Asset Management Outlook 2025: Reasons to Recalibrate
Interest rate easing cycles, geopolitical risk and post-election policies provide reasons for investors to refocus and recalibrate portfolios in 2025.
What We Do
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Public Investing
Our integrated offerings across equity, fixed income, and multi-asset solutions are designed to see challenges from many angles and help investors achieve their goals.
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Alternative Investing
We focus on turning global transformations into investing opportunities by combining specialized global alternatives expertise with the power of Goldman Sachs’ network and insight.
Macroeconomics
Our Insights on the Global Economy
Read our latest insights on what is driving the global economy. Explore the trends in growth, inflation, labor markets, and how they affect asset classes.
Unlocking Client Success
Who We Are

To turn today’s reality into tomorrow’s returns, you need a partner who puts you first.

At a Glance
$2.6+
TrillionAssets Under Supervision (AUS)
1.8k+
Investment Professionals
100+
Languages Spoken

Source: Goldman Sachs Asset Management. As of March 31, 2024. Assets Under Supervision (AUS) includes assets under management and other client assets for which Goldman Sachs does not have full discretion. 

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