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World Funds

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 GS High Yield Bond Fund0P0000.3,417.000-0.67%39.26B31/05 
 GS Monthly Dividend Bond Fund0P0000.9,269.000-0.16%27.33B31/05 
 GS Emerging Currency Bond Fund0P0000.2,440.000-0.53%14.19B31/05 
 GS World Bond Open B UnHedged SMA/EW0P0001.12,213.000-0.10%12.29B31/05 
 GS Focus Yield Bond Dividend 2 Year0P0001.9,186.000+0.09%10.01B31/05 
 GS Asia High Yield Bond Fund US Dollar0P0000.4,616.000-0.56%9.29B31/05 
 GS World Bond Open A Limited Hedged SMA/EW0P0001.8,687.000+0.27%8.69B31/05 
 GS Focus Yield Bond Dividend 1 Month0P0001.7,468.000+0.09%7.47B31/05 
 GS Bond Strategy Fund B Dividend 1 Month UnHedged0P0000.8,178.000-0.68%7.02B31/05 
 GS World Bond Open A Limited Hedged0P0000.8,096.000+0.26%6.35B31/05 
 GS Variety Open0P0000.7,694.000-0.10%6.25B31/05 
 GS Asia High Yield Bond Fund Asia Currency0P0000.3,179.000-0.56%5.35B31/05 
 GS World Bond Mona Lisa0P0000.8,639.000+0.27%4.73B31/05 
 GS World Bond Open B UnHedged DC0P0000.21,466.000-0.10%4.75B31/05 
 GS New Growth Country Bond Fund0P0000.9,162.000-0.20%4.54B31/05 
 GS Emerging Currency Bond Fund USD Short/JPY Long0P0001.5,013.0000%3.86B31/05 
 GS World Bond Open B UnHedged0P0000.9,942.000-0.09%3.84B31/05 
 GS World Bond Open B UnHedged SMA0P0000.18,368.000-0.09%3.49B31/05 
 GS Galileo0P0000.6,974.000-0.07%3.26B31/05 
 GS World Bond Open A Limited Hedged DC0P0000.11,414.000+0.26%2.98B31/05 
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