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Form NPORT-P GOLDMAN SACHS TRUST For: Mar 31

May 25, 2022 12:37 PM EDT

  
    NPORT-P
    false
    
      
      
        
          0000822977
          XXXXXXXX
        
      
      
      
      
        S000068943
        C000220317
        C000220318
        C000220322
        C000220319
        C000220323
        C000220321
        C000220320
      
      
      
    
  
  
    
      GOLDMAN SACHS TRUST
      811-05349
      0000822977
      S2FHCT8U6D2VORP0J605
      71  SOUTH WACKER DRIVE
      C/O GOLDMAN SACHS & CO
      CHICAGO
      
      60606
      312-655-4400
      Goldman Sachs Defensive Equity Fund
      S000068943
      549300LTRL5EQXCSPL03
      2022-12-31
      2022-03-31
      N
    
    
      6505669.27
      192850.48
      6312818.79
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      80905.36000000
      N
      
        
          
          
          
          
          
          
          
        
        
          
            
            
            
            
              
              
              
            
            
              
              
              
            
          
        
        
        
        
      
      
      
      
      
    
    
      
        Honeywell International Inc
        ISRPG12PN4EIEOEMW547
        Honeywell International Inc
        438516106
        
          
        
        198.00000000
        NS
        USD
        38526.84000000
        0.610295357456
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -46625.00000000
        -0.73857656224
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Call
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4610.00000000
            USD
            2022-05-31
            XXXX
            -13923.75000000
          
        
        
          N
          N
          N
        
      
      
        Cisco Systems Inc
        549300LKFJ962MZ46593
        Cisco Systems Inc
        17275R102
        
          
        
        945.00000000
        NS
        USD
        52693.20000000
        0.834701608787
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        salesforce.com Inc
        RCGZFPDMRW58VJ54VR07
        salesforce.com Inc
        79466L302
        
          
        
        213.00000000
        NS
        USD
        45224.16000000
        0.716386158139
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Intuit Inc
        VI90HBPH7XSFMB9E4M29
        Intuit Inc
        461202103
        
          
        
        79.00000000
        NS
        USD
        37986.36000000
        0.601733730424
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        L3Harris Technologies Inc
        549300UTE50ZMDBG8A20
        L3Harris Technologies Inc
        502431109
        
          
        
        76.00000000
        NS
        USD
        18883.72000000
        0.299132932976
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        United Parcel Service Inc
        D01LMJZU09ULLNCY6Z23
        United Parcel Service Inc
        911312106
        
          
        
        225.00000000
        NS
        USD
        48253.50000000
        0.764373279277
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Dollar General Corp
        OPX52SQVOZI8IVSWYU66
        Dollar General Corp
        256677105
        
          
        
        112.00000000
        NS
        USD
        24934.56000000
        0.394982983504
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Accenture PLC
        N/A
        Accenture PLC
        000000000
        
          
        
        171.00000000
        NS
        USD
        57666.33000000
        0.913479887801
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        5.00000000
        NC
        USD
        13875.00000000
        0.219790880453
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Purchased
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4555.00000000
            USD
            2022-03-31
            XXXX
            -34078.75000000
          
        
        
          N
          N
          N
        
      
      
        MSCI Inc
        549300HTIN2PD78UB763
        MSCI Inc
        55354G100
        
          
        
        37.00000000
        NS
        USD
        18606.56000000
        0.294742501233
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Chipotle Mexican Grill Inc
        N/A
        Chipotle Mexican Grill Inc
        169656105
        
          
        
        12.00000000
        NS
        USD
        18984.36000000
        0.300727149495
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Progressive Corp/The
        529900TACNVLY9DCR586
        Progressive Corp/The
        743315103
        
          
        
        216.00000000
        NS
        USD
        24621.84000000
        0.390029253477
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Dominion Energy Inc
        ILUL7B6Z54MRYCF6H308
        Dominion Energy Inc
        25746U109
        
          
        
        286.00000000
        NS
        USD
        24301.42000000
        0.384953549411
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Mondelez International Inc
        549300DV9GIB88LZ5P30
        Mondelez International Inc
        609207105
        
          
        
        486.00000000
        NS
        USD
        30511.08000000
        0.483319433282
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Union Pacific Corp
        549300LMMRSZZCZ8CL11
        Union Pacific Corp
        907818108
        
          
        
        176.00000000
        NS
        USD
        48084.96000000
        0.761703473512
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Johnson & Johnson
        549300G0CFPGEF6X2043
        Johnson & Johnson
        478160104
        
          
        
        566.00000000
        NS
        USD
        100312.18000000
        1.589023593690
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        McDonald's Corp
        UE2136O97NLB5BYP9H04
        McDonald's Corp
        580135101
        
          
        
        206.00000000
        NS
        USD
        50939.68000000
        0.806924476918
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        UnitedHealth Group Inc
        549300GHBMY8T5GXDE41
        UnitedHealth Group Inc
        91324P102
        
          
        
        187.00000000
        NS
        USD
        95364.39000000
        1.510646720147
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        5.00000000
        NC
        USD
        20500.00000000
        0.324736075625
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Purchased
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4120.00000000
            USD
            2022-05-31
            XXXX
            -50933.75000000
          
        
        
          N
          N
          N
        
      
      
        Marathon Petroleum Corp
        3BNYRYQHD39K4LCKQF12
        Marathon Petroleum Corp
        56585A102
        
          
        
        226.00000000
        NS
        USD
        19323.00000000
        0.306091472649
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        General Mills Inc
        2TGYMUGI08PO8X8L6150
        General Mills Inc
        370334104
        
          
        
        320.00000000
        NS
        USD
        21670.40000000
        0.343276129426
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Paychex Inc
        529900K900DW6SUBM174
        Paychex Inc
        704326107
        
          
        
        196.00000000
        NS
        USD
        26748.12000000
        0.423711196056
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Schlumberger NV
        213800ZUA17OK3QLGM62
        Schlumberger NV
        806857108
        
          
        
        454.00000000
        NS
        USD
        18754.74000000
        0.297089788633
        Long
        EC
        CORP
        CW
        
        N
        
        1
        
          N
          N
          N
        
      
      
        AbbVie Inc
        FR5LCKFTG8054YNNRU85
        AbbVie Inc
        00287Y109
        
          
        
        345.00000000
        NS
        USD
        55927.95000000
        0.885942585404
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ball Corp
        0BGI85ALH27ZJP15DY16
        Ball Corp
        058498106
        
          
        
        155.00000000
        NS
        USD
        13950.00000000
        0.220978939267
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Air Products and Chemicals Inc
        7QEON6Y1RL5XR3R1W237
        Air Products and Chemicals Inc
        009158106
        
          
        
        87.00000000
        NS
        USD
        21742.17000000
        0.344413022506
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Thermo Fisher Scientific Inc
        HCHV7422L5HDJZCRFL38
        Thermo Fisher Scientific Inc
        883556102
        
          
        
        99.00000000
        NS
        USD
        58474.35000000
        0.926279558232
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Costco Wholesale Corp
        29DX7H14B9S6O3FD6V18
        Costco Wholesale Corp
        22160K105
        
          
        
        115.00000000
        NS
        USD
        66222.75000000
        1.049020290347
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Brown-Forman Corp
        549300873K3LXF7ARU34
        Brown-Forman Corp
        115637209
        
          
        
        228.00000000
        NS
        USD
        15280.56000000
        0.242056053061
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Cognizant Technology Solutions Corp
        5493006IEVQEFQO40L83
        Cognizant Technology Solutions Corp
        192446102
        
          
        
        206.00000000
        NS
        USD
        18472.02000000
        0.292611282130
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        3M Co
        LUZQVYP4VS22CLWDAR65
        3M Co
        88579Y101
        
          
        
        164.00000000
        NS
        USD
        24416.32000000
        0.386773655513
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        NIKE Inc
        787RXPR0UX0O0XUXPZ81
        NIKE Inc
        654106103
        
          
        
        392.00000000
        NS
        USD
        52747.52000000
        0.835562080184
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Agilent Technologies Inc
        QUIX8Y7A2WP0XRMW7G29
        Agilent Technologies Inc
        00846U101
        
          
        
        150.00000000
        NS
        USD
        19849.50000000
        0.314431645518
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Linde PLC
        8945002PAZHZLBGKGF02
        Linde PLC
        000000000
        
          
        
        127.00000000
        NS
        USD
        40567.61000000
        0.642622754580
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Chubb Ltd
        E0JAN6VLUDI1HITHT809
        Chubb Ltd
        000000000
        
          
        
        114.00000000
        NS
        USD
        24384.60000000
        0.386271185838
        Long
        EC
        CORP
        CH
        
        N
        
        1
        
          N
          N
          N
        
      
      
        PNC Financial Services Group Inc/The
        CFGNEKW0P8842LEUIA51
        PNC Financial Services Group Inc/The
        693475105
        
          
        
        134.00000000
        NS
        USD
        24716.30000000
        0.391525573950
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        General Dynamics Corp
        9C1X8XOOTYY2FNYTVH06
        General Dynamics Corp
        369550108
        
          
        
        74.00000000
        NS
        USD
        17847.32000000
        0.282715544255
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -4925.00000000
        -0.07801586207
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            3560.00000000
            USD
            2022-05-31
            XXXX
            19446.25000000
          
        
        
          N
          N
          N
        
      
      
        Comcast Corp
        51M0QTTNCGUN7KFCFZ59
        Comcast Corp
        20030N101
        
          
        
        950.00000000
        NS
        USD
        44479.00000000
        0.704582239402
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Cintas Corp
        N/A
        Cintas Corp
        172908105
        
          
        
        46.00000000
        NS
        USD
        19567.94000000
        0.309971514325
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Truist Financial Corp
        549300DRQQI75D2JP341
        Truist Financial Corp
        89832Q109
        
          
        
        342.00000000
        NS
        USD
        19391.40000000
        0.307174982287
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Advanced Micro Devices Inc
        R2I72C950HOYXII45366
        Advanced Micro Devices Inc
        007903107
        
          
        
        392.00000000
        NS
        USD
        42861.28000000
        0.678956286023
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        PepsiCo Inc
        FJSUNZKFNQ5YPJ5OT455
        PepsiCo Inc
        713448108
        
          
        
        357.00000000
        NS
        USD
        59754.66000000
        0.946560672621
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Texas Instruments Inc
        WDJNR2L6D8RWOEB8T652
        Texas Instruments Inc
        882508104
        
          
        
        218.00000000
        NS
        USD
        39998.64000000
        0.633609823607
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        PayPal Holdings Inc
        5493005X2GO78EFZ3E94
        PayPal Holdings Inc
        70450Y103
        
          
        
        301.00000000
        NS
        USD
        34810.65000000
        0.551427993706
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Alphabet Inc
        5493006MHB84DD0ZWV18
        Alphabet Inc
        02079K305
        
          
        
        98.00000000
        NS
        USD
        272572.30000000
        4.317758976889
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Estee Lauder Cos Inc/The
        549300VFZ8XJ9NUPU221
        Estee Lauder Cos Inc/The
        518439104
        
          
        
        93.00000000
        NS
        USD
        25325.76000000
        0.401179898274
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Prologis Inc
        529900DFH19P073LZ636
        Prologis Inc
        74340W103
        
          
        
        218.00000000
        NS
        USD
        35202.64000000
        0.557637422695
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Visa Inc
        549300JZ4OKEHW3DPJ59
        Visa Inc
        92826C839
        
          
        
        338.00000000
        NS
        USD
        74958.26000000
        1.187397618932
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Southern Co/The
        549300FC3G3YU2FBZD92
        Southern Co/The
        842587107
        
          
        
        415.00000000
        NS
        USD
        30091.65000000
        0.476675333175
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Boston Scientific Corp
        Y6ZDD9FP4P8JSSJMW954
        Boston Scientific Corp
        101137107
        
          
        
        439.00000000
        NS
        USD
        19443.31000000
        0.307997277393
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Archer-Daniels-Midland Co
        549300LO13MQ9HYSTR83
        Archer-Daniels-Midland Co
        039483102
        
          
        
        198.00000000
        NS
        USD
        17871.48000000
        0.283098257601
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Anthem Inc
        8MYN82XMYQH89CTMTH67
        Anthem Inc
        036752103
        
          
        
        68.00000000
        NS
        USD
        33402.96000000
        0.529129080228
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        NXP Semiconductors NV
        724500M9BY5293JDF951
        NXP Semiconductors NV
        000000000
        
          
        
        94.00000000
        NS
        USD
        17397.52000000
        0.275590359532
        Long
        EC
        CORP
        NL
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Fiserv Inc
        GI7UBEJLXYLGR2C7GV83
        Fiserv Inc
        337738108
        
          
        
        200.00000000
        NS
        USD
        20280.00000000
        0.321251103106
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Procter & Gamble Co/The
        2572IBTT8CCZW6AU4141
        Procter & Gamble Co/The
        742718109
        
          
        
        476.00000000
        NS
        USD
        72732.80000000
        1.152144587378
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Lowe's Cos Inc
        WAFCR4OKGSC504WU3E95
        Lowe's Cos Inc
        548661107
        
          
        
        202.00000000
        NS
        USD
        40842.38000000
        0.646975326849
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Old Dominion Freight Line Inc
        5299009TWK32WE417T96
        Old Dominion Freight Line Inc
        679580100
        
          
        
        46.00000000
        NS
        USD
        13739.28000000
        0.217640969225
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Norfolk Southern Corp
        54930036C8MWP850MI84
        Norfolk Southern Corp
        655844108
        
          
        
        83.00000000
        NS
        USD
        23673.26000000
        0.375003002422
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Microsoft Corp
        INR2EJN1ERAN0W5ZP974
        Microsoft Corp
        594918104
        
          
        
        1274.00000000
        NS
        USD
        392786.94000000
        6.222053144028
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Chicago Mercantile Exchange
        SNZ2OJLFK8MNNCLQOF39
        S+P500 EMINI FUT JUN22
        000000000
        
          
        
        2.00000000
        NC
        USD
        36681.20000000
        0.581058972548
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Chicago Mercantile Exchange
              SNZ2OJLFK8MNNCLQOF39
            
            Long
            
              
                CME E-Mini Standard & Poor's 500 Index Future
                ESM2 INDEX
              
            
            2022-06-17
            416393.80000000
            USD
            36681.20000000
          
        
        
          N
          N
          N
        
      
      
        Becton Dickinson and Co
        ICE2EP6D98PQUILVRZ91
        Becton Dickinson and Co
        075887109
        
          
        
        77.00000000
        NS
        USD
        20482.00000000
        0.324450941510
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        American Tower Corp
        5493006ORUSIL88JOE18
        American Tower Corp
        03027X100
        
          
        
        122.00000000
        NS
        USD
        30648.84000000
        0.485501659711
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        IQVIA Holdings Inc
        549300W3R20NM4KQPH86
        IQVIA Holdings Inc
        46266C105
        
          
        
        87.00000000
        NS
        USD
        20115.27000000
        0.318641650729
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Applied Materials Inc
        41BNNE1AFPNAZELZ6K07
        Applied Materials Inc
        038222105
        
          
        
        242.00000000
        NS
        USD
        31895.60000000
        0.505251315791
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Stryker Corp
        5493002F0SC4JTBU5137
        Stryker Corp
        863667101
        
          
        
        123.00000000
        NS
        USD
        32884.05000000
        0.520909138910
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Constellation Brands Inc
        5493005GKEG8QCVY7037
        Constellation Brands Inc
        21036P108
        
          
        
        92.00000000
        NS
        USD
        21189.44000000
        0.335657345868
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        NVIDIA Corp
        549300S4KLFTLO7GSQ80
        NVIDIA Corp
        67066G104
        
          
        
        449.00000000
        NS
        USD
        122514.14000000
        1.940720050353
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Johnson Controls International plc
        549300XQ6S1GYKGBL205
        Johnson Controls International plc
        000000000
        
          
        
        297.00000000
        NS
        USD
        19474.29000000
        0.308488024887
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Adobe Inc
        FU4LY2G4933NH2E1CP29
        Adobe Inc
        00724F101
        
          
        
        108.00000000
        NS
        USD
        49206.96000000
        0.779476833359
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Waste Management Inc
        549300YX8JIID70NFS41
        Waste Management Inc
        94106L109
        
          
        
        189.00000000
        NS
        USD
        29956.50000000
        0.474534451194
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -16475.00000000
        -0.26097691931
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Call
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4655.00000000
            USD
            2022-04-29
            XXXX
            28644.35000000
          
        
        
          N
          N
          N
        
      
      
        Sempra Energy
        PBBKGKLRK5S5C0Y4T545
        Sempra Energy
        816851109
        
          
        
        108.00000000
        NS
        USD
        18156.96000000
        0.287620484667
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        O'Reilly Automotive Inc
        549300K2RLMQL149Q332
        O'Reilly Automotive Inc
        67103H107
        
          
        
        30.00000000
        NS
        USD
        20548.80000000
        0.325509105893
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CVS Health Corp
        549300EJG376EN5NQE29
        CVS Health Corp
        126650100
        
          
        
        334.00000000
        NS
        USD
        33804.14000000
        0.535484086024
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Walt Disney Co/The
        549300GZKULIZ0WOW665
        Walt Disney Co/The
        254687106
        
          
        
        394.00000000
        NS
        USD
        54041.04000000
        0.856052451332
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Marsh & McLennan Cos Inc
        549300XMP3KDCKJXIU47
        Marsh & McLennan Cos Inc
        571748102
        
          
        
        136.00000000
        NS
        USD
        23177.12000000
        0.367143755761
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Walmart Inc
        Y87794H0US1R65VBXU25
        Walmart Inc
        931142103
        
          
        
        420.00000000
        NS
        USD
        62546.40000000
        0.990784023439
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Coca-Cola Co/The
        UWJKFUJFZ02DKWI3RY53
        Coca-Cola Co/The
        191216100
        
          
        
        905.00000000
        NS
        USD
        56110.00000000
        0.888826400163
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Fortinet Inc
        549300O0QJWDBAS0QX03
        Fortinet Inc
        34959E109
        
          
        
        68.00000000
        NS
        USD
        23238.32000000
        0.368113211752
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Public Storage
        549300LMZF40TKJ6DM64
        Public Storage
        74460D109
        
          
        
        55.00000000
        NS
        USD
        21465.40000000
        0.340028768669
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Exxon Mobil Corp
        J3WHBG0MTS7O8ZVMDC91
        Exxon Mobil Corp
        30231G102
        
