Long-term capital appreciation and income growth from investing in high-quality international companies with sustainable dividends and attractive valuations.
Performance & Downside Protection:
The broader international strategy has delivered strong, persistent alpha since inception, especially during market downturns. Focuses on companies with resilient cash flows and sustainable dividends, targeting downside protection and smoother volatility.
Global Diversification:
Offers exposure to high-quality international equities, enhancing portfolio diversification and reducing reliance on U.S. market cycles.
Experienced Stewardship:
Managed by a long-tenured, globally resourced team at GSAM, leveraging deep local expertise and a robust research platform.
Key Facts
Inception Date
January 21, 2026
Management Fee ♦
0.70% (F), 0.60% (P)
RSP-Eligible
Yes
Distributions ♦
Paid Annually
Currency Hedged (CAD)
No
Effective Investments ^
Individual Stocks
Number of Holdings (Underlying Fund)
40
Risk Rating ♦
Medium
Fund code
IAS200F
IAS200UF (USD Purchase Code)
Asset Class
International Equity
Performance
As of:
April 30, 2026
1M
3M
6M
YTD
1Y
Since Inception
Volatility*
3.98%
3.02%
–
–
–
3.55%
19.56%
*Standard deviation; calculated using daily returns since inception; annualized.