
GOLDMAN SACHS ACTIVEBETA EM
GOLDMAN SACHS ACTIVEBETA EM (ticker: GEM) is an exchange‑traded product that seeks systematic exposure to emerging market equities through Goldman Sachs’ ActiveBeta rules‑based approach. It aims to capture broad equity market participation while tilting towards factor exposures that may offer diversification versus a conventional market‑cap index. Investors should note this is not a guaranteed return strategy: emerging markets can be more volatile and carry additional foreign‑exchange, political and liquidity risks. The fund’s weighting methodology and sector mix can differ materially from passive cap‑weighted benchmarks, which may lead to different performance outcomes in various market conditions. Market capitalisation data is not provided here; consult live market feeds and the fund’s prospectus for up‑to‑date figures, fees and holdings. This summary is educational only and not personal financial advice; suitability will depend on individual circumstances and risk tolerance.
Stock Performance Snapshot
Dividend
GOLDMAN SACHS ACTIVEBETA EM has a below-average dividend yield of 1.98%. If you invested $1000 you would be paid $19.80 a year in dividends (based on the last 12 months).
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Baskets Featuring GEM
Banking On Emerging Market Wealth
Standard Chartered's impressive profit growth, driven by its wealth management success in emerging markets, highlights a significant investment opportunity. This theme focuses on other global financial institutions that are similarly positioned to capitalize on the expanding wealth and demand for sophisticated banking services in high-growth economies.
Published: July 31, 2025
Explore BasketWhy You’ll Want to Watch This Stock
Factor-based exposure
A rules‑based tilt toward factor characteristics can provide diversification versus cap‑weighted indices, though factor performance can vary over time.
Emerging markets access
Gives broad exposure to developing economies with potential growth opportunities, balanced by higher political, currency and liquidity risks.
Transparent methodology
The fund’s rules are publicly documented, which helps investors understand positioning, but transparency does not eliminate market or strategy risk.
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6% Interest on Cash
Earn 6% AER on uninvested cash with daily interest payments.