          
        
        840.00000000
        NS
        USD
        69375.60000000
        1.098963906739
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Monster Beverage Corp
        52990090AP0E7HCB6F33
        Monster Beverage Corp
        61174X109
        
          
        
        193.00000000
        NS
        USD
        15420.70000000
        0.244275980556
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Berkshire Hathaway Inc
        5493000C01ZX7D35SD85
        Berkshire Hathaway Inc
        084670702
        
          
        
        329.00000000
        NS
        USD
        116107.39000000
        1.839232106328
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Hershey Co/The
        21X2CX66SU2BR6QTAD08
        Hershey Co/The
        427866108
        
          
        
        99.00000000
        NS
        USD
        21446.37000000
        0.339727318547
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Goldman Sachs Financial Square Government Fund
        549300BRJMXN4GUWZ402
        Goldman Sachs Financial Square Government Fund
        38141W273
        
          
        
        174116.50000000
        NS
        USD
        174116.50000000
        2.758141898129
        Long
        EC
        RF
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Mastercard Inc
        AR5L2ODV9HN37376R084
        Mastercard Inc
        57636Q104
        
          
        
        202.00000000
        NS
        USD
        72190.76000000
        1.143558248723
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Republic Services Inc
        NKNQHM6BLECKVOQP7O46
        Republic Services Inc
        760759100
        
          
        
        153.00000000
        NS
        USD
        20272.50000000
        0.321132297225
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        AT&T Inc
        549300Z40J86GGSTL398
        AT&T Inc
        00206R102
        
          
        
        1501.00000000
        NS
        USD
        35468.63000000
        0.561850912878
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Broadcom Inc
        549300WV6GIDOZJTV909
        Broadcom Inc
        11135F101
        
          
        
        94.00000000
        NS
        USD
        59189.92000000
        0.937614748165
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Bank of America Corp
        9DJT3UXIJIZJI4WXO774
        Bank of America Corp
        060505104
        
          
        
        1525.00000000
        NS
        USD
        62860.50000000
        0.995759613749
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Tesla Inc
        54930043XZGB27CTOV49
        Tesla Inc
        88160R101
        
          
        
        136.00000000
        NS
        USD
        146553.60000000
        2.321523947941
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        US Bancorp
        N1GZ7BBF3NP8GI976H15
        US Bancorp
        902973304
        
          
        
        432.00000000
        NS
        USD
        22960.80000000
        0.363717077327
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Home Depot Inc/The
        QEKMOTMBBKA8I816DO57
        Home Depot Inc/The
        437076102
        
          
        
        215.00000000
        NS
        USD
        64355.95000000
        1.019448714446
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -1487.50000000
        -0.02356316646
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            3590.00000000
            USD
            2022-04-29
            XXXX
            12466.67000000
          
        
        
          N
          N
          N
        
      
      
        Intel Corp
        KNX4USFCNGPY45LOCE31
        Intel Corp
        458140100
        
          
        
        846.00000000
        NS
        USD
        41927.76000000
        0.664168597179
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Arista Networks Inc
        635400H1WKBLOQERUU95
        Arista Networks Inc
        040413106
        
          
        
        142.00000000
        NS
        USD
        19735.16000000
        0.312620410255
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Abbott Laboratories
        HQD377W2YR662HK5JX27
        Abbott Laboratories
        002824100
        
          
        
        455.00000000
        NS
        USD
        53853.80000000
        0.853086422903
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CSX Corp
        549300JVQR4N1MMP3Q88
        CSX Corp
        126408103
        
          
        
        785.00000000
        NS
        USD
        29398.25000000
        0.465691333427
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Freeport-McMoRan Inc
        549300IRDTHJQ1PVET45
        Freeport-McMoRan Inc
        35671D857
        
          
        
        483.00000000
        NS
        USD
        24024.42000000
        0.380565652194
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        ServiceNow Inc
        549300HJTQM36M0E1G39
        ServiceNow Inc
        81762P102
        
          
        
        59.00000000
        NS
        USD
        32856.51000000
        0.520472883714
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Sherwin-Williams Co/The
        Z15BMIOX8DDH0X2OBP21
        Sherwin-Williams Co/The
        824348106
        
          
        
        103.00000000
        NS
        USD
        25710.86000000
        0.407280184261
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Duke Energy Corp
        I1BZKREC126H0VB1BL91
        Duke Energy Corp
        26441C204
        
          
        
        281.00000000
        NS
        USD
        31376.46000000
        0.497027731093
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Meta Platforms Inc
        BQ4BKCS1HXDV9HN80Z93
        Meta Platforms Inc
        30303M102
        
          
        
        449.00000000
        NS
        USD
        99839.64000000
        1.581538189535
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Pfizer Inc
        765LHXWGK1KXCLTFYQ30
        Pfizer Inc
        717081103
        
          
        
        1094.00000000
        NS
        USD
        56636.38000000
        0.897164672138
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Verizon Communications Inc
        2S72QS2UO2OESLG6Y829
        Verizon Communications Inc
        92343V104
        
          
        
        918.00000000
        NS
        USD
        46762.92000000
        0.740761323199
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Oracle Corp
        1Z4GXXU7ZHVWFCD8TV52
        Oracle Corp
        68389X105
        
          
        
        369.00000000
        NS
        USD
        30527.37000000
        0.483577479657
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Raytheon Technologies Corp
        I07WOS4YJ0N7YRFE7309
        Raytheon Technologies Corp
        75513E101
        
          
        
        308.00000000
        NS
        USD
        30513.56000000
        0.483358718427
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Edwards Lifesciences Corp
        YA13X31F3V31L8TMPR58
        Edwards Lifesciences Corp
        28176E108
        
          
        
        258.00000000
        NS
        USD
        30371.76000000
        0.481112495231
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Aon PLC
        635400FALWQYX5E6QC64
        Aon PLC
        000000000
        
          
        
        92.00000000
        NS
        USD
        29957.96000000
        0.474557578738
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        AmerisourceBergen Corp
        AI8GXW8LG5WK7E9UD086
        AmerisourceBergen Corp
        03073E105
        
          
        
        87.00000000
        NS
        USD
        13459.77000000
        0.213213311640
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        TE Connectivity Ltd
        894500ZRIX9K13RHXR17
        TE Connectivity Ltd
        000000000
        
          
        
        149.00000000
        NS
        USD
        19516.02000000
        0.309149060811
        Long
        EC
        CORP
        CH
        N
        
        1
        
          N
          N
          N
        
      
      
        Roper Technologies Inc
        54930003T4SXCIWVXY35
        Roper Technologies Inc
        776696106
        
          
        
        49.00000000
        NS
        USD
        23139.27000000
        0.366544182080
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Starbucks Corp
        OQSJ1DU9TAOC51A47K68
        Starbucks Corp
        855244109
        
          
        
        413.00000000
        NS
        USD
        37570.61000000
        0.595147924402
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Emerson Electric Co
        FGLT0EWZSUIRRITFOA30
        Emerson Electric Co
        291011104
        
          
        
        182.00000000
        NS
        USD
        17845.10000000
        0.282680377714
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Yum! Brands Inc
        549300JE8XHZZ7OHN517
        Yum! Brands Inc
        988498101
        
          
        
        127.00000000
        NS
        USD
        15053.31000000
        0.238456234857
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Morgan Stanley
        IGJSJL3JD5P30I6NJZ34
        Morgan Stanley
        617446448
        
          
        
        341.00000000
        NS
        USD
        29803.40000000
        0.472109227136
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -12.50000000
        -0.00019800980
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Call
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4945.00000000
            USD
            2022-03-31
            XXXX
            28283.75000000
          
        
        
          N
          N
          N
        
      
      
        Lam Research Corp
        549300I4GMO6D34U1T02
        Lam Research Corp
        512807108
        
          
        
        48.00000000
        NS
        USD
        25805.28000000
        0.408775871103
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        HCA Healthcare Inc
        529900PH4ZGUH2MNEU89
        HCA Healthcare Inc
        40412C101
        
          
        
        83.00000000
        NS
        USD
        20801.46000000
        0.329511438423
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Otis Worldwide Corp
        549300ZLBKR8VSU25153
        Otis Worldwide Corp
        68902V107
        
          
        
        216.00000000
        NS
        USD
        16621.20000000
        0.263292841960
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        KLA Corp
        549300H0BF5JCG96TJ81
        KLA Corp
        482480100
        
          
        
        57.00000000
        NS
        USD
        20865.42000000
        0.330524614979
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Electronic Arts Inc
        549300O7A67PUEYKDL45
        Electronic Arts Inc
        285512109
        
          
        
        121.00000000
        NS
        USD
        15307.71000000
        0.242486130351
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Humana Inc
        529900YLDW34GJAO4J06
        Humana Inc
        444859102
        
          
        
        43.00000000
        NS
        USD
        18712.31000000
        0.296417664160
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Keysight Technologies Inc
        549300GLKVIO8YRCYN02
        Keysight Technologies Inc
        49338L103
        
          
        
        83.00000000
        NS
        USD
        13111.51000000
        0.207696600142
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Apple Inc
        HWUPKR0MPOU8FGXBT394
        Apple Inc
        037833100
        
          
        
        2577.00000000
        NS
        USD
        449969.97000000
        7.127877180836
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Danaher Corp
        S4BKK9OTCEWQ3YHPFM11
        Danaher Corp
        235851102
        
          
        
        175.00000000
        NS
        USD
        51332.75000000
        0.813151013954
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        -5.00000000
        NC
        USD
        -12.50000000
        -0.00019800980
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Written
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4030.00000000
            USD
            2022-03-31
            XXXX
            16233.75000000
          
        
        
          N
          N
          N
        
      
      
        Automatic Data Processing Inc
        HGBOLILQXWER4SAL2I23
        Automatic Data Processing Inc
        053015103
        
          
        
        160.00000000
        NS
        USD
        36406.40000000
        0.576705925056
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Charter Communications Inc
        0J0XRGZE3PBRFEZ7MV65
        Charter Communications Inc
        16119P108
        
          
        
        35.00000000
        NS
        USD
        19093.20000000
        0.302451260445
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Kraft Heinz Co/The
        N/A
        Kraft Heinz Co/The
        500754106
        
          
        
        339.00000000
        NS
        USD
        13353.21000000
        0.211525317678
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Extra Space Storage Inc
        N/A
        Extra Space Storage Inc
        30225T102
        
          
        
        65.00000000
        NS
        USD
        13364.00000000
        0.211696239739
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Merck & Co Inc
        4YV9Y5M8S0BRK1RP0397
        Merck & Co Inc
        58933Y105
        
          
        
        545.00000000
        NS
        USD
        44717.25000000
        0.708356306232
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Equinix Inc
        549300EVUN2BTLJ3GT74
        Equinix Inc
        29444U700
        
          
        
        31.00000000
        NS
        USD
        22990.22000000
        0.364183113198
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Options Clearing Corp.
        549300CII6SLYGKNHA04
        S+P 500 INDEX
        000000000
        
          
        
        5.00000000
        NC
        USD
        8000.00000000
        0.126726273414
        N/A
        DE
        
        US
        N
        
        1
        
          
            
              Options Clearing Corp.
              549300CII6SLYGKNHA04
            
            Put
            Purchased
            
              
                S&P 500 Index
                SPX INDEX
              
            
            100.00000000
            4165.00000000
            USD
            2022-04-29
            XXXX
            -35635.50000000
          
        
        
          N
          N
          N
        
      
      
        S&P Global Inc
        Y6X4K52KMJMZE7I7MY94
        S&P Global Inc
        78409V104
        
          
        
        88.00000000
        NS
        USD
        36095.84000000
        0.571786411122
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Eli Lilly & Co
        FRDRIPF3EKNDJ2CQJL29
        Eli Lilly & Co
        532457108
        
          
        
        194.00000000
        NS
        USD
        55555.78000000
        0.880047120756
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        JPMorgan Chase & Co
        8I5DZWZKVSZI1NUHU748
        JPMorgan Chase & Co
        46625H100
        
          
        
        545.00000000
        NS
        USD
        74294.40000000
        1.176881555949
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Amazon.com Inc
        ZXTILKJKG63JELOEG630
        Amazon.com Inc
        023135106
        
          
        
        77.00000000
        NS
        USD
        251016.15000000
        3.976292657055
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Motorola Solutions Inc
        6S552MUG6KGJVEBSEC55
        Motorola Solutions Inc
        620076307
        
          
        
        71.00000000
        NS
        USD
        17196.20000000
        0.272401292862
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Baxter International Inc
        J5OIVXX3P24RJRW5CK77
        Baxter International Inc
        071813109
        
          
        
        190.00000000
        NS
        USD
        14732.60000000
        0.233375936963
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Bristol-Myers Squibb Co
        HLYYNH7UQUORYSJQCN42
        Bristol-Myers Squibb Co
        110122108
        
          
        
        516.00000000
        NS
        USD
        37683.48000000
        0.596935873712
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Eaton Corp PLC
        549300VDIGTMXUNT7H71
        Eaton Corp PLC
        000000000
        
          
        
        140.00000000
        NS
        USD
        21246.40000000
        0.336559636935
        Long
        EC
        CORP
        IE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        ConocoPhillips
        WPTL2Z3FIYTHSP5V2253
        ConocoPhillips
        20825C104
        
          
        
        303.00000000
        NS
        USD
        30300.00000000
        0.479975760558
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
    
    
      
    
    
      2022-04-28
      GOLDMAN SACHS TRUST
      Peter Fortner
      Peter Fortner
      Vice President
    
  
  XXXX



GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 32.2%
 

Aerospace & Defense – 0.1%

  2,346      Chemring Group PLC   $              9,973
  5,126      General Dynamics Corp.   1,236,289
  1,435      Huntington Ingalls Industries, Inc.   286,196
  20,343      Leonardo SpA*   202,152
  1,322      Rheinmetall AG   279,429
  1,926      Thales SA   241,203
  708      Ultra Electronics Holdings PLC   30,762
    

 

     2,286,004

 

 

 

Air Freight & Logistics – 0.2%

  29,101      Deutsche Post AG   1,389,627
  3,276      Expeditors International of Washington, Inc.   337,952
  25,785      FedEx Corp.   5,966,391
  48,725      Royal Mail PLC   209,354
  2,700      SG Holdings Co. Ltd.   50,843
  6,016      United Parcel Service, Inc. Class B   1,290,192
  3,202      Yamato Holdings Co. Ltd.   59,814
    

 

     9,304,173

 

 

 

Airlines* – 0.0%

  5,344      Alaska Air Group, Inc.   310,006
  10,079      Southwest Airlines Co.   461,618
    

 

     771,624

 

 

 

Auto Components – 0.0%

  6,951      BorgWarner, Inc.   270,394
  4,900      Bridgestone Corp.   190,197
  3,393      Faurecia SE   88,248
  1,500      JTEKT Corp.   11,736
  1,500      Koito Manufacturing Co. Ltd.   60,704
  1,002      NGK Spark Plug Co. Ltd.   16,133
  1,200      Nifco, Inc.   27,294
  600      Stanley Electric Co. Ltd.   11,344
  626      The Yokohama Rubber Co. Ltd.   8,614
  3,038      TI Fluid Systems PLC(a)   7,587
  1,200      Toyota Boshoku Corp.   19,513
  14,029      Valeo   259,129
    

 

     970,893

 

 

 

Automobiles – 0.3%

  4,713      Bayerische Motoren Werke AG   407,286
  93,477      Ford Motor Co.   1,580,696
  174,460      General Motors Co.*   7,630,881
  4,241      Honda Motor Co. Ltd.   120,215
  5,400      Isuzu Motors Ltd.   69,757
  11,400      Mazda Motor Corp.   83,797
  8,744      Mercedes-Benz Group AG   613,737
  19,800      Nissan Motor Co. Ltd.*   87,978
  5,051      Renault SA*   132,033
  86,818      Stellantis NV   1,405,537
  1,700      Suzuki Motor Corp.   58,259
    

 

     12,190,176

 

 

 

Banks – 1.6%

  700      Aozora Bank Ltd.   14,748
  170,942      Banco Santander SA   581,190

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Banks – (continued)

  331,132      Bank of America Corp.   $     13,649,261
  10,901      BNP Paribas SA   622,934
  188,519      CaixaBank SA   639,434
  16,646      Citigroup, Inc.   888,896
  7,037      Citizens Financial Group, Inc.   318,987
  2,139      Close Brothers Group PLC   33,296
  32,519      Comerica, Inc.   2,940,693
  25,109      Credit Agricole SA   300,016
  11,198      FinecoBank Banca Fineco SpA   169,875
  26,453      First Republic Bank   4,288,031
  1,800      Hirogin Holdings, Inc.   9,485
  160,375      JPMorgan Chase & Co.   21,862,320
  4,124      KBC Group NV   295,894
  30,604      KeyCorp.   684,918
  2,400      Kyushu Financial Group, Inc.   7,847
  436,378      Lloyds Banking Group PLC   265,739
  5,843      Mebuki Financial Group, Inc.   12,167
  50,100      Mitsubishi UFJ Financial Group, Inc.   309,675
  20,943      Mizuho Financial Group, Inc.   267,135
  32,857      Nordea Bank Abp   338,188
  3,896      Prosperity Bancshares, Inc.   270,304
  3,434      Raiffeisen Bank International AG   48,753
  30,601      Regions Financial Corp.   681,178
  5,200      Seven Bank Ltd.   10,149
  10,530      Societe Generale SA   282,281
  7,300      Sumitomo Mitsui Financial Group, Inc.   230,595
  3,200      The Hachijuni Bank Ltd.   10,602
  4,900      The Shizuoka Bank Ltd.   34,391
  12,219      U.S. Bancorp   649,440
  252,087      Wells Fargo & Co.   12,216,136
  7,601      Zions Bancorp NA   498,322
    

 

     63,432,880

 

 

 

Beverages – 0.8%

  10,619      Anheuser-Busch InBev SA   634,890
  1,598      Asahi Group Holdings Ltd.   58,200
  8,213      Britvic PLC   87,067
  5,403      Brown-Forman Corp. Class B   362,109
  9,593      Coca-Cola HBC AG   200,071
  22,972      Constellation Brands, Inc. Class A   5,290,911
  13,058      Davide Campari-Milano NV   151,461
  638      Heineken Holding NV   49,957
  5,185      Heineken NV   495,841
  6,540      Molson Coors Beverage Co. Class B   349,105
  5,352      Monster Beverage Corp.*   427,625
  68,575      PepsiCo, Inc.   11,478,083
  3,311      Pernod Ricard SA   727,463
  1,200      Suntory Beverage & Food Ltd.   45,738
  182,561      The Coca-Cola Co.   11,318,782
    

