Goldman Sachs has filed to launch the Multi Asset Real Return Fund. The fund seeks real return by investing in inflation-sensitive assets.

Primarily, the fund invests in a portfolio of equity, fixed income and commodity asset classes, including in derivatives that provide exposure to the underlying asset classes. The investment adviser seeks to allocate the fund’s risk across a range of exposures, which may vary depending on the then-current market environment.

The fund’s portfolio managers include: Samantha Davidson, managing director; Raymond Chan, managing director; and Christopher Lvoff, vice president.

According to the filing with the SEC, the fund will be available in A, C, IR, R and institutional shares. No expense ratios were listed.