The investment seeks to provide a high level of current income, consistent with low volatility of principal.
The fund invests, under normal circumstances, at least 80% of its net assets plus any borrowings for investment purposes (measured at the time of purchase) ("Net Assets") in high quality floating rate or variable rate obligations. The remainder of the fund's Net Assets (up to 20%) may include, but are not limited to, fixed rate obligations. It also intends to invest in derivatives, including (but not limited to) Eurodollar futures and interest rate swaps, which are used primarily to manage the fund's duration.
Links:  http://www.globalfunddata.com/funds/new/performance/management?variant=Goldman Sachs
 http://www.globalfunddata.com/funds/new/performance/domicile?variant=United States
 http://www.globalfunddata.com/funds/new/performance/fund_administrator?variant=Goldman Sachs Asset Management, L.P.
 http://www.globalfunddata.com/funds/new/performance/strategy?variant=Intermediate Government
 http://www.globalfunddata.com/funds/new/performance/structure?variant=Open Ended Investment Company
 http://www.globalfunddata.com/funds/new/performance/city?variant=Chicago___United States
 http://www.globalfunddata.com/funds/new/performance/country?variant=United States
 http://www.globalfunddata.com/funds/new/performance/custodian?variant=J. P. Morgan Chase Bank, N.A.
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