 

     31,677,303

 

 

 

Biotechnology – 0.4%

  22,470      AbbVie, Inc.   3,642,612
  4,205      Amgen, Inc.   1,016,853
  11,674      Biogen, Inc.*   2,458,544
  24,809      Gilead Sciences, Inc.   1,474,895
  8,329      Grifols SA   151,177
  8,915      Incyte Corp.*   708,029
  4,698      Moderna, Inc.*   809,278

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Biotechnology – (continued)

  1,500      PeptiDream, Inc.*   $            26,657
  4,234      Regeneron Pharmaceuticals, Inc.*   2,957,110
  5,474      Vertex Pharmaceuticals, Inc.*   1,428,550
    

 

     14,673,705

 

 

 

Building Products – 0.3%

  17,929      A.O. Smith Corp.   1,145,484
  1,200      AGC, Inc.   47,946
  2,632      Allegion PLC   288,941
  114,591      Carrier Global Corp.   5,256,289
  14,287      Cie de Saint-Gobain   850,082
  3,315      Fortune Brands Home & Security, Inc.   246,238
  16,613      Johnson Controls International PLC   1,089,314
  1,992      Lixil Corp.   37,083
  54,085      Masco Corp.   2,758,335
  500      TOTO Ltd.   20,080
  1,903      Tyman PLC   7,904
    

 

     11,747,696

 

 

 

Capital Markets – 1.0%

  21,086      3i Group PLC   381,285
  27,608      abrdn PLC   77,305
  6,541      AJ Bell PLC   25,981
  14,855      Ameriprise Financial, Inc.   4,461,848
  1,096      Amundi SA(a)   74,945
  27,571      Ashmore Group PLC   83,739
  3,907      Brewin Dolphin Holdings PLC   26,215
  24,163      Cboe Global Markets, Inc.   2,764,730
  6,345      CMC Markets PLC(a)   21,213
  25,464      Deutsche Bank AG*   320,698
  2,993      Deutsche Boerse AG   538,772
  774      FactSet Research Systems, Inc.   336,032
  11,424      Franklin Resources, Inc.   318,958
  10,379      Hargreaves Lansdown PLC   136,804
  11,353      IG Group Holdings PLC   121,939
  3,884      IntegraFin Holdings PLC   21,480
  41,098      Intercontinental Exchange, Inc.   5,429,868
  4,880      Intermediate Capital Group PLC   113,299
  14,570      Invesco Ltd.   335,984
  7,926      Investec PLC   52,435
  16,255      IP Group PLC   18,978
  1,200      Jafco Group Co. Ltd.   18,291
  1,443      Japan Exchange Group, Inc.   26,794
  16,965      Jupiter Fund Management PLC   46,043
  64,379      KKR & Co., Inc.   3,764,240
  1,799      Liontrust Asset Management PLC   29,888
  21,322      Man Group PLC   65,067
  746      MarketAxess Holdings, Inc.   253,789
  6,413      Molten Ventures PLC*   64,777
  1,781      Moody’s Corp.   600,927
  12,649      Morgan Stanley   1,105,523
  3,611      Ninety One PLC   12,087
  25,400      Nomura Holdings, Inc.   106,826
  3,276      Northern Trust Corp.   381,490
  3,400      Raymond James Financial, Inc.   373,694
  18,547      S&P Global, Inc.   7,607,609
  2,900      SBI Holdings, Inc.   73,170
  5,466      State Street Corp.   476,198
  6,167      T. Rowe Price Group, Inc.   932,389

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Capital Markets – (continued)

  10,288      The Bank of New York Mellon Corp.   $          510,593
  94,372      The Charles Schwab Corp.   7,956,503
  8,213      TP ICAP Group PLC   16,000
    

 

     40,084,406

 

 

 

Chemicals – 0.4%

  2,475      Air Products & Chemicals, Inc.   618,527
  600      Air Water, Inc.   8,426
  3,522      Akzo Nobel NV   302,618
  1,103      Arkema SA   131,853
  2,320      Celanese Corp.   331,458
  4,406      CF Industries Holdings, Inc.   454,082
  17,793      Corteva, Inc.   1,022,742
  3,811      Covestro AG(a)   191,904
  400      Denka Co. Ltd   11,082
  9,362      Dow, Inc.   596,547
  2,790      Eastman Chemical Co.   312,647
  3,112      Ecolab, Inc.   549,455
  13,234      Elementis PLC*   20,487
  4,517      Evonik Industries AG   125,313
  27,571      FMC Corp.   3,627,517
  25,392      International Flavors & Fragrances, Inc.   3,334,731
  2,713      Johnson Matthey PLC   66,351
  4,677      LyondellBasell Industries NV Class A   480,889
  7,188      Mitsubishi Chemical Holdings Corp.   47,806
  600      Nippon Sanso Holdings Corp.   11,408
  3,533      PPG Industries, Inc.   463,070
  2,000      Showa Denko KK   39,489
  1,048      Solvay SA   103,286
  200      Sumitomo Bakelite Co. Ltd.   8,097
  8,310      Sumitomo Chemical Co. Ltd.   38,050
  7,150      Synthomer PLC   28,570
  1,833      Teijin Ltd.   20,396
  7,780      The Mosaic Co.   517,370
  2,559      The Sherwin-Williams Co.   638,778
  1,000      Tosoh Corp.   14,780
  3,897      Umicore SA   168,457
  1,510      Victrex PLC   36,096
  1,600      Zeon Corp.   17,759
    

 

     14,340,041

 

 

 

Commercial Services & Supplies – 0.2%

  3,084      Biffa PLC(a)   12,860
  1,294      Cintas Corp.   550,455
  27,171      Copart, Inc.*   3,409,145
  700      Dai Nippon Printing Co. Ltd.   16,412
  200      Duskin Co. Ltd.   4,397
  4,060      Elis SA*   59,825
  12,305      IAA, Inc.*   470,666
  1,500      Park24 Co. Ltd.*   24,546
  35,566      Rentokil Initial PLC   244,995
  9,821      Rollins, Inc.   344,226
  28,710      Serco Group PLC   54,052
  700      Sohgo Security Services Co. Ltd.   22,828
  1,000      Toppan, Inc.   17,640

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Commercial Services & Supplies – (continued)

  4,072      Waste Management, Inc.   $          645,412
    

 

     5,877,459

 

 

 

Communications Equipment – 0.4%

  225,660      Cisco Systems, Inc.   12,582,802
  1,503      F5, Inc.*   314,052
  16,196      Juniper Networks, Inc.   601,843
  2,173      Motorola Solutions, Inc.   526,301
  167,198      Nokia Oyj*   920,762
    

 

     14,945,760

 

 

 

Construction & Engineering – 0.0%

  176      Ackermans & van Haaren NV   32,793
  5,454      ACS Actividades de Construccion y Servicios SA   147,037
  786      Arcadis NV   35,315
  6,623      Balfour Beatty PLC   22,318
  3,110      Eiffage SA   319,186
  2,500      JGC Holdings Corp.   29,881
  610      Morgan Sindall Group PLC   19,207
  2,932      Quanta Services, Inc.   385,880
  1,461      Taisei Corp.   42,178
  5,806      Vinci SA   593,214
    

 

     1,627,009

 

 

 

Construction Materials – 0.1%

  50,398      CRH PLC (Construction Materials)   2,010,864
  17,289      Eagle Materials, Inc.   2,219,216
  7,664      HeidelbergCement AG   434,351
  1,119      Taiheiyo Cement Corp.   18,439
  1,070      Wienerberger AG   32,309
    

 

     4,715,179

 

 

 

Consumer Finance – 0.1%

  4,957      American Express Co.   926,959
  4,723      Capital One Financial Corp.   620,083
  1,029      Credit Saison Co. Ltd.   10,919
  7,700      Discover Financial Services   848,463
  19,204      Synchrony Financial   668,491
    

 

     3,074,915

 

 

 

Containers & Packaging – 0.2%

  29,571      Amcor PLC   335,039
  1,980      Avery Dennison Corp.   344,461
  57,111      Ball Corp.   5,139,990
  16,331      DS Smith PLC   68,684
  7,916      International Paper Co.   365,323
  3,870      Sealed Air Corp.   259,135
  2,614      Smurfit Kappa Funding PLC   116,200
  3,264      Smurfit Kappa Group PLC   144,978
  7,446      Westrock Co.   350,185
    

 

     7,123,995

 

 

 

Distributors – 0.0%

  297      D’ieteren Group   50,010
  5,252      Genuine Parts Co.   661,857
  8,697      Inchcape PLC   76,100

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Distributors – (continued)

  13,531      LKQ Corp.   $          614,443
    

 

     1,402,410

 

 

 

Diversified Consumer Services – 0.0%

  17,122      ADT, Inc.   129,956
    

 

     129,956

 

 

 

Diversified Financial Services – 0.8%

  84,743      Berkshire Hathaway, Inc. Class B*   29,906,652
  28,414      Chrysalis Investments Ltd.*   65,646
  1,176      Eurazeo SE   98,870
  3,086      EXOR NV   234,597
  3,000      Mitsubishi HC Capital, Inc.   13,940
  5,977      Plus500 Ltd.   110,286
  263      Sofina SA   95,566
    

 

     30,525,557

 

 

 

Diversified Telecommunication Services – 0.2%

  56,495      AT&T, Inc.   1,334,977
  63,635      BT Group PLC   151,725
  38,455      Deutsche Telekom AG   716,191
  3,970      Elisa Oyj   239,418
  500      Internet Initiative Japan, Inc.   16,606
  405,503      Lumen Technologies, Inc.   4,570,019
  11,977      Nippon Telegraph & Telephone Corp.   347,978
  28,982      Orange SA   343,184
  4,993      Proximus SADP   92,977
  75,655      Telefonica SA   366,644
  3,201      United Internet AG   109,852
    

 

     8,289,571

 

 

 

Electric Utilities – 0.4%

  521      Acciona SA   99,581
  5,515      American Electric Power Co., Inc.   550,232
  2,520      Chubu Electric Power Co., Inc.   26,082
  27,124      Duke Energy Corp.   3,028,666
  5,782      Edison International   405,318
  70,703      EDP - Energias de Portugal SA   347,992
  563      Elia Group SA   85,897
  164,121      Enel SpA   1,095,795
  3,298      Entergy Corp.   385,041
  17,904      Evergy, Inc.   1,223,559
  16,670      Eversource Energy   1,470,127
  12,165      Exelon Corp.   579,419
  9,245      FirstEnergy Corp.   423,976
  10,078      Fortum Oyj   184,196
  3,102      Hawaiian Electric Industries, Inc.   131,246
  162,599      Iberdrola SA   1,777,202
  1,932      IDACORP, Inc.   222,876
  8,817      NRG Energy, Inc.   338,220
  3,263      Pinnacle West Capital Corp.   254,840
  58,198      PPL Corp.   1,662,135
  19,094      SSE PLC   436,280
  30,357      Terna - Rete Elettrica Nazionale   260,684
  1,300      The Chugoku Electric Power Co., Inc.   9,040
  21,426      Xcel Energy, Inc.   1,546,314
    

 

     16,544,718

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Electrical Equipment – 0.2%

  11,358      Acuity Brands, Inc.   $       2,150,070
  12,767      Eaton Corp. PLC   1,937,520
  6,497      Emerson Electric Co.   637,031
  700      Fuji Electric Co. Ltd.   34,889
  2,891      Hubbell, Inc.   531,279
  6,075      Mitsubishi Electric Corp.   69,673
  4,697      Prysmian SpA   159,398
  10,768      Rockwell Automation, Inc.   3,015,363
  11,131      Siemens Energy AG*   253,238
  3,124      Signify NV(a)   145,320
  161      XP Power Ltd.   7,328
    

 

     8,941,109

 

 

 

Electronic Equipment, Instruments & Components – 0.3%

  1,600      Anritsu Corp.   20,260
  300      Azbil Corp.   9,957
  2,040      CDW Corp.   364,936
  40,029      Corning, Inc.   1,477,470
  336      Horiba Ltd.   18,309
  1,541      IPG Photonics Corp.*   169,140
  22,027      Keysight Technologies, Inc.*   3,479,605
  2,400      Kyocera Corp.   134,303
  697      Nippon Electric Glass Co. Ltd.   15,417
  1,100      Omron Corp.   73,203
  386      Oxford Instruments PLC   10,640
  462      Renishaw PLC   23,320
  700      Shimadzu Corp.   24,076
  2,378      Spectris PLC   80,649
  2,834      SYNNEX Corp.   292,497
  812      Teledyne Technologies, Inc.*   383,776
  5,021      Trimble, Inc.*   362,215
  944      Yokogawa Electric Corp.   16,084
  10,128      Zebra Technologies Corp. Class A*   4,189,954
    

 

     11,145,811

 

 

 

Energy Equipment & Services – 0.1%

  27,424      Baker Hughes Co.   998,508
  13,059      Halliburton Co.   494,544
  13,240      John Wood Group PLC*   27,925
  29,640      Schlumberger N.V   1,224,428
    

 

     2,745,405

 

 

 

Entertainment – 0.7%

  6,306      Bollore SE   33,021
  1,400      Capcom Co. Ltd.   33,942
  700      DeNA Co. Ltd.   10,634
  3,477      Electronic Arts, Inc.   439,875
  1,200      GungHo Online Entertainment, Inc.   25,479
  600      Konami Holdings Corp.   37,845
  27,567      Netflix, Inc.*   10,326,323
  2,400      Nexon Co. Ltd.   57,417
  700      Square Enix Holdings Co. Ltd.   31,009
  27,338      Take-Two Interactive Software, Inc.*   4,202,944
  88,998      The Walt Disney Co.*   12,206,966
  11,034      Ubisoft Entertainment SA*   484,865

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Entertainment – (continued)

  15,420      Universal Music Group NV   $          411,623
    

 

     28,301,943

 

 

 

Equity Real Estate Investment Trusts (REITs) – 0.8%

  30,342      American Tower Corp.   7,622,517
  44,243      Assura PLC   38,882
  2,534      Big Yellow Group PLC   51,086
  12,776      BMO Commercial Property Trust Ltd.   19,324
  2,693      Boston Properties, Inc.   346,858
  7,243      Cousins Properties, Inc.   291,820
  34,609      Crown Castle International Corp.   6,388,821
  1,591      Derwent London PLC   66,784
  3,949      Digital Realty Trust, Inc.   559,968
  4,466      EPR Properties   244,335
  7,866      Equinix, Inc.   5,833,583
  2,095      Federal Realty Investment Trust   255,737
  1,092      Gecina SA   137,623
  6,897      Highwoods Properties, Inc.   315,469
  16,820      Iron Mountain, Inc.   931,996
  5,478      Kilroy Realty Corp.   418,629
  5,354      Klepierre SA   142,545
  17,346      LondonMetric Property PLC   62,742
  20,135      LXI REIT Plc   39,106
  5,522      Merlin Properties Socimi SA   64,559
  5,283      Mid-America Apartment Communities, Inc.   1,106,524
  32,197      Primary Health Properties PLC   62,557
  5,228      Public Storage   2,040,384
  12,584      Regency Centers Corp.   897,743
  2,660      Safestore Holdings PLC   46,824
  1,579      SBA Communications Corp.   543,334
  4,198      Simon Property Group, Inc.   552,289
  20,636      STORE Capital Corp.   603,190
  5,595      Sun Communities, Inc.   980,747
  49,437      Tritax Big Box REIT PLC   156,533
  2,552      Unibail-Rodamco-Westfield*   191,163
  6,631      Ventas, Inc.   409,531
  12,168      Vornado Realty Trust   551,454
  24,199      Weyerhaeuser Co.   917,142
  2,058      Workspace Group PLC   18,382
    

 

     32,910,181

 

 

 

Food & Staples Retailing – 0.3%

  2,312      Aeon Co. Ltd.   49,298
  11,701      Carrefour SA   254,638
  200      Cosmos Pharmaceutical Corp.   24,240
  2,843      Costco Wholesale Corp.   1,637,141
  9,135      HelloFresh SE*   410,013
  25,039      J Sainsbury PLC   82,874
  9,887      Jeronimo Martins SGPS SA   237,188
  31,855      Koninklijke Ahold Delhaize NV   1,024,632
  431      Lawson, Inc.   16,499
  29,823      Marks & Spencer Group PLC*   60,193
  1,500      MatsukiyoCocokara & Co.   53,058
  2,172      Seven & i Holdings Co. Ltd.   103,555
  119,377      Tesco PLC   432,181
  97,238      The Kroger Co.   5,578,544
  11,151      Walgreens Boots Alliance, Inc.   499,230
    

 

     10,463,284

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Food Products – 0.4%

  1,600      Ajinomoto Co., Inc.   $            45,412
  7,749      Archer-Daniels-Midland Co.   699,425
  100      Ariake Japan Co. Ltd.   4,241
  13,102      Associated British Foods PLC   284,616
  27,444      Bunge Ltd.   3,041,070
  6,484      Campbell Soup Co.   288,992
  8,609      Conagra Brands, Inc.   289,004
  500      Ezaki Glico Co. Ltd.   15,257
  14,867      Flowers Foods, Inc.   382,231
  37,729      General Mills, Inc.   2,555,008
  3,950      Glanbia PLC   45,824
  13,643      Greencore Group PLC*   23,030
  4,975      JDE Peet’s NV   142,708
  1,951      Kerry Group PLC Class A   218,203
  400      Kewpie Corp.   7,664
  4,499      Lamb Weston Holdings, Inc.   269,535
  500      MEIJI Holdings Co. Ltd.   27,116
  49,501      Mondelez International, Inc. Class A   3,107,673
  1,683      Nippon Suisan Kaisha Ltd.   7,540
  732      Nisshin Seifun Group, Inc.   10,212
  5,627      Premier Foods PLC   8,427
  2,347      The Hershey Co.   508,431
  4,691      The J.M. Smucker Co.   635,208
  13,833      The Kraft Heinz Co.   544,882
  1,100      Toyo Suisan Kaisha Ltd.   39,360
  5,377      Tyson Foods, Inc. Class A   481,941
  500      Yakult Honsha Co. Ltd.   26,672
  1,387      Yamazaki Baking Co. Ltd.   17,058
    

 

     13,726,740

 

 

 

Gas Utilities – 0.0%

  13,326      Enagas SA   295,921
  16,503      Italgas SpA   105,875
  55,740      Snam SpA   321,427
  400      Toho Gas Co. Ltd.   8,903
    

 

     732,126

 

 

 

Health Care Equipment & Supplies – 0.9%

  111,098      Abbott Laboratories   13,149,559
  969      ABIOMED, Inc.*   320,972
  5,924      Baxter International, Inc.   459,347
  14,591      Boston Scientific Corp.*   646,235
  937      Carl Zeiss Meditec AG   150,929
  49,432      ConvaTec Group PLC(a)   140,003
  5,539      DENTSPLY SIRONA, Inc.   272,630
  1,242      DiaSorin SpA   193,992
  5,973      Edwards Lifesciences Corp.*   703,142
  4,032      Globus Medical, Inc. Class A*   297,481
  10,362      Hologic, Inc.*   796,009
  1,319      Hoya Corp.   150,311
  1,609      ICU Medical, Inc.*   358,228
  21,080      Intuitive Surgical, Inc.*   6,359,414
  1,800      Jeol Ltd.   99,510
  38,423      Koninklijke Philips NV   1,171,659
  20,919      Masimo Corp.*   3,044,551
  400      Menicon Co. Ltd.   9,571
  5,800      Olympus Corp.   109,925
  6,855      Siemens Healthineers AG(a)   424,809
  32,542      Smith & Nephew PLC   517,576

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Health Care Equipment & Supplies – (continued)

  13,584      STERIS PLC   $       3,284,204
  2,700      Terumo Corp.   81,698
  2,708      The Cooper Cos., Inc.   1,130,834
  6,559      Zimmer Biomet Holdings, Inc.   838,896
  657      Zimvie, Inc.   15,001
    

 

     34,726,486

 

 

 

Health Care Providers & Services – 1.1%

  572      Alfresa Holdings Corp.   7,929
  3,014      AmerisourceBergen Corp.   466,296
  3,949      Amplifon SpA   175,749
  17,394      Anthem, Inc.   8,544,281
  5,998      Cardinal Health, Inc.   340,087
  7,518      Centene Corp.*   632,940
  24,488      Cigna Corp.   5,867,570
  90,680      CVS Health Corp.   9,177,723
  2,687      DaVita, Inc.*   303,926
  8,744      Fresenius Medical Care AG & Co. KGaA   585,942
  7,558      Fresenius SE & Co. KGaA   277,503
  831      H.U. Group Holdings, Inc.   19,736
  5,307      HCA Healthcare, Inc.   1,330,040
  3,882      Henry Schein, Inc.*   338,472
  17,417      Humana, Inc.   7,579,356
  3,282      Laboratory Corp. of America Holdings*   865,332
  2,007      McKesson Corp.   614,403
  3,237      Mediclinic International PLC*   15,062
  1,770      Medipal Holdings Corp.   29,124
  4,116      Premier, Inc. Class A   146,488
  5,724      Quest Diagnostics, Inc.   783,387
  3,751      Spire Healthcare Group PLC*(a)   11,971
  10,700      UnitedHealth Group, Inc.   5,456,679
    

 

     43,569,996

 

 

 

Health Care Technology – 0.0%

  4,252      Cerner Corp.   397,817
    

 

     397,817

 

 

 

Hotels, Restaurants & Leisure – 1.0%

  6,977      888 Holdings PLC   16,910
  12,293      Aramark   462,217
  3,189      Booking Holdings, Inc.*   7,489,207
  59,520      Caesars Entertainment, Inc.*   4,604,467
  342      Chipotle Mexican Grill, Inc.*   541,054
  2,628      Choice Hotels International, Inc.   372,545
  22,991      Compass Group PLC   494,768
  4,902      Darden Restaurants, Inc.   651,721
  10,990      Domino’s Pizza Group PLC   54,659
  3,550      Domino’s Pizza, Inc.   1,444,886
  17,985      Entain PLC*   385,257
  23,460      Expedia Group, Inc.*   4,590,418
  6,652      Flutter Entertainment PLC* (Hotels, Restaurants & Leisure)   768,906
  3,607      Greggs PLC   115,848
  2,968      La Francaise des Jeux SAEM(a)   117,748
  47,478      McDonald’s Corp.   11,740,360
  7,748      MGM Resorts International   324,951
  8,214      Mitchells & Butlers PLC*   25,125
  6,574      Penn National Gaming, Inc.*   278,869

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Hotels, Restaurants & Leisure – (continued)

  5,762      Playtech PLC*   $            44,810
  1,898      Rank Group PLC*   3,356
  1,700      Skylark Co. Ltd.   21,966
  3,969      Sodexo SA   322,981
  13,037      SSP Group PLC*   38,668
  9,919      Starbucks Corp.   902,331
  1,000      Sushiro Global Holdings Ltd.   27,892
  19,260      The Wendy’s Co.   423,142
  8,038      Trainline PLC*(a)   26,398
  16,222      Yum! Brands, Inc.   1,922,794
    

 

     38,214,254

 

 

 

Household Durables – 0.2%

  1,635      Bellway PLC   51,974
  2,452      Berkeley Group Holdings PLC   119,600
  1,700      Casio Computer Co. Ltd.   19,461
  7,083      Crest Nicholson Holdings plc   24,746
  5,456      D.R. Horton, Inc.   406,526
  848      Iida Group Holdings Co. Ltd.   14,620
  57,272      Lennar Corp. Class A   4,648,768
  2,088      Mohawk Industries, Inc.*   259,330
  2,700      Nikon Corp.   28,831
  66      NVR, Inc.*   294,840
  600      Open House Co. Ltd.   26,552
  15,496      Persimmon PLC   434,529
  12,674      PulteGroup, Inc.   531,041
  300      Rinnai Corp.   22,441
  309      SEB SA   43,093
  2,100      Sekisui Chemical Co. Ltd.   30,091
  4,324      Sekisui House Ltd.   83,640
  2,900      Sharp Corp.   27,070
  800      Sumitomo Forestry Co. Ltd.   14,096
  41,574      Taylor Wimpey PLC   70,797
  2,160      Vistry Group PLC   26,577
  1,626      Whirlpool Corp.   280,940
    

 

     7,459,563

 

 

 

Household Products – 0.2%

  3,100      Pigeon Corp.   54,518
  2,597      The Clorox Co.   361,061
  35,376      The Procter & Gamble Co.   5,405,453
    

 

     5,821,032

 

 

 

Independent Power and Renewable Electricity Producers – 0.1%

  7,904      ContourGlobal PLC(a)   19,754
  11,970      Drax Group PLC   123,095
  182,716      The AES Corp.   4,701,283
  1,357      Uniper SE   35,057
    

 

     4,879,189

 

 

 

Industrial Conglomerates – 0.3%

  20,338      3M Co.   3,027,921
  3,484      DCC PLC   269,780
  9,447      General Electric Co.   864,401
  44,862      Honeywell International, Inc.   8,729,248
  1,000      Keihan Holdings Co. Ltd.   24,515
  44,136      Melrose Industries PLC   71,595
  2,154      Nisshinbo Holdings, Inc.   18,654

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Industrial Conglomerates – (continued)

  15,653      Smiths Group PLC   $          296,561
    

 

     13,302,675

 

 

 

Insurance – 1.1%

  4,031      Admiral Group PLC   135,179
  35,406      Aegon NV   187,692
  8,024      Aflac, Inc.   516,665
  9,537      American International Group, Inc.   598,638
  20,619      Aon PLC Class A   6,714,165
  66,338      Arch Capital Group Ltd.*   3,212,086
  21,174      Arthur J. Gallagher & Co.   3,696,980
  2,868      ASR Nederland NV   133,895
  1,516      Assurant, Inc.   275,654
  29,840      Aviva PLC   176,561
  17,828      Beazley PLC   98,027
  3,933      Chubb Ltd.   841,269
  5,794      Cincinnati Financial Corp.   787,752
  4,900      Dai-ichi Life Holdings, Inc.   99,572
  79,242      Direct Line Insurance Group PLC   285,538
  971      Everest Re Group Ltd.   292,640
  76,089      Fidelity National Financial, Inc.   3,716,187
  50,893      First American Financial Corp.   3,298,884
  2,452      Globe Life, Inc.   246,671
  15,692      Japan Post Holdings Co. Ltd.   115,246
  1,188      Japan Post Insurance Co. Ltd.   20,689
  144,218      Legal & General Group PLC   511,309
  4,390      Lincoln National Corp.   286,930
  5,148      Loews Corp.   333,693
  2,423      Markel Corp.*   3,574,507
  4,652      Marsh & McLennan Cos., Inc.   792,794
  8,823      MetLife, Inc.   620,080
  1,500      MS&AD Insurance Group Holdings, Inc.   48,702
  4,846      Principal Financial Group, Inc.   355,745
  4,812      Prudential Financial, Inc.   568,634
  5,995      Sampo Oyj Class A   292,941
  1,291      Sompo Holdings, Inc.   56,727
  7,934      The Allstate Corp.   1,098,938
  5,518      The Hartford Financial Services Group, Inc.   396,248
  52,077      The Progressive Corp.   5,936,257
  2,990      The Travelers Cos., Inc.   546,363
  1,900      Tokio Marine Holdings, Inc.   110,567
  4,503      W.R. Berkley Corp.   299,855
  1,883      Willis Towers Watson PLC   444,802
    

 

     41,725,082

 

 

 

Interactive Media & Services – 2.4%

  19,959      Alphabet, Inc. Class A*   55,512,965
  17,579      Auto Trader Group PLC(a)   145,119
  26,156      IAC/InterActiveCorp.*   2,622,924
  900      Kakaku.com, Inc.   20,099
  4,165      Match Group, Inc.*   452,902
  144,521      Meta Platforms, Inc. Class A*   32,135,690
  9,574      Moneysupermarket.com Group PLC   23,812
  14,937      Rightmove PLC   123,449
  10,409      Trustpilot Group PLC*(a)   19,667
    

 

     91,056,627

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Internet & Direct Marketing Retail – 0.2%

  2,228      Amazon.com, Inc.*   $       7,263,169
  8,465      eBay, Inc.   484,706
  2,719      Etsy, Inc.*   337,917
  3,690      Moonpig Group PLC*   10,743
  20,717      Prosus NV*   1,117,223
  8,100      Rakuten Group, Inc.   63,688
  1,000      ZOZO, Inc.   26,705
    

 

     9,304,151

 

 

 

IT Services – 1.5%

  20,390      Accenture PLC Class A   6,876,120
  577      Adyen NV*(a)   1,142,860
  7,080      Akamai Technologies, Inc.*   845,281
  524      Alten SA   79,086
  9,326      Atos SE   254,660
  10,629      Automatic Data Processing, Inc.   2,418,523
  5,501      Broadridge Financial Solutions, Inc.   856,561
  1,986      Capgemini SE   440,699
  93,561      Capita PLC*   25,451
  6,878      Cognizant Technology Solutions Corp.
Class A
  616,750
  876      Computacenter PLC   33,679
  9,303      DXC Technology Co.*   303,557
  7,892      EPAM Systems, Inc.*   2,340,846
  7,414      Fidelity National Information Services, Inc.   744,514
  16,600      Finablr PLC*(a)(b)  
  7,395      Fiserv, Inc.*   749,853
  1,602      FleetCor Technologies, Inc.*   398,994
  1,563      Fujitsu Ltd.   234,178
  2,856      Gartner, Inc.*   849,546
  8,896      Genpact Ltd.   387,065
  4,139      Global Payments, Inc.   566,381
  1,000      GMO internet, Inc.   22,705
  15,416      International Business Machines Corp.   2,004,388
  1,596      Jack Henry & Associates, Inc.   314,492
  47,124      Mastercard, Inc. Class A   16,841,175
  3,803      NCC Group PLC   9,122
  1,354      NEC Corp.   56,883
  22,927      Nexi SpA*   264,571
  3,285      NTT Data Corp.   64,558
  1,300      Otsuka Corp.   46,093
  10,273      PayPal Holdings, Inc.*   1,188,072
  306      Reply SpA   50,274
  1,286      SCSK Corp.   21,991
  200      SHIFT, Inc.*   35,091
  900      TIS, Inc.   21,062
  1,881      VeriSign, Inc.*   418,447
  79,101      Visa, Inc. Class A   17,542,229
  11,898      Worldline SA*(a)   516,375
    

 

     59,582,132

 

 

 

Leisure Products – 0.0%

  3,385      Hasbro, Inc.   277,299
  600      Yamaha Corp.   26,074
    

 

     303,373

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Life Sciences Tools & Services – 1.2%

  160,025      Avantor, Inc.*   $       5,412,046
  587      Bio-Rad Laboratories, Inc. Class A*   330,616
  7,561      Bio-Techne Corp.   3,274,215
  13,452      Charles River Laboratories International, Inc.*   3,819,964
  41,786      Danaher Corp.   12,257,087
  5,649      Eurofins Scientific SE   558,815
  14,971      Illumina, Inc.*   5,230,867
  32,097      IQVIA Holdings, Inc.*   7,421,147
  3,672      Mettler-Toledo International, Inc.*   5,042,354
  4,515      PerkinElmer, Inc.   787,687
  5,735      QIAGEN N.V.*   281,015
  5,566      QIAGEN NV*   273,123
  2,764      Thermo Fisher Scientific, Inc.   1,632,557
  1,000      Waters Corp.*   310,390
    

 

     46,631,883

 

 

 

Machinery – 0.2%

  2,720      Aalberts NV   140,967
  2,700      Amada Co. Ltd.   23,738
  948      ANDRITZ AG   43,782
  17,274      CNH Industrial NV   272,079
  2,055      Cummins, Inc.   421,501
  600      Daifuku Co. Ltd.   42,811
  8,487      Daimler Truck Holding AG*   235,387
  1,800      DMG Mori Co. Ltd.   24,383
  1,000      Ebara Corp.   55,471
  3,542      Fluidra SA   102,486
  5,869      Fortive Corp.   357,598
  5,291      GEA Group AG   216,864
  4,100      Hino Motors Ltd.   23,968
  1,521      Hitachi Construction Machinery Co. Ltd.   39,410
  100      Hoshizaki Corp.   6,860
  1,200      IHI Corp.   28,670
  9,016      IMI PLC   160,521
  6,883      Ingersoll Rand, Inc.   346,559
  2,203      Knorr-Bremse AG   168,875
  1,000      Kurita Water Industries Ltd.   36,911
  1,000      MISUMI Group, Inc.   29,771
  3,600      Mitsubishi Heavy Industries Ltd.   118,174
  2,442      Morgan Crucible Co. PLC   9,900
  1,162      Nabtesco Corp.   30,680
  1,100      NGK Insulators Ltd.   15,692
  1,409      Nordson Corp.   319,956
  5,100      NTN Corp.*   8,851
  6,189      Otis Worldwide Corp.   476,244
  14,507      Outotec Oyj   122,289
  1,683      Parker-Hannifin Corp.   477,568
  4,857      Pentair PLC   263,298
  62      Rational AG   42,701
  11,174      Rotork PLC   47,579
  1,497      Snap-on, Inc.   307,604
  1,100      Sumitomo Heavy Industries Ltd.   25,207
  700      The Japan Steel Works Ltd.   21,696
  1,100      Toyota Industries Corp.   75,871
  6,137      Valmet Oyj   190,483
  26,166      Wartsila OYJ Abp   238,918

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Machinery – (continued)

  4,053      Westinghouse Air Brake Technologies Corp.   $          389,777
    

 

     5,961,100

 

 

 

Marine – 0.0%

  371      Clarkson PLC   17,927
  3,200      Mitsui OSK Lines Ltd.   88,892
  1,300      Nippon Yusen KK   113,717
    

 

     220,536

 

 

 

Media – 0.2%

  3,679      Ascential PLC*   16,751
  1,497      Charter Communications, Inc. Class A*   816,643
  34,466      Comcast Corp. Class A   1,613,698
  9,600      CyberAgent, Inc.   118,796
  1,609      Dentsu Group, Inc.   65,754
  2,669      Euromoney Institutional Investor PLC   34,435
  41,561      Fox Corp. Class A   1,639,582
  4,085      Future PLC   138,807
  800      Hakuhodo DY Holdings, Inc.   10,042
  50,606      ITV PLC*   54,160
  28,062      News Corp. Class A   621,573
  4,098      Omnicom Group, Inc.   347,838
  20,838      Pearson PLC   204,317
  12,634      ProSiebenSat.1 Media SE   160,928
  3,704      Publicis Groupe SA   224,809
  163,991      Sirius XM Holdings, Inc.   1,085,620
  1,100      TBS Holdings, Inc.   16,031
  9,604      The Interpublic Group of Cos., Inc.   340,462
  12,462      Trinity Mirror PLC   29,991
  9,700      WPP PLC   126,955
    

 

     7,667,192

 

 

 

Metals & Mining – 0.2%

  41,447      Alcoa Corp.   3,731,473
  7,296      Anglo American PLC   379,117
  10,878      ArcelorMittal SA   348,467
  1,523      Endeavour Mining PLC   37,816
  7,048      Evraz PLC   7,489
  9,044      Ferrexpo PLC   21,958
  15,156      Freeport-McMoRan, Inc.   753,859
  75,407      Glencore PLC   490,651
  13,534      Hochschild Mining PLC   22,722
  9,600      Kobe Steel Ltd.   46,171
  700      Mitsui Mining & Smelting Co. Ltd.   19,126
  7,000      Nippon Steel Corp.   123,513
  4,222      Nucor Corp.   627,600
  2,999      Raspadskaya OJSC(b)  
  4,013      voestalpine AG   119,412
    

 

     6,729,374

 

 

 

Multi-Utilities – 0.1%

  234,996      A2A SpA   402,494
  80,431      Centrica PLC*   84,135
  14,948      Consolidated Edison, Inc.   1,415,277

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Multi-Utilities – (continued)

  8,085      DTE Energy Co.   $       1,068,918
  27,690      Hera SpA   102,014
  29,183      National Grid PLC   448,490
  8,637      RWE AG   376,077
    

 

     3,897,405

 

 

 

Multiline Retail – 0.1%

  21,438      B&M European Value Retail SA   149,986
  6,204      Dollar Tree, Inc.*   993,571
  2,500      Isetan Mitsukoshi Holdings Ltd.   19,675
  7,218      J. Front Retailing Co. Ltd.   58,556
  2,933      Next PLC   230,682
  5,700      Ryohin Keikaku Co. Ltd.   66,115
  8,830      Target Corp.   1,873,903
    

 

     3,392,488

 

 

 

Oil, Gas & Consumable Fuels – 1.3%

  19,439      APA Corp.   803,414
  102,293      BP PLC   501,479
  88,483      Chevron Corp.   14,407,687
  11,140      ConocoPhillips   1,114,000
  400      Cosmo Energy Holdings Co. Ltd.   8,568
  17,513      Devon Energy Corp.   1,035,544
  5,697      Diamondback Energy, Inc.   780,945
  4,776      DTE Midstream LLC*   259,146
  31,999      Eni SpA   466,648
  5,759      EOG Resources, Inc.   686,646
  195,674      Exxon Mobil Corp.   16,160,716
  13,628      Harbour Energy PLC*   86,161
  1,100      Idemitsu Kosan Co. Ltd.   30,322
  10,700      Inpex Corp.   125,803
  200      Iwatani Corp.   8,429
  114,099      Kinder Morgan, Inc.   2,157,612
  32,408      Marathon Oil Corp.   813,765
  20,847      Marathon Petroleum Corp.   1,782,418
  8,196      Neste Oyj   373,681
  12,620      Occidental Petroleum Corp.   716,059
  2,365      OMV AG   113,005
  19,959      ONEOK, Inc.   1,409,704
  11,427      Phillips 66   987,179
  5,237      Pioneer Natural Resources Co.   1,309,407
  86,455      Repsol SA   1,132,491
  20,227      Shell PLC   554,396
  55,710      TotalEnergies SE   2,818,899
  11,445      Valero Energy Corp.   1,162,125
    

 

     51,806,249

 

 

 

Paper & Forest Products – 0.0%

  5,952      Oji Holdings Corp.   29,529
  9,741      Stora Enso Oyj Class R   191,093
    

 

     220,622

 

 

 

Personal Products – 0.2%

  2,135      Beiersdorf AG   224,290
  500      Fancl Corp. Class C   11,138
  200      Kose Corp.   20,925
  2,991      L’Oreal SA   1,194,740
  1,700      Pola Orbis Holdings, Inc.   22,136
  2,100      Shiseido Co. Ltd.   106,068

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Personal Products – (continued)

  18,357      The Estee Lauder Cos., Inc. Class A   $       4,998,978
    

 

     6,578,275

 

 

 

Pharmaceuticals – 1.3%

  4,506      Astellas Pharma, Inc.   70,406
  8,906      AstraZeneca PLC   1,181,051
  20,032      Bayer AG   1,370,170
  33,875      Bristol-Myers Squibb Co.   2,473,891
  2,526      Chugai Pharmaceutical Co. Ltd.   84,289
  4,000      Daiichi Sankyo Co. Ltd.   87,348
  1,300      Eisai Co. Ltd.   60,227
  37,348      Eli Lilly & Co.   10,695,347
  58,068      GlaxoSmithKline PLC   1,256,414
  2,416      Hikma Pharmaceuticals PLC   65,179
  18,191      Indivior PLC*   66,958
  991      Ipsen SA   124,048
  116,191      Johnson & Johnson   20,592,531
  2,200      Kyowa Kirin Co. Ltd.   51,181
  114,589      Merck & Co., Inc.   9,402,027
  5,135      Merck KGaA   1,072,365
  400      Nippon Shinyaku Co. Ltd.   27,196
  1,561      Orion Oyj Class B   70,896
  2,101      Otsuka Holdings Co. Ltd.   72,585
  39,060      Pfizer, Inc.   2,022,136
  3,841      Recordati Industria Chimica e Farmaceutica SpA   192,585
  4,679      Santen Pharmaceutical Co. Ltd.   46,783
  3,900      Shionogi & Co. Ltd.   239,629
  1,174      Sumitomo Dainippon Pharma Co. Ltd.   11,582
  6,343      Takeda Pharmaceutical Co. Ltd.   180,726
  2,951      UCB SA   352,930
  27,742      Viatris, Inc.   301,833
    

 

     52,172,313

 

 

 

Professional Services – 0.3%

  8,571      Booz Allen Hamilton Holding Corp.   752,877
  11,790      CACI International, Inc. Class A*   3,551,855
  13,298      Equifax, Inc.   3,152,956
  2,693      Intertek Group PLC   183,710
  2,957      Jacobs Engineering Group, Inc.   407,504
  3,551      Leidos Holdings, Inc.   383,579
  200      Meitec Corp.   10,834
  16,746      Nielsen Holdings PLC   456,161
  4,000      Outsourcing, Inc.   41,215
  900      Persol Holdings Co. Ltd.   20,166
  22,145      RELX PLC   689,102
  2,635      Robert Half International, Inc.   300,864
  400      TechnoPro Holdings, Inc.   10,806
  2,815      Wolters Kluwer NV   300,097
    

 

     10,261,726

 

 

 

Real Estate Management & Development – 0.1%

  2,100      Aeon Mall Co. Ltd.   27,945
  17,015      Aroundtown SA   97,230
  5,296      CBRE Group, Inc. Class A*   484,690
  500      Daito Trust Construction Co. Ltd.   53,072
  1,500      Daiwa House Industry Co. Ltd.   39,103
  7,873      Grainger PLC   30,026

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Real Estate Management & Development – (continued)

  9,800      Hulic Co. Ltd.   $            87,920
  8,051      IWG PLC*   27,543
  1,245      LEG Immobilien SE   141,778
  4,100      Mitsubishi Estate Co. Ltd.   61,051
  7,600      Mitsui Fudosan Co. Ltd.   162,658
  2,955      Savills PLC   42,969
  4,400      TAG Immobilien AG   99,633
  600      Tokyo Tatemono Co. Ltd.   8,991
  2,400      Tokyu Fudosan Holdings Corp.   13,172
  16,910      Vonovia SE   788,182
    

 

     2,165,963

 

 

 

Road & Rail – 0.3%

  20,711      CSX Corp.   775,627
  9,144      FirstGroup PLC*   13,315
  400      Hitachi Transport System Ltd.   21,945
  40,457      Knight-Swift Transportation Holdings, Inc.   2,041,460
  1,000      Kyushu Railway Co.   20,426
  15,430      Landstar System, Inc.   2,327,307
  300      Nippon Express Holdings, Inc.   20,610
  15,844      Norfolk Southern Corp.   4,519,026
  2,714      Northgate PLC   15,402
  1,000      Odakyu Electric Railway Co. Ltd.   16,575
  1,546      Old Dominion Freight Line, Inc.   461,759
  3,000      Seibu Holdings, Inc.   31,025
  1,300      Tokyu Corp.   16,866
  4,430      Union Pacific Corp.   1,210,320
    

 

     11,491,663

 

 

 

Semiconductors & Semiconductor Equipment – 0.8%

  4,400      Advantest Corp.   343,525
  7,697      Applied Materials, Inc.   1,014,465
  4,140      BE Semiconductor Industries NV   352,907
  2,763      Broadcom, Inc.   1,739,806
  200      Disco Corp.   55,928
  45,476      Infineon Technologies AG   1,538,453
  31,022      Intel Corp.   1,537,450
  1,381      Lam Research Corp.   742,440
  14,267      Microchip Technology, Inc.   1,072,022
  22,152      Micron Technology, Inc.   1,725,419
  906      Monolithic Power Systems, Inc.   440,026
  29,017      NXP Semiconductors NV   5,370,466
  2,750      Qorvo, Inc.*   341,275
  19,750      Renesas Electronics Corp.*   228,843
  2,000      Rohm Co. Ltd.   155,280
  1,166      SCREEN Holdings Co. Ltd.   116,221
  2,952      Skyworks Solutions, Inc.   393,443
  20,500      STMicroelectronics NV   887,661
  3,736      Sumco Corp.   61,139
  6,788      Teradyne, Inc.   802,545
  58,483      Texas Instruments, Inc.   10,730,461
  443      Ulvac, Inc.   22,530
    

 

     29,672,305

 

 

 

Software – 3.6%

  29,489      Adobe, Inc.*   13,435,778
  2,632      Autodesk, Inc.*   564,169
  5,105      Bytes Technology Group PLC   33,383
  3,520      Cadence Design Systems, Inc.*   578,899
  1,684      Fortinet, Inc.*   575,490

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Software – (continued)

  7,089      HubSpot, Inc.*   $       3,366,850
  16,469      Intuit, Inc.   7,918,954
  7,678      Micro Focus International PLC   40,567
  215,541      Microsoft Corp.   66,453,446
  1,332      Nemetschek SE   127,917
  23,748      NortonLifeLock, Inc.   629,797
  120,049      Oracle Corp. (Software)   9,927,624
  1,046      Paycom Software, Inc.*   362,313
  5,124      PTC, Inc.*   551,957
  63,624      salesforce.com, Inc.*   13,508,648
  2,500      Sansan, Inc.*   28,046
  25,520      SAP SE   2,828,334
  13,439      ServiceNow, Inc.*   7,484,045
  13,607      Synopsys, Inc.*   4,534,805
  44,577      The Sage Group PLC   408,445
  700      Trend Micro, Inc.   40,879
  1,731      Tyler Technologies, Inc.*   770,105
  17,827      Workday, Inc. Class A*   4,268,853
    

 

     138,439,304

 

 

 

Specialty Retail – 0.5%

  1,100      ABC-Mart, Inc.   41,462
  3,086      Advance Auto Parts, Inc.   638,679
  4,682      Auto1 Group SE*(a)   53,194
  530      AutoZone, Inc.*   1,083,627
  5,850      Bath & Body Works, Inc.   279,630
  3,926      Best Buy Co., Inc.   356,873
  18,874      Currys PLC   22,382
  2,398      Dunelm Group PLC   34,170
  300      Fast Retailing Co. Ltd.   153,797
  10,435      Frasers Group PLC*   86,363
  41,565      Industria de Diseno Textil SA   906,324
  40,383      JD Sports Fashion PLC   77,815
  23,187      Kingfisher PLC   77,390
  14,424      Lowe’s Cos., Inc.   2,916,389
  821      O’Reilly Automotive, Inc.*   562,352
  16,599      Pets at Home Group Plc   78,414
  4,729      Ross Stores, Inc.   427,785
  404      Shimamura Co. Ltd.   35,907
  16,201      The Home Depot, Inc.   4,849,445
  93,711      The TJX Cos., Inc.   5,677,012
  2,593      WH Smith PLC*   48,432
    

 

     18,407,442

 

 

 

Technology Hardware, Storage & Peripherals – 1.8%

  389,862      Apple, Inc.   68,073,804
  862      Brother Industries Ltd.   15,676
  8,425      Canon, Inc.   205,351
  5,032      FUJIFILM Holdings Corp.   307,153
  25,759      Hewlett Packard Enterprise Co.   430,433
  14,716      HP, Inc.   534,191
  12,490      Konica Minolta, Inc.   52,429
  4,739      NetApp, Inc.   393,337
  6,204      Ricoh Co. Ltd.   53,725
  2,919      Seiko Epson Corp.   43,852
  7,225      Western Digital Corp.*   358,721
    

 

     70,468,672

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Textiles, Apparel & Luxury Goods – 0.4%

  1,999      adidas AG   $          465,819
  2,300      Asics Corp.   44,383
  9,325      Burberry Group PLC   203,562
  3,869      Carter’s, Inc.   355,909
  38      Christian Dior SE   25,786
  11,614      Dr. Martens Plc   36,109
  1,826      HUGO BOSS AG   105,346
  1,737      Kering SA   1,096,615
  76,518      NIKE, Inc. Class B   10,296,262
  5,813      PVH Corp.   445,334
  4,292      Ralph Lauren Corp.   486,884
  15,384      Tapestry, Inc.   571,516
  34,016      Under Armour, Inc. Class A*   578,952
  6,789      VF Corp.   386,022
    

 

     15,098,499

 

 

 

Trading Companies & Distributors – 0.1%

  6,617      Ashtead Group PLC   416,635
  3,038      Bunzl PLC   117,817
  7,493      Fastenal Co.   445,084
  3,217      Ferguson PLC   435,838
  26,699      Howden Joinery Group PLC   267,658
  1,323      IMCD NV   225,694
  3,247      ITOCHU Corp.   109,833
  6,132      Marubeni Corp.   71,206
  4,235      Mitsubishi Corp.   158,926
  4,381      Mitsui & Co. Ltd.   118,923
  2,106      MonotaRO Co. Ltd.   45,200
  4,689      Rexel SA   100,100
  1,200      Sojitz Corp.   19,735
  9,960      Travis Perkins PLC   160,613
  702      W.W. Grainger, Inc.   362,085
    

 

     3,055,347

 

 

 

Transportation Infrastructure – 0.0%

  8,439      Atlantia SpA*   175,468
  400      Japan Airport Terminal Co. Ltd.*   18,219
  700      Kamigumi Co. Ltd.   12,566
    

 

     206,253

 

 

 

Water Utilities – 0.0%

  6,704      Pennon Group PLC   94,354
  10,455      United Utilities Group PLC   153,955
    

 

     248,309

 

 

 

Wireless Telecommunication Services – 0.2%

  11,786      Airtel Africa PLC(a)   21,516
  7,845      Freenet AG   209,940
  4,500      KDDI Corp.   147,540
  11,900      SoftBank Corp.   138,791
  7,400      SoftBank Group Corp.   330,851
  52,869      T-Mobile US, Inc.*   6,785,736
  173,072      Vodafone Group PLC   283,801
    

 

     7,918,175

 

 

 
TOTAL COMMON STOCKS
(Cost $1,108,698,663)
  $1,247,755,501

 

 

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Exchange Traded Funds – 22.8%
  1,695,973      Invesco Senior Loan ETF   $     36,921,332
  3,429,567      iShares 5-10 Year Investment Grade Corporate Bond ETF   188,180,341
  8,536,127      iShares Core MSCI Emerging Markets ETF   474,181,855
  44,300      iShares JP Morgan USD Emerging Markets Bond ETF   4,330,768
  1,656,267      SPDR Blackstone Senior Loan ETF   74,465,765
  974,040      SPDR Bloomberg Convertible Securities ETF   74,952,378
  625,358      Vaneck Fallen Angel High Yield Bond ETF   19,010,883
  92,700      Vanguard Real Estate ETF   10,045,899

 

 

 
TOTAL EXCHANGE TRADED FUNDS
(Cost $887,439,324)
  $   882,089,221

 

 

Shares      Dividend
Rate
  Value
   Preferred Stocks – 0.0%
 

Auto Manufacturers – 0.0%

 

Volkswagen AG

  3,036      3.250%   $          521,741
 

(Cost $603,919)

 

 

    
  Investment Company(c) – 39.3%
 

Goldman Sachs Financial Square Government Fund - Institutional
Shares

  1,523,230,259      0.253%   $1,523,230,259
 

(Cost $1,523,230,259)

 

 

 
TOTAL INVESTMENTS – 94.3%
(Cost $3,519,972,165)
  $3,653,596,722

 

 

 

OTHER ASSETS IN EXCESS OF

    LIABILITIES – 5.7%

  221,099,629

 

 

  NET ASSETS – 100.0%   $3,874,696,351

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Significant unobservable inputs were used in the valuation of this fund security; i.e., Level 3.
(c)   Represents an affiliated issuer.

 

 

Currency Abbreviations:
AUD  

— Australian Dollar

BRL  

— Brazilian Real

CAD  

— Canadian Dollar

CHF  

— Swiss Franc

CZK  

— Czech Koruna

EUR  

— Euro

GBP  

— British Pound

HKD  

— Hong Kong Dollar

HUF  

— Hungarian Forint

IDR  

— Indonesian Rupiah

ILS  

— Israeli Shekel

INR  

— Indian Rupee

JPY  

— Japanese Yen

KRW  

— South Korean Won

MXN  

— Mexican Peso

NZD  

— New Zealand Dollar

PHP  

— Philippine Peso

PLN  

— Polish Zloty

RUB  

— Russian Ruble

SEK  

— Swedish Krona

THB  

— Thai Baht

TWD  

— Taiwan Dollar

USD  

— U.S. Dollar

ZAR  

— South African Rand

Investment Abbreviations:
BP  

— British Pound Offered Rate

ETF  

— Exchange Traded Fund

LLC  

— Limited Liability Company

PLC  

— Public Limited Company

REIT  

— Real Estate Investment Trust

 

For information on the mutual funds, please call our toll free Shareholder Services Line at 1-800-526-7384 or visit us on the web at www.GSAMFUNDS.com.

            

 


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At March 31, 2022, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

JPMorgan Chase Bank NA

     BRL     40,690,000        USD     8,138,418          05/03/22        $ 329,306  
     IDR         162,396,240,000        USD     11,308,930          05/05/22          853  
     MXN     80,260,000        USD     3,930,825          04/27/22          85,303  
     USD     50,918,646        GBP     38,590,000          04/27/22          233,787  
     USD     54,654,797        JPY         6,510,540,000          04/27/22          1,147,599  
     USD     21,825,831        TWD     619,930,000          05/04/22          156,019  
     ZAR     73,190,000        USD     4,895,615          04/28/22          95,218  

 

 

TOTAL

            $ 2,048,085  

 

 
FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Chase Bank NA

     CAD     24,320,000        USD     19,543,210          04/27/22        $ (92,161
     IDR     64,749,860,000        USD     4,510,331          05/05/22          (948
     USD     4,321,216        CAD     5,440,000          04/27/22          (29,676
     USD     32,111,588        CHF     29,830,000          04/27/22          (199,591
     USD     5,066,673        CZK     113,900,000          04/27/22          (78,380
     USD     98,358,497        EUR     88,990,000          04/27/22          (164,781
     USD     5,792,951        HUF     1,969,740,000          04/27/22          (116,192
     USD     9,408,238        ILS     30,290,000          04/27/22          (87,818
     USD     7,217,074        INR     553,730,000          05/04/22          (36,936
     USD     17,068,268        KRW     20,769,010,000          05/03/22          (16,175
     USD     4,974,266        NZD     7,210,000          04/27/22          (20,580
     USD     36,565,244        PHP     1,926,160,000          05/03/22          (558,754
     USD     5,206,451        PLN     22,210,000          04/27/22          (65,946
     USD     10,549,825        SEK     99,540,000          04/27/22          (41,981

 

 

TOTAL

            $ (1,509,919

 

 

FUTURES CONTRACTS — At March 31, 2022, the Fund had the following futures contracts:

 

Description      Number of
Contracts
     Expiration
Date
     Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

Amsterdam Exchanges Index

     4      04/14/22      $ 640,749        $ 2,920  

Brent Crude

     67      04/29/22        7,015,570          (948,720

CAC40 Index

     38      04/14/22        2,798,646          19,996  

Chicago SRW Wheat

     29      05/13/22        1,458,700          249,275  

Coffee “C”

     7      05/18/22        594,300          (60,556

Copper

     82      05/26/22        9,739,550          267,585  

Corn

     190      05/13/22        7,113,125          952,714  

Cotton No.2

     49      05/06/22        3,324,405          311,229  

E-mini Russell 2000 Index

     43      06/17/22        4,442,760          2,808  

Euro Stoxx 50 Index

     4,495      06/17/22        190,102,217          951,051  

FTSE 100 Index

     760      06/17/22        74,738,255          3,501,352  

FTSE/JSE Top 40 Index

     130      06/15/22        6,127,993          239,736  


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS (continued)

 

Description      Number of
Contracts
     Expiration
Date
     Notional
Amount
     Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts: (continued)

                 

Gasoline RBOB

     38      04/29/22      $ 5,028,836      $ (604,641

Gold 100 Oz

     198      06/28/22        38,689,200        (662,327

IBEX 35 Index

     10      04/14/22        931,009        10,907  

Lead

     156      04/14/22        9,445,800        375,949  

Lead

     128      05/16/22        7,750,400        (94,400

Lean Hogs

     63      06/14/22        3,039,750        171,429  

Low Sulphur Gas Oil

     31      05/12/22        3,124,800        (354,623

Nasdaq 100 E-Mini Index

     21      06/17/22        6,244,875        (7,483

Natural Gas

     68      04/27/22        3,836,560        428,501  

Nickel

     50      04/14/22        9,634,500        2,594,100  

Nickel

     22      05/16/22        4,236,540        (2,111,736

NY Harbor ULSD

     19      04/29/22        2,681,998        (276,986

OMXS 30 Index

     16      04/13/22        354,803        (1,293

Primary Aluminum

     117      04/14/22        10,189,559        1,013,197  

Primary Aluminum

     54      05/16/22        4,707,599        (346,127

Primary Aluminum

     9      06/13/22        785,588        115,931  

S&P 400 E-Mini Index

     15      06/17/22        4,033,800        42,862  

S&P Toronto Stock Exchange 60 Index

     61      06/16/22        12,853,354        307,498  

Set 50 Index

     1,469      06/29/22        8,983,653        114,867  

Silver

     50      05/26/22        6,283,250        (134,944

Soybean

     144      05/13/22        11,651,400        140,276  

Sugar No.11

     168      04/29/22        3,667,238        32,373  

Topix Index

     222      06/09/22        35,495,564        2,725,986  

WTI Crude Oil

     117      04/20/22        11,732,760        (1,674,619

Zinc

     87      04/14/22        9,162,187        1,260,375  

Zinc

     69      05/16/22        7,249,313        127,650  

Zinc

     7      06/13/22        732,988        116,725  

 

 

Total

                  $ 8,798,837  

 

 

Short position contracts:

                 

10 Year German Euro-Bund

     (180)      06/08/22        (31,593,166      642,503  

10 Year U.K. Long Gilt

     (122)      06/28/22        (19,428,957      106,982  

10 Year U.S. Treasury Notes

     (351)      06/21/22        (43,129,125      818,575  

2 Year U.S. Treasury Notes

     (132)      06/30/22        (27,973,688      333,850  

20 Year U.S. Treasury Bonds

     (127)      06/21/22        (19,057,938      202,802  

5 Year German Euro-Bobl

     (119)      06/08/22        (16,963,610      253,247  

5 Year U.S. Treasury Notes

     (210)      06/30/22        (24,084,375      461,494  

ASX 90 Day Bank Accepted Bills

     (56)      06/09/22        (41,839,818      (6,027

ASX 90 Day Bank Accepted Bills

     (187)      09/08/22        (139,423,344      129,192  

ASX 90 Day Bank Accepted Bills

     (166)      12/08/22        (123,602,198      178,982  

Australian 10 Year Government Bonds

     (102)      06/15/22        (9,673,868      329,580  

Bank Accept Index

     (191)      06/13/22        (37,494,531      100,405  

Bank Accept Index

     (176)      09/19/22        (34,310,603      206,598  

Bank Accept Index

     (152)      12/19/22        (29,511,819      204,519  

Canada 10 Year Government Bonds

     (95)      06/21/22        (9,921,369      233,908  

Cattle Feeder

     (62)      05/26/22        (5,163,050      (42,422

CBOE Volatility Index

     (133)      04/20/22        (3,121,377      612,123  

CBOE Volatility Index

     (126)      05/18/22        (3,148,450      326,600  

CBOE Volatility Index

     (101)      06/15/22        (2,573,207      419,784  

DAX Index

     (8)      06/17/22        (3,193,301      8,003  

Euro Buxl 30 Year Bonds

     (29)      06/08/22        (5,973,527      169,183  

Eurodollars

     (743)      06/13/22        (189,891,030      676,987  

Eurodollars

     (449)      09/19/22        (113,799,927      943,409  

Eurodollars

     (386)      12/19/22        (97,631,039      1,071,116  

Eurodollars

     (366)      03/13/23        (92,537,083      1,211,129  

Eurodollars

     (369)      06/19/23        (93,019,477      1,233,270  

Eurodollars

     (343)      09/18/23        (86,324,024      953,434  

Eurodollars

     (340)      12/18/23        (85,478,713      785,478  

Eurodollars

     (338)      03/18/24        (85,023,321      595,481  


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS (continued)

 

Description      Number of
Contracts
     Expiration
Date
     Notional
Amount
     Unrealized
Appreciation/
(Depreciation)
 

 

 

Short position contracts: (continued)

                 

Euro-Schatz

     (306)      06/08/22      $ (37,485,173    $ 180,103  

French 10 Year Government Bonds

     (61)      06/08/22        (10,224,082      188,426  

H-Shares Index

     (42)      04/28/22        (2,016,277      (67,784

Hang Seng Index

     (29)      04/28/22        (4,070,507      (63,082

Italian 10 Year Government Bonds

     (75)      06/08/22        (11,475,405      194,538  

Japan 10 Year Government Bonds

     (34)      06/13/22        (41,808,773      140,232  

Kospi2 Index

     (21)      06/09/22        (1,584,031      (45,707

Lead

     (156)      04/14/22        (9,445,800      6,884  

Lead

     (62)      05/16/22        (3,754,100      (214,182

Live Cattle

     (47)      06/30/22        (2,577,950      (68,623

Nickel

     (50)      04/14/22        (9,634,500      2,477,964  

Nickel

     (18)      05/16/22        (3,466,260      (426,547

Primary Aluminum

     (117)      04/14/22        (10,189,559      476,434  

Primary Aluminum

     (6)      05/16/22        (523,066      1,761  

Primary Aluminum

     (9)      06/13/22        (785,587      (54,259

S&P 500 E-Mini Index

     (341)      06/17/22        (77,249,288      (6,182,296

Zinc

     (87)      04/14/22        (9,162,187      (256,326

Zinc

     (11)      05/16/22        (1,155,687      (92,579

Zinc

     (7)      06/13/22        (732,987      (97,326

 

 

Total

                  $ 9,257,816  

 

 

TOTAL FUTURES CONTRACTS

 

   $ 18,056,653  

 

 

SWAP CONTRACTS — At March 31, 2022, the Fund had the following swap contracts:

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
   Financing Rate
Received/(Paid) by
the Fund(a)
    Credit
Spread at
March 31,
2022(b)
    Termination
Date
     Notional
Amount
(000s)
     Value        Upfront
Premiums
(Received)
Paid
     Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                    

CDX.NA.IG Index 38

     1.000%       0.671%       06/20/27      $ 235,900      $ 3,833,176        $ 3,327,177      $ 505,999  

CDX.NA.IG Index 38

     5.000          3.765          06/20/27        46,300        2,561,676          2,596,095        (34,419

ICE CD ITXEB 37

     1.000          0.728          06/20/27      EUR  206,200        3,216,938          2,548,880        668,058  

ICE CD ITXEB 37

     5.000          3.380          06/20/27        26,550        2,197,368          1,770,365        427,003  

 

 

TOTAL

             $ 11,809,158        $ 10,242,517      $ 1,566,641  

 

 

 

(a)   Payments made quarterly.
(b)   Credit spread on the referenced obligation, together with the term of the swap contract, are indicators of payment/performance risk. The likelihood of a credit event occurring which would require a fund or its counterparty to make a payment or otherwise be required to perform under the swap contract is generally greater as the credit spread and the term of the swap contract increase.


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER TOTAL RETURN SWAP CONTRACTS#

 

Reference

Obligation/Index(a)

 

Financing Rate
Paid by

the Fund

  Counterparty   Termination
Date
  Notional
Amount
(000s)
    Value     Unrealized
Appreciation/
(Depreciation)*
 

 

 
AMZX Index   1M SOFR + 0.74%   BofA Securities LLC   6/13/2022   $ 2,878     $ 209,488     $ 209,488  
BCOMRS Index     JPMorgan Securities, Inc.   8/12/2022     3,469       (50,072     (50,072
JPGSGLHN Index(b)   1M LIBOR + 0.17   JPMorgan Securities, Inc.   8/25/2022     49,510       2,238,987       2,238,987  
JPGSGLMN Index   1M LIBOR + 0.17   JPMorgan Securities, Inc.   8/25/2022     19,976       1,700,055       1,700,055  
JPGSGLTN Index(c)   1M LIBOR + 0.17   JPMorgan Securities, Inc.   8/25/2022     39,148       3,491,724       3,491,724  
JPGSMARB Index(d)   1M SOFR +0.91   JPMorgan Securities, Inc.   8/11/2022     50,219       751,049       751,049  
MSCI Index   1M SOFR +0.13   JPMorgan Securities, Inc.   11/3/2022     11,976       751,049       1,122,603  
MSCI Index   1M SOFR +0.91   JPMorgan Securities, Inc.   2/10/2023     43,442       751,049       4,059,214  
NDUGWI Index   1M SOFR +0.225   JPMorgan Securities, Inc.   7/13/2022     9,313       898,057       898,057  
NDUGWI Index   1M SOFR +0.12   JPMorgan Securities, Inc.   8/10/2022     62,705       6,050,009       6,050,009  
NDUGWI Index   1M SOFR +0.02   JPMorgan Securities, Inc.   6/10/2022     53,000       5,116,480       5,116,480  
SXXGT Index   1M EURIBOR + 0.05   JPMorgan Securities, Inc.   09/19/22     53,717       (2,833,535     (2,833,535
TUKXGIndex   1M SONIA + 0.255   JPMorgan Securities, Inc.   12/16/22     16,040       (1,040,227     (1,040,227
MSCI Index   1M SOFR + 0.03   JPMorgan Securities, Inc.   01/13/23     57,060       (3,800,148     (3,800,148
RUSSEL Index   1M SOFR + 0.37   Bank of America Securities LLC   02/02/23     66,838       27,955       27,955  
MSCI Index   1M SOFR - 0.06   Bank of America Securities LLC   02/10/23     153,224       (10,201,529     (10,201,529
MSCI Index   1M SOFR - 0.055   JPMorgan Securities, Inc.   02/14/23     10,444       (695,928     (695,928
MSCI Index   1M SOFR - 0.055   JPMorgan Securities, Inc.   02/28/23     154,916       (10,319,225     (10,319,225
MSCI Index   1M SOFR - 0.05   JPMorgan Securities, Inc.   03/10/23     55,178       (3,677,008     (3,677,008

 

 
TOTAL

 

  $ (6,952,051   $ (6,952,051

 

 

 

#   The Fund pays/receives annual coupon payments in accordance with the swap contract(s). On the termination date of the swap contract(s), the Fund will either receive from or pay to the counterparty an amount equal to the net of the accrued financing fees and the value of the reference security subtracted from the original notional cost (notional multiplied by the price change of the reference security, converted to U.S. Dollars).
*   There are no upfront payments on the swap contracts (s), therefore the unrealized gain (loss) on the swap contracts is equal to their market value.
(a)   Payments made monthly.


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

(b)   The top 50 components are shown below.

 

A basket (JPGSGLHN) of common stocks                                
Common Stocks    Sector      Shares        Value        Weight  

 

 

UnitedHealth Group Inc

   Health Care        298        $ 152,061          6.79

Johnson & Johnson

   Health Care        833          147,711          6.6  

Pfizer Inc

   Health Care        1,777          91,993          4.11  

AbbVie Inc

   Health Care        560          90,730          4.05  

Roche Holding AG

   Health Care        241          88,387          3.95  

Thermo Fisher Scientific Inc

   Health Care        125          73,683          3.29  

Eli Lilly & Co

   Health Care        251          71,982          3.21  

Novartis AG

   Health Care        836          67,906          3.03  

Abbott Laboratories

   Health Care        560          66,259          2.96  

Merck & Co Inc

   Health Care        800          65,613          2.93  

AstraZeneca PLC

   Health Care        6          65,178          2.91  

Danaher Corp

   Health Care        201          59,094          2.64  

Novo Nordisk A/S

   Health Care        78          58,101          2.59  

Bristol-Myers Squibb Co

   Health Care        690          50,395          2.25  

Medtronic PLC

   Health Care        426          47,228          2.11  

Amgen Inc

   Health Care        178          43,122          1.93  

CVS Health Corp

   Health Care        415          42,055          1.88  

Anthem Inc

   Health Care        77          37,745          1.69  

Sanofi

   Health Care        402          37,231          1.66  

GlaxoSmithKline PLC

   Health Care        21          34,257          1.53  

Intuitive Surgical Inc

   Health Care        113          34,167          1.53  

CSL Ltd

   Health Care        114          30,471          1.36  

Stryker Corp

   Health Care        106          28,417          1.27  

Zoetis Inc

   Health Care        150          28,248          1.26  

Cigna Corp

   Health Care        102          24,498          1.09  

Becton Dickinson and Co

   Health Care        90          23,981          1.07  

Gilead Sciences Inc

   Health Care        397          23,609          1.05  

Regeneron Pharmaceuticals Inc

   Health Care        34          23,596          1.05  

Edwards Lifesciences Corp

   Health Care        198          23,268          1.04  

Bayer AG

   Health Care        344          21,354          0.95  

Vertex Pharmaceuticals Inc

   Health Care        81          21,033          0.94  

Boston Scientific Corp

   Health Care        451          19,981          0.89  

Moderna Inc

   Health Care        112          19,237          0.86  

HCA Healthcare Inc

   Health Care        76          19,002          0.85  

Humana Inc

   Health Care        41          17,708          0.79  

Illumina Inc

   Health Care        49          17,289          0.77  

Lonza Group AG

   Health Care        25          17,185          0.77  

Dexcom Inc

   Health Care        31          15,698          0.7  

Centene Corp

   Health Care        185          15,552          0.69  

IDEXX Laboratories Inc

   Health Care        27          14,686          0.66  

McKesson Corp

   Health Care        47          14,518          0.65  

Takeda Pharmaceutical Co Ltd

   Health Care        4          14,399          0.64  

IQVIA Holdings Inc

   Health Care        60          13,984          0.62  

Hoya Corp

   Health Care        1          13,494          0.6  

Daiichi Sankyo Co Ltd

   Health Care        5          12,760          0.57  

Alcon Inc

   Health Care        172          12,643          0.56  

Agilent Technologies Inc

   Health Care        95          12,583          0.56  

Baxter International Inc

   Health Care        159          12,291          0.55  

ResMed Inc

   Health Care        46          11,227          0.5  

Align Technology Inc

   Health Care        23          10,122          0.45  


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

(c)   The top 50 components are shown below.

 

A basket (JPGSGLTN) of common stocks                                
Common Stocks    Sector      Shares        Value        Weight  

 

 

NVIDIA Corp

   Information Technology        977        $ 266,704          7.64

Apple Inc

   Information Technology        1,448          252,809          7.24  

Microsoft Corp

   Information Technology        782          241,094          6.90  

ASML Holding NV

   Information Technology        220          133,972          3.84  

Broadcom Inc

   Information Technology        202          127,054          3.64  

Cisco Systems Inc

   Information Technology        2,061          114,932          3.29  

Adobe Inc

   Information Technology        231          105,031          3.01  

Accenture PLC

   Information Technology        309          104,159          2.98  

Salesforce Inc

   Information Technology        481          102,206          2.93  

Intel Corp

   Information Technology        1,990          98,626          2.82  

Advanced Micro Devices Inc

   Information Technology        799          87,357          2.50  

QUALCOMM Inc

   Information Technology        551          84,170          2.41  

Texas Instruments Inc

   Information Technology        451          82,813          2.37  

Intuit Inc

   Information Technology        138          66,542          1.91  

PayPal Holdings Inc

   Information Technology        569          65,845          1.89  

Oracle Corp

   Information Technology        770          63,702          1.82  

SAP SE

   Information Technology        591          59,739          1.71  

Applied Materials Inc

   Information Technology        434          57,197          1.64  

International Business Machines Corp

   Information Technology        438          56,985          1.63  

ServiceNow Inc

   Information Technology        98          54,432          1.56  

Automatic Data Processing Inc

   Information Technology        205          46,709          1.34  

Keyence Corp

   Information Technology        1          44,174          1.27  

Micron Technology Inc

   Information Technology        547          42,625          1.22  

Analog Devices Inc

   Information Technology        257          42,407          1.21  

Tokyo Electron Ltd

   Information Technology        1          39,932          1.14  

Shopify Inc

   Information Technology        45          37,856          1.08  

Lam Research Corp

   Information Technology        68          36,652          1.05  

Adyen NV

   Information Technology        17          30,259          0.87  

Fidelity National Information Services I

   Information Technology        298          29,884          0.86  

Fiserv Inc

   Information Technology        290          29,446          0.84  

KLA Corp

   Information Technology        74          26,962          0.77  

Synopsys Inc

   Information Technology        75          24,991          0.72  

NXP Semiconductors NV

   Information Technology        130          24,054          0.69  

Autodesk Inc

   Information Technology        107          23,043          0.66  

Cognizant Technology Solutions Corp

   Information Technology        257          23,018          0.66  

Fortinet Inc

   Information Technology        66          22,664          0.65  

Cadence Design Systems Inc

   Information Technology        135          22,275          0.64  

Amphenol Corp

   Information Technology        293          22,056          0.63  

Infineon Technologies AG

   Information Technology        706          21,864          0.63  

Paychex Inc

   Information Technology        157          21,414          0.61  

Murata Manufacturing Co Ltd

   Information Technology        3          20,928          0.60  

TE Connectivity Ltd

   Information Technology        159          20,840          0.60  

Microchip Technology Inc

   Information Technology        272          20,417          0.58  

Motorola Solutions Inc

   Information Technology        83          19,992          0.57  

HP Inc

   Information Technology        529          19,208          0.55  

Global Payments Inc

   Information Technology        139          19,043          0.55  

Capgemini SE

   Information Technology        87          17,542          0.50  

Dassault Systemes SE

   Information Technology        375          16,759          0.48  

Constellation Software Inc/Canada

   Information Technology        8          16,543          0.47  

Arista Networks Inc

   Information Technology        110          15,236          0.44  


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

(d)   The top 50 components are shown below.

