GOLDMAN SACHS ASSET MANAGEMENT, L.P.
CRD #107738 SEC #801-37591 NEW YORK, NY 212-902-1000
SEC Registered Private Funds Disclosures
Total AUM
$2.1T
Discretionary
$2T
Employees
1,451
Clients
0
Accounts
220,874
| Fund Name | Type | GAV | Investors | Auditor |
|---|---|---|---|---|
| MULTI-STRATEGY PORTFOLIO VII LTD | Other Private Fund | $304.9M | 2 | PRICEWATERHOUSECOOPERS LLP |
| MULTI-STRATEGY PORTFOLIO VII LTD | Other Private Fund | $304.9M | 2 | PRICEWATERHOUSECOOPERS LLP |
| MULTI-STRATEGY PORTFOLIO VII LTD | Other Private Fund | $304.9M | 2 | PRICEWATERHOUSECOOPERS LLP |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PRIVATE EQUITY MANAGERS (2016) OFFSHORE SCSP | Other Private Fund | $304.5M | 107 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| SEPARATE ACCOUNT SV | Other Private Fund | $302.9M | 2 | -- |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| ZALICO VARIABLE SERIES I CORE FIXED INCOME | Other Private Fund | $302.4M | 1 | ERNST & YOUNG |
| GTCR XIV ACCESS OFFSHORE LP | Other Private Fund | $302.3M | 163 | PRICEWATERHOUSECOOPERS LLP |
| GTCR XIV ACCESS OFFSHORE LP | Other Private Fund | $302.3M | 163 | PRICEWATERHOUSECOOPERS LLP |
| GTCR XIV ACCESS OFFSHORE LP | Other Private Fund | $302.3M | 163 | PRICEWATERHOUSECOOPERS LLP |
| GTCR XIV ACCESS OFFSHORE LP | Other Private Fund | $302.3M | 163 | PRICEWATERHOUSECOOPERS LLP |
Fund NameMULTI-STRATEGY PORTFOLIO VII LTD
TypeOther Private Fund
GAV$304.9M
Investors2
AuditorPRICEWATERHOUSECOOPERS LLP
Fund NameMULTI-STRATEGY PORTFOLIO VII LTD
TypeOther Private Fund
GAV$304.9M
Investors2
AuditorPRICEWATERHOUSECOOPERS LLP
Fund NameMULTI-STRATEGY PORTFOLIO VII LTD
TypeOther Private Fund
GAV$304.9M
Investors2
AuditorPRICEWATERHOUSECOOPERS LLP
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$304.5M
Investors107
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
TypeOther Private Fund
GAV$302.4M
Investors1
AuditorERNST & YOUNG
Fund NameGTCR XIV ACCESS OFFSHORE LP
TypeOther Private Fund
GAV$302.3M
Investors163
AuditorPRICEWATERHOUSECOOPERS LLP
Fund NameGTCR XIV ACCESS OFFSHORE LP
TypeOther Private Fund
GAV$302.3M
Investors163
AuditorPRICEWATERHOUSECOOPERS LLP
Fund NameGTCR XIV ACCESS OFFSHORE LP
TypeOther Private Fund
GAV$302.3M
Investors163
AuditorPRICEWATERHOUSECOOPERS LLP
Fund NameGTCR XIV ACCESS OFFSHORE LP
TypeOther Private Fund
GAV$302.3M
Investors163
AuditorPRICEWATERHOUSECOOPERS LLP