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Investment Strategy

Optimize your portfolio with personalized guidance from our Investment Strategy Group.  
A landscape view of the Grand Canyon’s horseshoe bend on an overcast day.  A shallow river winds around a giant red rock in a horseshoe shape. The rock in the canyon is striped and worn from erosion.
Your investment strategy is supported by decades of portfolio management experience across market cycles. 
Global Economics and Markets Experience
Leverage the collective intelligence of the Investment Strategy Group’s 100+ professionals. 
64
Members with graduate degrees
25+
Years of industry experience on average among senior professionals
32
Countries represented by team members, with fluency in 35 languages

Information as of April 30, 2025

Investment Strategy Group Leadership
Your advisor works with an experienced team to meet your wealth and investment management needs. 
A professional headshot of Sharmin Mossavar-Rahmani

Sharmin Mossavar-Rahmani
Head, Investment Strategy Group and Chief Investment Officer, Wealth Management


 

A professional headshot of Farshid Asl

Farshid Asl
Head, Strategic and Quantitative Asset Allocation

A professional headshot of Brett Nelson

Brett Nelson
Head, Tactical Asset Allocation

Learn More About How We Work With You 
Investment Strategy Insights
Our Commitment to You

Our Relationship with Clients. We act as an investment adviser or as a broker depending on our relationship with you, and may act as both for some clients. Our role and obligations will vary depending on the capacity in which we act. Where we act as an investment adviser, our primary role is to give you advice, help you manage your investments or help you hire another adviser to do so. Where we act as a broker, our primary role is to execute trades for you based on your instructions and any advice we give you is incidental to our brokerage services. How we are compensated by you (and sometimes by issuers or managers of investments who compensate us based on what you buy) and how your Private Wealth Management team is compensated will vary depending on whether you have an advisory or brokerage account and on the investments we or you make in your account, and may change over time. Goldman Sachs & Co. LLC (“we,” “us,” and “GS&Co.,” and together with its affiliates, “Goldman Sachs” or “GS”) is registered with the Securities and Exchange Commission (“SEC”) as both a broker-dealer and an investment adviser and is a member of the Financial Industry Regulatory Authority (“FINRA”) and the Securities Investor Protection Corporation (“SIPC”). We predominantly offer investment advisory and brokerage services to retail investors through our Wealth Management business unit, which includes Private Wealth Management (“PWM”). Investment advisory and/or financial counseling services may be provided by GS&Co., an affiliate, or an external manager under the wrap program sponsored by GS&Co. Brokerage services are provided by GS&Co.

Investment Strategy Group (“ISG”). The Investment Strategy Group, part of the Asset & Wealth Management business (“AWM”) of GS, focuses on asset allocation strategy formation and market analysis for GS Wealth Management. Any information that references ISG, including their model portfolios, represents the views of ISG, is not financial research and is not a product of GS Global Investment Research (“GIR”) and may vary significantly from views expressed by individual portfolio management teams within AWM, or other groups at GS.

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Investment Risks and Information. Goldman Sachs Private Wealth Management offers a range of products that you should carefully consider for their unique terms and risks prior to investing to ensure they are appropriate for your individual circumstances.   

Entities Providing Services.

The below entities are affiliated entities that are subsidiaries of The Goldman Sachs Group, Inc. (collectively, the “Firm” or “Goldman Sachs”).  Please note that offering of services is subject to jurisdictional requirements, and may not be available to all clients.

United States

Investment advisory and/or financial counseling services may be provided by Goldman Sachs & Co. LLC (“GS&Co.”), an affiliate, or an external manager under the wrap program sponsored by GS&Co. Entities and/or affiliates may include but are not limited to Goldman Sachs Wealth Services, L.P. or another affiliate. Brokerage services are provided by GS&Co., member Financial Industry Regulatory Authority (“FINRA”) / Securities Investor Protection Corporation (“SIPC ”).

EMEA

Click here for EMEA Disclosures

Asia

Click here for Asia Pacific Cross Border Disclosures

Tax Information. GS does not provide legal, tax or accounting advice, unless explicitly agreed in writing between you and GS, and does not offer the sale of insurance products. You should obtain your own independent tax advice based on your circumstances. The information included in this presentation, including, if shown, in the Tax Summary section, does not constitute tax advice, has not been audited, should not be used for tax reporting, and is not a substitute for the applicable tax documents, including your Form 1099, Schedule K-1 for private investments, which we will provide to you annually, or your monthly GS account statement(s). The cost basis included in this presentation may differ from your cost basis for tax purposes. Information regarding your Alternative Investments and transactions for retirement accounts are not included in the Tax Summary section.

Educational Only.  This information provided on this site is intended for educational and informational purposes only and is provided solely on the basis that it will not form a primary basis for any investment decisions. This information is not intended to be used as a general guide to investing, or as a source of any specific investment recommendations, and makes no implied or express recommendations concerning the manner in which any client’s account should or would be handled, as appropriate investment strategies depend upon the client’s investment objectives.

 

Goldman Sachs & Co. LLC is registered with the Securities and Exchange Commission (“SEC”) as both a broker-dealer and an investment adviser and is a member of the Financial Industry Regulatory Authority (“FINRA”) and the Securities Investor Protection Corporation (“SIPC”).