 

A basket (JPGSMARB) of common stocks                                
Common Stocks    Sector      Shares        Value        Weight  

 

 

Sanderson Farms Inc

   Consumer Staples        151        $ 28,329          3.77

Tenneco Inc

   Consumer Discretionary        1,528          27,995          3.73  

Ortho Clinical Diagnostics Holdings PLC

   Health Care        1,491          27,833          3.71  

South Jersey Industries Inc

   Utilities        804          27,768          3.70  

Aerojet Rocketdyne Holdings Inc

   Industrials        705          27,726          3.69  

First Horizon Corp

   Financials        1,171          27,512          3.66  

Houghton Mifflin Harcourt Co

   Consumer Discretionary        1,309          27,495          3.66  

Veoneer Inc

   Consumer Discretionary        744          27,482          3.66  

Activision Blizzard Inc

   Communication Services        343          27,464          3.66  

Mimecast Ltd

   Information Technology        345          27,458          3.66  

Shaw Communications Inc

   Communication Services        707          27,450          3.65  

Alleghany Corp

   Financials        32          27,436          3.65  

Anaplan Inc

   Information Technology        422          27,426          3.65  

Cornerstone Building Brands Inc

   Industrials        1,127          27,419          3.65  

Cerner Corp

   Health Care        293          27,412          3.65  

Bottomline Technologies DE Inc

   Information Technology        483          27,396          3.65  

Rogers Corp

   Information Technology        101          27,364          3.65  

MoneyGram International Inc

   Information Technology        2,590          27,352          3.64  

Meritor Inc

   Industrials        769          27,345          3.64  

Renewable Energy Group Inc

   Energy        451          27,344          3.64  

TEGNA Inc

   Communication Services        1,219          27,308          3.64  

Tower Semiconductor Ltd

   Information Technology        564          27,289          3.63  

CMC Materials Inc

   Information Technology        146          27,015          3.60  

Change Healthcare Inc

   Health Care        1,233          26,887          3.58  

Coherent Inc

   Information Technology        92          25,268          3.36  

Meggitt PLC

   Industrials        32          24,041          3.20  

Falck Renewables SpA

   Utilities        2,403          21,193          2.82  

Plantronics Inc

   Information Technology        534          21,042          2.80  


GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

PURCHASED AND WRITTEN OPTIONS CONTRACTS — At March 31, 2022, the Fund had the following purchased and written options:

EXCHANGE TRADED OPTIONS ON EQUITIES

 

Description    Exercise
Price
    Expiration
Date
    Number of
Contracts
    Notional
Amount
    Market
Value
    Premiums Paid
(Received)
by Fund
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Purchased option contracts

              

Calls

              

CBOE Volatility Index

   $ 27.000       04/20/2022       1,330     $ 3,591,000     $ 206,150     $ 736,160     $ (530,010

CBOE Volatility Index

     28.000       05/18/2022       1,260       3,528,000       355,950       648,450       (292,500

CBOE Volatility Index

     32.500       06/15/2022       1,010       3,282,500       272,700       479,639       (206,939

 

 
         3,600     $ 10,401,500     $ 834,800     $ 1,864,249     $ (1,029,449

 

 

Puts

              

S&P 500 Index

     3,100.000       04/29/2022       11       3,410,000       1,265       13,973       (12,708

S&P 500 Index

     3,200.000       04/29/2022       3       960,000       420       4,415       (3,995

S&P 500 Index

     3,375.000       04/29/2022       17       5,737,500       3,315       17,787       (14,472

S&P 500 Index

     3,775.000       04/29/2022       23       8,682,500       10,235       27,390       (17,155

S&P 500 Index

     4,060.000       04/29/2022       28       11,368,000       29,540       23,480       6,060  

 

 
         82     $ 30,158,000     $ 44,775     $ 87,045     $ (42,270

 

 

Total purchased option contracts

 

    3,682     $ 40,559,500     $ 879,575     $ 1,951,294     $ (1,071,719

 

 

Written option contracts

              

Puts

              

S&P 500 Index

     3,980.000       04/29/2022       (11)       (4,378,000     (8,690     (96,111     87,421  

S&P 500 Index

     4,085.000       04/29/2022       (17)       (6,944,500     (19,635     (124,941     105,306  

S&P 500 Index

     4,125.000       04/29/2022       (3)       (1,237,500     (4,065     (30,466     26,401  

S&P 500 Index

     4,430.000       04/29/2022       (23)       (10,189,000     (118,220     (222,782     104,562  

S&P 500 Index

     4,590.000       04/29/2022       (28)       (12,852,000     (294,140     (210,362     (83,778

 

 

Total written option contracts

         (82)     $ (35,601,000   $ (444,750   $ (684,662   $ 239,912  

 

 

TOTAL

         3,600     $ 4,958,500     $ 434,825     $ 1,266,632     $ (831,807

 

 

 

 

Abbreviations:
BofA Securities LLC  

— Bank of America Securities LLC

CDX.NA.IG Index 38  

— CDX North America Investment Grade Index 38

ICE CD ITXEB 37  

— ICE CD iTraxx Europe Index

 

    

 


GOLDMAN SACHS - COMMODITY STRATEGY FUND

 

Schedule of Investments

March 31, 2022 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value

 

U.S. Treasury Obligation – 5.5%

U.S.Treasury Notes

$

    47,000,000       1.875   05/31/22   $  47,110,156
(Cost $47,140,199)

 

       
Shares     Dividend
Rate
  Value
Investment Company(a) – 12.3%

Goldman Sachs Financial Square Government Fund - Institutional Shares

    106,327,665       0.253%   $106,327,665
(Cost $106,327,665)

 

       
Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Short-term Investments(b) – 82.1%

Sovereign – 82.1%

U.S.Cash Management Bill

$

    179,000,000       0.000   06/14/22   $178,852,823

U.S.Treasury Bills

    86,000,000       0.000     04/28/22   85,992,518

U.S.Treasury Bills

    130,000,000       0.000     06/30/22   129,836,265

U.S.Treasury Bills

    10,000,000       0.000     05/19/22   9,996,678
    10,000,000       0.000     05/24/22   9,995,657
    56,000,000       0.000     05/26/22   55,975,403
    30,000,000       0.000     06/09/22   29,978,437
    100,000,000       0.000     06/28/22   99,873,378
    55,400,000       0.000     07/14/22   55,302,773
    53,800,000       0.000     07/21/22   53,690,517

 

TOTAL SHORT-TERM INVESTMENTS

(Cost $709,597,743)

  $709,494,449

 

TOTAL INVESTMENTS – 99.9%

(Cost $863,065,607)

  $862,932,270

 

OTHER ASSETS IN EXCESS OF

    LIABILITIES – 0.1%

  1,084,887

 

NET ASSETS – 100.0%   $864,017,157

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Represents an affiliated issuer.
(b)   Issued with a zero coupon. Income is recognized through the accretion of discount.

 

 

Currency Abbreviations:
USD  

— U.S. Dollar

 

    

 


GOLDMAN SACHS - COMMODITY STRATEGY FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At March 31, 2022, the Fund had the following futures contracts:

 

Description      Number of
Contracts
     Expiration
Date
     Notional
Amount
     Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                 

Brent Crude

     518      04/29/22      $ 54,239,780      $ (2,519,253

Chicago SRW Wheat

     18      05/13/22        905,400        198,179  

Copper

     220      04/14/22        57,048,750        (28,070

Corn

     24      05/13/22        898,500        134,038  

Crude Oil

     196      07/20/22        18,635,680        264,612  

Crude soybean oil

     251      05/13/22        10,532,964        576,591  

Gold 100 Oz

     118      06/28/22        23,057,200        148,327  

KC HRW Wheat

     2      05/13/22        102,975        21,945  

KC HRW Wheat

     34      07/14/22        1,750,575        (23,421

Lean Hogs

     7      04/14/22        284,900        (609

Low Sulphur Gas Oil

     222      05/12/22        22,377,600        (3,057,216

Natural Gas

     420      05/26/22        23,944,200        3,185,901  

Nickel

     126      04/14/22        24,278,940        3,679,054  

Platinum

     149      07/27/22        7,418,710        (223,610

Primary Aluminum

     44      04/14/22        3,831,971        (134,768

Silver

     207      05/26/22        26,012,655        1,449,912  

Soyabean

     236      05/13/22        11,033,000        518,927  

Soybean

     15      05/13/22        1,213,688        47,586  

Zinc

     234      04/14/22        24,643,125        1,529,848  

 

 

Total

 

   $ 5,767,973  

 

 

Short position contracts:

                 

Cattle

     (208)      06/30/22        (11,408,800      (20,701

Cocoa

     (247)      07/14/22        (6,636,890      (107,400

Cocoa

     (128)      05/13/22        (3,392,000      (158,935

Coffee

     (24)      07/19/22        (2,038,050      83,538  

Coffee

     (28)      05/18/22        (2,377,200      (33,936

Copper

     (146)      07/27/22        (17,357,575      (1,222,217

Copper

     (171)      05/26/22        (20,310,525      (1,696,835

Cotton No.2

     (63)      07/07/22        (4,160,205      (670,336

Cotton No.2

     (89)      05/06/22        (6,038,205      (749,493

Crude Oil

     (815)      06/21/22        (78,957,200      (9,441,184

Crude Oil

     (118)      05/20/22        (11,625,360      (2,122,998

FCOJ-A

     (30)      05/10/22        (683,775      (34,519

Gasoline RBOB

     (57)      07/29/22        (7,068,524      (431,097

Natural Gas

     (3)      04/27/22        (169,260      (65,856

NY Harbor ULSD

     (84)      07/29/22        (10,721,592      (518,986

Primary Aluminum

     (24)      04/14/22        (2,090,166      149,708  

Sugar No.11

     (22)      06/30/22        (476,045      (37,411

Sugar No.11

     (202)      04/29/22        (4,409,418      (162,302

 

 

Total

 

   $ (17,240,960

 

 

TOTAL FUTURES CONTRACTS

 

   $ (11,472,987

 

 


GOLDMAN SACHS - COMMODITY STRATEGY FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

SWAP CONTRACTS — At March 31, 2022, the Portfolio had the following swap contracts:

OVER THE COUNTER TOTAL RETURN SWAP CONTRACTS

 

Reference

Obligation/Index

 

Financing Rate

Paid by

the Fund

  Counterparty  

Termination

Date

 

Notional

Amount
(000s)

    Value     Upfront
Premiums
(Received)
Paid
   

Unrealized

Appreciation/

(Depreciation)

 

 

 
CRB 1M Forward Index   3M USD
LIBOR+0.025%
  Merrill Lynch & Co., Inc.   01/31/23   $        301     $ (6,545   $         $ (6,545
CRB 1M Forward Index   3M USD
LIBOR+0.024%
  Citibank NA   01/31/23     226,624       (5,148       (5,148
CRB 1M Forward Index   3M USD
LIBOR+0.025%
  Merrill Lynch & Co., Inc.   01/31/23     320,488       (7,366       (7,366
CRB 1M Forward Index   3M USD
LIBOR+0.025%
  UBS AG (London)   01/31/23     189,489       (4,355       (4,355

 

 

TOTAL

 

  $ (23,414   $     $ (23,414

 

 

 

*   There are no upfront payments on the swap contracts (s), therefore the unrealized gain (loss) on the swap contracts is equal to their market value.
(a)   Payments made monthly.
(b)   The Fund pays/receives annual coupon payments in accordance with the swap contract(s). On the termination date of the swap contract(s), the Fund will either receive from or pay to the counterparty an amount equal to the net of the accrued financing fees and the value of the reference security subtracted from the original notional cost (notional multiplied by the price change of the reference security, converted to U.S. Dollars).


GOLDMAN SACHS DEFENSIVE EQUITY FUND

 

Schedule of Investments

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 93.8%
 

Aerospace & Defense – 0.5%

  76      General Dynamics Corp.   $     18,330
  66      L3Harris Technologies, Inc.   16,399
    

 

  34,729

 

 

 

Air Freight & Logistics – 0.7%

  206      United Parcel Service, Inc. Class B   44,179

 

 

 

Automobiles* – 2.4%

  142      Tesla, Inc.   153,019

 

 

 

Banks – 0.7%

  108      The PNC Financial Services Group, Inc.   19,920
  398      U.S. Bancorp   21,154
    

 

  41,074

 

 

 

Beverages – 2.4%

  221      Brown-Forman Corp. Class B   14,812
  82      Constellation Brands, Inc. Class A   18,886
  350      PepsiCo, Inc.   58,583
  934      The Coca-Cola Co.   57,908
    

 

  150,189

 

 

 

Biotechnology – 2.3%

  329      AbbVie, Inc.   53,334
  128      Amgen, Inc.   30,953
  60      Biogen, Inc.*   12,636
  41      Regeneron Pharmaceuticals, Inc.*   28,635
  72      Vertex Pharmaceuticals, Inc.*   18,790
    

 

  144,348

 

 

 

Building Products – 0.2%

  221      Johnson Controls International PLC   14,491

 

 

 

Capital Markets – 1.5%

  36      BlackRock, Inc.   27,510
  154      Intercontinental Exchange, Inc.   20,346
  34      MSCI, Inc.   17,098
  318      The Charles Schwab Corp.   26,811
    

 

  91,765

 

 

 

Chemicals – 1.7%

  92      Air Products & Chemicals, Inc.   22,992
  93      Ecolab, Inc.   16,420
  129      Linde PLC   41,206
  105      The Sherwin-Williams Co.   26,210
    

 

  106,828

 

 

 

Commercial Services & Supplies – 0.7%

  44      Cintas Corp.   18,717
  179      Waste Management, Inc.   28,372
    

 

  47,089

 

 

 

Communications Equipment – 1.5%

  117      Arista Networks, Inc.*   16,261

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Communications Equipment – (continued)

  1,014      Cisco Systems, Inc.   $     56,540
  80      Motorola Solutions, Inc.   19,376
    

 

  92,177

 

 

 

Containers & Packaging – 0.2%

  157      Ball Corp.   14,130

 

 

 

Diversified Financial Services* – 1.9%

  332      Berkshire Hathaway, Inc. Class B   117,166

 

 

 

Diversified Telecommunication Services – 0.7%

  920      Verizon Communications, Inc.   46,865

 

 

 

Electric Utilities – 1.8%

  269      Duke Energy Corp.   30,037
  143      Eversource Energy   12,611
  393      NextEra Energy, Inc.   33,291
  346      The Southern Co.   25,088
  206      Xcel Energy, Inc.   14,867
    

 

  115,894

 

 

 

Electrical Equipment – 0.4%

  153      Eaton Corp. PLC   23,219

 

 

 

Electronic Equipment, Instruments & Components – 0.5%

  356      Corning, Inc.   13,140
  139      TE Connectivity Ltd.   18,206
    

 

  31,346

 

 

 

Entertainment* – 1.5%

  116      Netflix, Inc.   43,453
  369      The Walt Disney Co.   50,612
    

 

  94,065

 

 

 

Equity Real Estate Investment Trusts (REITs) – 1.9%

  109      American Tower Corp.   27,383
  28      Equinix, Inc.   20,765
  170      Prologis, Inc.   27,452
  72      Public Storage   28,100
  41      SBA Communications Corp.   14,108
    

 

  117,808

 

 

 

Food & Staples Retailing – 1.8%

  106      Costco Wholesale Corp.   61,040
  371      Walmart, Inc.   55,249
    

 

  116,289

 

 

 

Food Products – 1.1%

  309      General Mills, Inc.   20,926
  545      Mondelez International, Inc. Class A   34,215
  337      The Kraft Heinz Co.   13,274
    

 

  68,415

 

 

 

Health Care Equipment & Supplies – 3.5%

  447      Abbott Laboratories   52,907
  95      Becton Dickinson & Co.   25,270
  501      Boston Scientific Corp.*   22,189
  34      DexCom, Inc.*   17,394

 

 

 


GOLDMAN SACHS DEFENSIVE EQUITY FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Health Care Equipment & Supplies – (continued)

  254      Edwards Lifesciences Corp.*   $     29,901
  28      IDEXX Laboratories, Inc.*   15,318
  95      Intuitive Surgical, Inc.*   28,660
  116      Stryker Corp.   31,012
    

 

  222,651

 

 

 

Health Care Providers & Services – 3.4%

  61      Anthem, Inc.   29,965
  221      Centene Corp.*   18,606
  339      CVS Health Corp.   34,310
  73      HCA Healthcare, Inc.   18,295
  46      Humana, Inc.   20,018
  187      UnitedHealth Group, Inc.   95,364
    

 

  216,558

 

 

 

Hotels, Restaurants & Leisure – 2.1%

  12      Chipotle Mexican Grill, Inc.*   18,984
  96      Marriott International, Inc. Class A*   16,872
  198      McDonald’s Corp.   48,962
  367      Starbucks Corp.   33,386
  106      Yum! Brands, Inc.   12,564
    

 

  130,768

 

 

 

Household Products – 1.6%

  225      Colgate-Palmolive Co.   17,062
  530      The Procter & Gamble Co.   80,984
    

 

  98,046

 

 

 

Industrial Conglomerates – 1.8%

  206      3M Co.   30,670
  274      General Electric Co.   25,071
  193      Honeywell International, Inc.   37,554
  49      Roper Technologies, Inc.   23,139
    

 

  116,434

 

 

 

