CORE® Equity Series: Human Expertise Meets AI
CORE® Equity Series: Human Expertise Meets AI
CORE® Equity Series: Human Expertise Meets AI
Sharanya Srinivasan, Senior Portfolio Manager and Researcher, Quantitative Investment Strategies (QIS), talks about how our QIS team leverages artificial intelligence to transform complex data into actionable investment insights in managing the CORE® Equity Series.
Tap into the Power of the CORE® Equity Series.
- 35+ years in systematic, data-driven investing
- 10+ years in artificial intelligence
- Breadth, depth and economies of scale afforded by the Goldman Sachs platform
- $2.1bn invested in Communications and Technology in 2025
- 100+ high quality datasets
- Access to >1 trillion data points
Source: Goldman Sachs Asset Management, as of March 23, 2026. Assets Under Supervision (AUS) includes assets under management and other client assets for which Goldman Sachs does not have full discretion.

Equity investments are subject to market risk, which means that the value of the securities in which it invests may go up or down in response to the prospects of individual companies, particular sectors and/or general economic conditions. Different investment styles (e.g., “growth” and “value”) tend to shift in and out of favor, and, at times, the strategy may underperform other strategies that invest in similar asset classes. The market capitalization of a company may also involve greater risks (e.g. "small" or "mid" cap companies) than those associated with larger, more established companies and may be subject to more abrupt or erratic price movements, in addition to lower liquidity.
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Index Benchmarks
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Offering Documents
This material is provided at your request for informational purposes only and does not constitute a solicitation in any jurisdiction in which such a solicitation is unlawful or to any person to whom it is unlawful. It only contains selected information with regards to the fund and does not constitute an offer to buy shares in the fund. Prior to an investment, prospective investors should carefully read the latest Key Information Document (KID) or UK Key Investor Information Document (KIID) (as applicable) as well as the offering documentation, including but not limited to the fund’s prospectus which contains inter alia a comprehensive disclosure of applicable risks.
Distribution of Shares
Shares of the fund may not be registered for public distribution in a number of jurisdictions (including but not limited to any Latin American, African or Asian countries). Therefore, the shares of the fund must not be marketed or offered in or to residents of any such jurisdictions unless such marketing or offering is made in compliance with applicable exemptions for the private placement of collective investment schemes and other applicable jurisdictional rules and regulations.
Investment Advice and Potential Loss
Financial advisers generally suggest a diversified portfolio of investments. The fund described herein does not represent a diversified investment by itself. This material must not be construed as investment or tax advice. Prospective investors should consult their financial and tax adviser before investing in order to determine whether an investment would be suitable for them. An investor should only invest if he/she has the necessary financial resources to bear a complete loss of this investment.
Swing Pricing
Please note that the fund operates a swing pricing policy. Investors should be aware that from time to time this may result in the fund performing differently compared to the reference benchmark based solely on the effect of swing pricing rather than price developments of underlying instruments.An investor should only invest if he/she has the necessary financial resources to bear a complete loss of this investment.
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The Net Asset Value represents the net assets of the Portfolio (ex-dividend) divided by the total number of shares.
Stated reference benchmark returns do not reflect any management or other charges to the fund, whereas stated returns of the fund do.
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