Goldman Sachs Large Fund Market Value
| GSVUX Fund | USD 16.98 0.10 0.59% |
| Symbol | Goldman |
Goldman Sachs 'What if' Analysis
In the world of financial modeling, what-if analysis is part of sensitivity analysis performed to test how changes in assumptions impact individual outputs in a model. When applied to Goldman Sachs' mutual fund what-if analysis refers to the analyzing how the change in your past investing horizon will affect the profitability against the current market value of Goldman Sachs.
| 11/01/2025 |
| 01/30/2026 |
If you would invest 0.00 in Goldman Sachs on November 1, 2025 and sell it all today you would earn a total of 0.00 from holding Goldman Sachs Large or generate 0.0% return on investment in Goldman Sachs over 90 days. Goldman Sachs is related to or competes with Precious Metals, The Gold, Invesco Gold, James Balanced, Global Gold, International Investors, and Europac Gold. The fund invests at least 80 percent of its net assets plus any borrowings for investment purposes in a diversified port... More
Goldman Sachs Upside/Downside Indicators
Understanding different market momentum indicators often help investors to time their next move. Potential upside and downside technical ratios enable traders to measure Goldman Sachs' mutual fund current market value against overall market sentiment and can be a good tool during both bulling and bearish trends. Here we outline some of the essential indicators to assess Goldman Sachs Large upside and downside potential and time the market with a certain degree of confidence.
| Downside Deviation | 0.7512 | |||
| Information Ratio | 0.1318 | |||
| Maximum Drawdown | 16.6 | |||
| Value At Risk | (0.99) | |||
| Potential Upside | 1.42 |
Goldman Sachs Market Risk Indicators
Today, many novice investors tend to focus exclusively on investment returns with little concern for Goldman Sachs' investment risk. Other traders do consider volatility but use just one or two very conventional indicators such as Goldman Sachs' standard deviation. In reality, there are many statistical measures that can use Goldman Sachs historical prices to predict the future Goldman Sachs' volatility.| Risk Adjusted Performance | 0.1246 | |||
| Jensen Alpha | 0.2407 | |||
| Total Risk Alpha | 0.172 | |||
| Sortino Ratio | 0.3462 | |||
| Treynor Ratio | 0.226 |
Sophisticated investors, who have witnessed many market ups and downs, anticipate that the market will even out over time. This tendency of Goldman Sachs' price to converge to an average value over time is called mean reversion. However, historically, high market prices usually discourage investors that believe in mean reversion to invest, while low prices are viewed as an opportunity to buy.
Goldman Sachs January 30, 2026 Technical Indicators
| Cycle Indicators | ||
| Math Operators | ||
| Math Transform | ||
| Momentum Indicators | ||
| Overlap Studies | ||
| Pattern Recognition | ||
| Price Transform | ||
| Statistic Functions | ||
| Volatility Indicators | ||
| Volume Indicators |
| Risk Adjusted Performance | 0.1246 | |||
| Market Risk Adjusted Performance | 0.236 | |||
| Mean Deviation | 0.8082 | |||
| Semi Deviation | 0.2263 | |||
| Downside Deviation | 0.7512 | |||
| Coefficient Of Variation | 613.86 | |||
| Standard Deviation | 1.97 | |||
| Variance | 3.89 | |||
| Information Ratio | 0.1318 | |||
| Jensen Alpha | 0.2407 | |||
| Total Risk Alpha | 0.172 | |||
| Sortino Ratio | 0.3462 | |||
| Treynor Ratio | 0.226 | |||
| Maximum Drawdown | 16.6 | |||
| Value At Risk | (0.99) | |||
| Potential Upside | 1.42 | |||
| Downside Variance | 0.5644 | |||
| Semi Variance | 0.0512 | |||
| Expected Short fall | (1.00) | |||
| Skewness | 6.54 | |||
| Kurtosis | 49.32 |
Goldman Sachs Large Backtested Returns
Goldman Sachs appears to be not too volatile, given 3 months investment horizon. Goldman Sachs Large holds Efficiency (Sharpe) Ratio of 0.18, which attests that the entity had a 0.18 % return per unit of risk over the last 3 months. We have found twenty-eight technical indicators for Goldman Sachs Large, which you can use to evaluate the volatility of the entity. Please utilize Goldman Sachs' Risk Adjusted Performance of 0.1246, market risk adjusted performance of 0.236, and Downside Deviation of 0.7512 to validate if our risk estimates are consistent with your expectations. The fund retains a Market Volatility (i.e., Beta) of 1.38, which attests to a somewhat significant risk relative to the market. As the market goes up, the company is expected to outperform it. However, if the market returns are negative, Goldman Sachs will likely underperform.
Auto-correlation | 0.61 |
Good predictability
Goldman Sachs Large has good predictability. Overlapping area represents the amount of predictability between Goldman Sachs time series from 1st of November 2025 to 16th of December 2025 and 16th of December 2025 to 30th of January 2026. The more autocorrelation exist between current time interval and its lagged values, the more accurately you can make projection about the future pattern of Goldman Sachs Large price movement. The serial correlation of 0.61 indicates that roughly 61.0% of current Goldman Sachs price fluctuation can be explain by its past prices.
| Correlation Coefficient | 0.61 | |
| Spearman Rank Test | 0.75 | |
| Residual Average | 0.0 | |
| Price Variance | 0.07 |
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Other Information on Investing in Goldman Mutual Fund
Goldman Sachs financial ratios help investors to determine whether Goldman Mutual Fund is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in Goldman with respect to the benefits of owning Goldman Sachs security.
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