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL

RIASEC RegisteredEst. 1991
Total AUM
$621B
Discretionary
$621B
100% of AUM
Avg account
$145M
Accounts
4,296
Employees
611
Advisory reps
9

Firm details

Headquarters
LONDON,
CRD number
107715
Registered since
January 25, 1991
Custodians
J.P. MORGAN SECURITIES INC., THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION, GOLDMAN SACHS & CO. LLC, THE BANK OF NEW YORK MELLON
Fee structure
Percentage of AUM, Performance Based Fees, Other
Client types
  • Pooled Investment Vehicles70.04%
  • Pension & Profit Sharing Plans13.32%
  • Insurance Companies6.61%
  • Corporations / Businesses3.3%
  • Sovereign Wealth Funds3.12%
Services
Portfolio Management for IndividualsPortfolio Management for Investment CompaniesPortfolio Management for Pooled Investment VehiclesPortfolio Management for Institutional ClientsPension ConsultingSelection of Other AdvisersEducational Seminars / Workshops

Firm profile

FINTRX

Overview

Goldman Sachs Asset Management International is the Goldman Sachs group’s international asset management arm, positioned as a multifaceted fund manager and provider of hedge and other pooled investment vehicles. It serves both individual/family and institutional clients and offers a mix of portfolio management services across account types — from individuals and small businesses to investment companies and pooled vehicles — as well as pension consulting, manager selection, and educational workshops. The firm is active on ESG matters and operates with fee arrangements that include percentage-of-AUM and performance-based components. It also conducts business activities consistent with commodity pool operator/commodity trading advisor registrations and maintains a range of industry affiliations spanning broker-dealer, trust, banking, and sponsor/GP roles.

Assets & Accounts

Investments & Alternatives

Investment profile

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Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

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CRM & tech providers

TAMPs used

Clients

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Client base

Client personas

Asset composition

Asset composition: Investment Grade Corp Bonds 29%, Sovereign Bonds 28%, Other 19%, Exchange Traded Equities 8%, US Government Bonds 6%, Cash & Cash Equivalents 4%, Non-Investment Grade Corp Bonds 2%, Public Funds/Mutual Funds 2%, Private Funds 2%, Derivatives 1%29%
  • Investment Grade Corp Bonds29%
  • Sovereign Bonds28%
  • Other19%
  • Exchange Traded Equities8%
  • US Government Bonds6%

Owners & executives

1 of 1
  • JUDITH SHANDLING

    Chief Compliance OfficerCRD 5775386

Contacts

3 of 8
  • JAMES REYNOLDS

    PartnerCRD 4431476

  • KAREN SHARPE

    Non-Executive DirectorCRD 7087871

  • DAVID PLUTZER

    PartnerCRD 7026685

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Wealth teams

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Newly hired reps

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Recent M&A activity

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Recent filings

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Awards

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Location

Primary office

LONDON, null

Location

LONDON, null

Headquartered in LONDON, null.

Address
Plumtree Ct
Office locations

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Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth