US$ Liquid Reserves Fund - Institutional Shares

Inception Date:08/01/1996


Fund Profile Fund Performance Product Focus Portfolio Holdings [PDF]
Commentary Weekly Country Exposure [PDF] Weekly Holdings [PDF] Access GLM
Fund Objective
  • For investors seeking to maximise current income to the extent that it is consistent with the preservation of capital and the maintenance of liquidity by investing in a diversified portfolio of high quality money market securities.
Credit Ratings

  • Standard & Poor's Ratings Service: AAAm1
  • Moody's Investor Services, Inc.: Aaa/MR1+2
  • Fitch: AAA/V1+3
Portfolio Assets*
As of 05/31/2022

32.00 bn USD
Fund Manager

GSAM Liquidity Solutions Team
Fund Facts

ISIN:IE0003763251
Fund Number:G499
Bloomberg Ticker:GSUSLQI
 

Portfolio Composition (%) ‐ Information as of 05/31/2022  
  
Time Deposit30.4
Commercial Paper-Financial23.2
Certificate of Deposit18.9
Asset Backed Commercial Paper11.0
Commerical Paper-Agency7.1
Secured Commercial Paper4.7
Sovereign2.6
Repurchase Agreement2.3
US Agency0.4
Cash & Forward Settling Trades-0.7
 
Holdings and allocations shown are unaudited, and may not be representative of current or future investments. Holdings and allocations may not include the Fund's entire investment portfolio, which may change at any time. Fund holdings should not be relied on in making investment decisions and should not be construed as research or investment advice regarding particular securities.
 
Prospectus [PDF] Key Investor Information Document (KIID) [PDF] Semi-Annual Report [PDF] Annual Report [PDF]