Insurance – 1.7%

  88      Aon PLC Class A   28,655
  117      Chubb Ltd.   25,026
  142      Marsh & McLennan Cos., Inc.   24,200
  244      The Progressive Corp.   27,814
    

 

  105,695

 

 

 

Interactive Media & Services* – 5.7%

  96      Alphabet, Inc. Class A   267,010
  426      Meta Platforms, Inc. Class A   94,725
    

 

  361,735

 

 

 

Internet & Direct Marketing Retail* – 3.8%

  73      Amazon.com, Inc.   237,976

 

 

 

IT Services – 5.0%

  164      Accenture PLC Class A   55,306
  149      Automatic Data Processing, Inc.   33,903
  196      Cognizant Technology Solutions Corp. Class A   17,575
  185      Fiserv, Inc.*   18,759

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

IT Services – (continued)

  187      Mastercard, Inc. Class A   $     66,830
  113      Paychex, Inc.   15,421
  307      PayPal Holdings, Inc.*   35,505
  332      Visa, Inc. Class A   73,628
    

 

  316,927

 

 

 

Life Sciences Tools & Services – 2.3%

  136      Agilent Technologies, Inc.   17,997
  157      Danaher Corp.   46,053
  81      IQVIA Holdings, Inc.*   18,728
  9      Mettler-Toledo International, Inc.*   12,358
  80      Thermo Fisher Scientific, Inc.   47,252
    

 

  142,388

 

 

 

Machinery – 0.6%

  113      Illinois Tool Works, Inc.   23,662
  205      Otis Worldwide Corp.   15,775
    

 

  39,437

 

 

 

Media – 1.1%

  45      Charter Communications, Inc. Class A*   24,548
  917      Comcast Corp. Class A   42,934
    

 

  67,482

 

 

 

Metals & Mining – 0.3%

  443      Freeport-McMoRan, Inc.   22,035

 

 

 

Multi-Utilities – 0.5%

  153      Consolidated Edison, Inc.   14,486
  231      Dominion Energy, Inc.   19,628
    

 

  34,114

 

 

 

Multiline Retail – 0.5%

  161      Target Corp.   34,167

 

 

 

Oil, Gas & Consumable Fuels – 1.0%

  268      ConocoPhillips   26,800
  771      Kinder Morgan, Inc.   14,580
  242      Marathon Petroleum Corp.   20,691
    

 

  62,071

 

 

 

Personal Products – 0.5%

  111      The Estee Lauder Cos., Inc. Class A   30,228

 

 

 

Pharmaceuticals – 4.9%

  497      Bristol-Myers Squibb Co.   36,296
  195      Eli Lilly & Co.   55,842
  524      Johnson & Johnson   92,869
  535      Merck & Co., Inc.   43,897
  1,085      Pfizer, Inc.   56,170
  122      Zoetis, Inc.   23,008
    

 

  308,082

 

 

 

Professional Services – 0.2%

  60      Verisk Analytics, Inc.   12,878

 

 

 


GOLDMAN SACHS DEFENSIVE EQUITY FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Road & Rail – 0.7%

  172      Union Pacific Corp.   $     46,992

 

 

 

Semiconductors & Semiconductor Equipment – 6.3%

  420      Advanced Micro Devices, Inc.*   45,923
  201      Applied Materials, Inc.   26,492
  83      Broadcom, Inc.   52,264
  814      Intel Corp.   40,342
  40      Lam Research Corp.   21,504
  449      NVIDIA Corp.   122,514
  84      NXP Semiconductors NV   15,547
  248      QUALCOMM, Inc.   37,899
  202      Texas Instruments, Inc.   37,063
    

 

  399,548

 

 

 

Software – 9.6%

  110      Adobe, Inc.*   50,118
  71      Fortinet, Inc.*   24,264
  75      Intuit, Inc.   36,063
  1,234      Microsoft Corp.   380,454
  330      Oracle Corp.   27,301
  246      salesforce.com, Inc.*   52,231
  64      ServiceNow, Inc.*   35,641
    

 

  606,072

 

 

 

Specialty Retail – 2.7%

  217      Lowe’s Cos., Inc.   43,875
  32      O’Reilly Automotive, Inc.*   21,919
  234      The Home Depot, Inc.   70,043
  363      The TJX Cos., Inc.   21,991
  57      Tractor Supply Co.   13,302
    

 

  171,130

 

 

 

Technology Hardware, Storage & Peripherals – 6.9%

  2,512      Apple, Inc.   438,620

 

 

 

Textiles, Apparel & Luxury Goods – 0.7%

  329      NIKE, Inc. Class B   44,270

 

 

 

TOTAL COMMON STOCKS

(Cost $5,843,715)

  $5,931,389

 

 

Shares      Dividend
Rate
  Value
  Investment Company(a) – 2.8%
 

Goldman Sachs Financial Square Government Fund - Institutional
Shares

  174,128      0.253%   $   174,128

 

 

 
TOTAL INVESTMENTS – 96.6%
(Cost $6,017,843)
  $6,105,517

 

 

 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 3.4%
  216,197

 

 

  NET ASSETS – 100.0%   $6,321,714

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.
(a)   Represents an affiliated issuer.

 

 

Investment Abbreviation:
PLC  

— Public Limited Company

 

 


GOLDMAN SACHS DEFENSIVE EQUITY FUND

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At March 31, 2022, the Fund had the following futures contracts:

 

Description      Number of
Contracts
     Expiration
Date
       Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

S&P 500 E-Mini Index

     2        06/17/22        $ 453,075        $ 36,681  

 

PURCHASED AND WRITTEN OPTIONS CONTRACTS — At March 31, 2022, the Fund had the following purchased and written options:

EXCHANGE TRADED OPTIONS ON FUTURES

 

Description    Exercise
Price
    Expiration
Date
    Number of
Contracts
    Notional
Amount
    Market
Value
    Premiums Paid
(Received)
by Fund
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Purchased option contracts

 

Puts

 

S&P 500 Index

   $ 4,165.000       04/29/2022       5     $ 500     $ 8,000     $ 43,636     $ (35,636

S&P 500 Index

     4,120.000       05/31/2022       5       500       20,500       71,434       (50,934

S&P 500 Index

     4,365.000       06/30/2022       5       500       58,625       56,711       1,914  

 

 

Total purchased option contracts

         15     $ 1,500     $ 87,125     $ 171,781     $ (84,656

 

 

Written option contracts

              

Calls

              

S&P 500 Index

     4,655.000       04/29/2022       (5)       (500     (16,475     (45,119     28,644  

S&P 500 Index

     4,795.000       06/30/2022       (5)       (500     (23,650     (27,725     4,075  

S&P 500 Index

     4,610.000       05/31/2022       (5)       (500     (46,625     (32,701     (13,924

 

 
         (15)     $ (1,500   $ (86,750   $ (105,545   $ 18,795  

 

 

Puts

              

S&P 500 Index

     3,590.000       04/29/2022       (5)       (500     (1,488     (13,955     12,467  

S&P 500 Index

     3,850.000       06/30/2022       (5)       (500     (19,450     (18,978     (472

S&P 500 Index

     3,560.000       05/31/2022       (5)       (500     (4,925     (24,371     19,446  

 

 
         (15)     $ (1,500   $ (25,863   $ (57,304   $ 31,441  

 

 

Total written option contracts

         (30)     $ (3,000   $ (112,613   $ (162,849   $ 50,236  

 

 

TOTAL

         (15)     $ (1,500   $ (25,488   $ 8,932     $ (34,420

 

 


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS

 

 

A. Investment Valuation — The Funds’ valuation policy is to value investments at fair value.

U.S. GAAP defines the fair value of a financial instrument as the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price); the Funds’ policy is to use the market approach. GAAP establishes a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The level in the fair value hierarchy within which the fair value measurement in its entirety falls shall be determined based on the lowest level input that is significant to the fair value measurement in its entirety.The levels used for classifying investments are not necessarily an indication of the risk associated with investing in these investments. The three levels of the fair value hierarchy are described below:

Level 1 — Unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities;

Level 2 — Quoted prices in markets that are not active or financial instruments for which significant inputs are observable (including, but not limited to, quoted prices for similar investments, interest rates, foreign exchange rates, volatility and credit spreads), either directly or indirectly;

Level 3 — Prices or valuations that require significant unobservable inputs (including GSAM’s assumptions in determining fair value measurement).

The Board of Trustees (“Trustees”) has approved Valuation Procedures that govern the valuation of the portfolio investments held by the Funds, including investments for which market quotations are not readily available. The Trustees have delegated to GSAM day-to-day responsibility for implementing and maintaining internal controls and procedures related to the valuation of the Portfolios investments. To assess the continuing appropriateness of pricing sources and methodologies, GSAM regularly performs price verification procedures and issues challenges as necessary to third party pricing vendors or brokers, and any differences are reviewed in accordance with the Valuation Procedures.

B. Level 1 and Level 2 Fair Value Investments — The valuation techniques and significant inputs used in determining the fair values for investments classified as Level 1 and Level 2 are as follows:

Equity Securities — Equity securities traded on a United States (“U.S.”) securities exchange or the NASDAQ system, or those located on certain foreign exchanges, including but not limited to the Americas, are valued daily at their last sale price or official closing price on the principal exchange or system on which they are traded. If there is no sale or official closing price or such price is believed by GSAM to not represent fair value, equity securities will be valued at the valid closing bid price for long positions and at the valid closing ask price for short positions (i.e. where there is sufficient volume, during normal exchange trading hours). If no valid bid/ask price is available, the equity security will be valued pursuant to the Valuation Procedures approved by the Trustees and consistent with applicable regulatory guidance. To the extent these investments are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. Certain equity securities containing unique attributes may be classified as Level 2.

Unlisted equity securities for which market quotations are available are valued at the last sale price on the valuation date, or if no sale occurs, at the last bid price for long positions or the last ask price for short positions, and are generally classified as Level 2. Securities traded on certain foreign securities exchanges are valued daily at fair value determined by an independent fair value service (if available) under Fair Valuation Procedures approved by the Trustees and consistent with applicable regulatory guidance. The independent fair value service takes into account multiple factors including, but not limited to, movements in the securities markets, certain depositary receipts, futures contracts and foreign currency exchange rates that have occurred subsequent to the close of the foreign securities exchange. These investments are generally classified as Level 2 of the fair value hierarchy.

Underlying Funds (including Money Market Funds) — Underlying funds (“Underlying Funds”) include other investment companies and exchange-traded funds (“ETFs”). Investments in the Underlying Funds (except ETFs) are valued at the NAV per share on the day of valuation. ETFs are valued daily at the last sale price or official closing price on the principal exchange or system on which the investment is traded. Because the Funds invest in Underlying Funds that fluctuate in value, the Funds’ shares will correspondingly fluctuate in value. Underlying Funds are generally classified as Level 1 of the fair value hierarchy. To the extent that underlying ETFs are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. For information regarding an Underlying Fund’s accounting policies and investment holdings, please see the Underlying Fund’s shareholder report.

Derivative Contracts — A derivative is an instrument whose value is derived from underlying assets, indices, reference rates or a combination of these factors. A Portfolio enters into derivative transactions to hedge against changes in interest rates, securities prices, and/or currency exchange rates, to increase total return, or to gain access to certain markets or attain exposure to other underliers. For financial reporting purposes, cash collateral that has been pledged to cover obligations of a Portfolio and cash collateral received, if any, is reported separately on the Statements of Assets and Liabilities as receivables/payables for collateral on certain derivatives contracts. Non-cash collateral pledged by a Portoflio, if any, is noted in the Schedules of Investments.


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Exchange-traded derivatives, including futures and options contracts, are generally valued at the last sale or settlement price on the exchange where they are principally traded. Exchange-traded options without settlement prices are generally valued at the midpoint of the bid and ask prices on the exchange where they are principally traded (or, in the absence of two-way trading, at the last bid price for long positions and the last ask price for short positions). Exchange-traded derivatives typically fall within Level 1 of the fair value hierarchy. Over-the-counter (“OTC”) and centrally cleared derivatives are valued using market transactions and other market evidence, including market-based inputs to models, calibration to market-clearing transactions, broker or dealer quotations, or other alternative pricing sources. Where models are used, the selection of a particular model to value OTC and centrally cleared derivatives depends upon the contractual terms of, and specific risks inherent in, the instrument, as well as the availability of pricing information in the market. Valuation models require a variety of inputs, including contractual terms, market prices, yield curves, credit curves, measures of volatility, voluntary and involuntary prepayment rates, loss severity rates and correlations of such inputs. For OTC and centrally cleared derivatives that trade in liquid markets, model inputs can generally be verified and model selection does not involve significant management judgment. OTC and centrally cleared derivatives are classified within Level 2 of the fair value hierarchy when significant inputs are corroborated by market evidence.

i. Forward Contracts — A forward contract is a contract between two parties to buy or sell an asset at a specified price on a future date. A forward contract settlement can occur on a cash or delivery basis. Forward contracts are marked-to-market daily using independent vendor prices, and the change in value, if any, is recorded as an unrealized gain or loss. Cash and certain investments may be used to collateralize forward contracts.

A forward foreign currency exchange contract is a forward contract in which a Fund agrees to receive or deliver a fixed quantity of one currency for another, at a pre-determined price at a future date. All forward foreign currency exchange contracts are marked to market daily by using the outright forward rates or interpolating based upon maturity dates, where available. Non-deliverable forward foreign currency exchange contracts are settled with the counterparty in cash without the delivery of foreign currency.

ii. Futures Contracts — Futures contracts are contracts to buy or sell a standardized quantity of a specified commodity or security. Upon entering into a futures contract, a Fund deposits cash or securities in an account on behalf of the broker in an amount sufficient to meet the initial margin requirement. Subsequent payments are made or received by a Fund equal to the daily change in the contract value and are recorded as variation margin receivable or payable with a corresponding offset to unrealized gains or losses.

iii. Options — When a Fund writes call or put options, an amount equal to the premium received is recorded as a liability and is subsequently marked-to-market to reflect the current value of the option written. Swaptions are options on swap contracts.

Upon the purchase of a call option or a put option by a Fund, the premium paid is recorded as an investment and subsequently marked-to-market to reflect the current value of the option. Certain options may be purchased with premiums to be determined on a future date. The premiums for these options are based upon implied volatility parameters at specified terms.

iv. Swap Contracts — Bilateral swap contracts are agreements in which a Fund and a counterparty agree to exchange periodic payments on a specified notional amount or make a net payment upon termination. Bilateral swap transactions are privately negotiated in the OTC market and payments are settled through direct payments between a Fund and the counterparty. By contrast, certain swap transactions are subject to mandatory central clearing. These swaps are executed through a derivatives clearing member (“DCM”), acting in an agency capacity, and submitted to a central counterparty (“CCP”) (“centrally cleared swaps”), in which case all payments are settled with the CCP through the DCM. Swaps are marked-to-market daily using pricing vendor quotations, counterparty or clearinghouse prices or model prices, and the change in value, if any, is recorded as an unrealized gain or loss. Upon entering into a swap contract, a Fund is required to satisfy an initial margin requirement by delivering cash or securities to the counterparty (or in some cases, segregated in a triparty account on behalf of the counterparty), which can be adjusted by any mark-to-market gains or losses pursuant to bilateral or centrally cleared arrangements. For centrally cleared swaps the daily change in valuation, if any, is recorded as a receivable or payable for variation margin.

A credit default swap is an agreement that involves one party (the buyer of protection) making a stream of payments to another party (the seller of protection) in exchange for the right to receive protection on a reference security or obligation, including a group of assets or exposure to the performance of an index. A Fund’s investment in credit default swaps may involve greater risks than if the Fund had invested in the referenced obligation directly. Credit events are contract specific but may include bankruptcy, failure to pay, restructuring and obligation acceleration. If a Fund buys protection through a credit default swap and no credit event occurs, its payments are limited to the periodic payments previously made to the counterparty. Upon the occurrence of a specified credit event, a Fund, as a buyer of credit protection, is entitled to receive an amount equal to the notional amount of the swap and deliver to the seller the defaulted reference obligation in a physically settled trade. A Fund may also receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade.

As a seller of protection, a Fund generally receives a payment stream throughout the term of the swap, provided that there is no credit event. In addition, if a Fund sells protection through a credit default swap, the Fund could suffer a loss because the value of the referenced obligation and the premium payments received may be less than the notional amount of the swap paid to the buyer of protection. Upon the occurrence of a specified credit event, a Fund, as a seller of credit protection, may be required to take possession of the defaulted reference obligation and pay the buyer an amount equal to the notional amount of the swap in a physically settled trade. A Fund may also pay a net settlement


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade. Recovery values are at times established through the credit event auction process in which market participants are ensured that a transparent price has been set for the defaulted security or obligation. In addition, a Fund is entitled to a return of any assets, which have been pledged as collateral to the counterparty upon settlement.

The maximum potential amount of future payments (undiscounted) that a Fund as seller of protection could be required to make under a credit default swap would be an amount equal to the notional amount of the agreement. These potential amounts would be partially offset by any recovery values of the respective referenced obligations or net amounts received from a settlement of a credit default swap for the same reference security or obligation where a Fund bought credit protection.

A total return swap is an agreement that gives a Fund the right to receive or pay the appreciation or depreciation, as applicable, in the value of a specified security, an index, a basket of securities or indices or other instrument in return for a fee paid to the counterparty, which will typically be an agreed upon interest rate. If the underlying asset declines in value over the term of the swap, a Fund may also be required to pay the dollar value of that decline to the counterparty.

C. Level 3 Fair Value Investments — To the extent that significant inputs to valuation models and other alternative pricing sources are unobservable, or if quotations are not readily available, or if GSAM believes that such quotations do not accurately reflect fair value, the fair value of the Funds’ investments may be determined under Valuation Procedures approved by the Trustees. GSAM, consistent with its procedures and applicable regulatory guidance, may make an adjustment to the most recent valuation prices of either domestic or foreign securities in light of significant events to reflect what it believes to be the fair value of the securities at the time of determining a Fund’s NAV. To the extent investments are valued using single source broker quotations obtained directly from the broker or passed through from third party pricing vendors, such investments are classified as Level 3 investments.

D. Fair Value Hierarchy — The following is a summary of Funds’s investments and derivatives classified in the fair value hierarchy as of March 31, 2022:

 

                                                                    
ABSOLUTE RETURN TRACKER           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Common Stock and/or Other Equity Investments(a)

          
     $      $ 84,970      $  

Africa

       52,435        15,062         

Asia

       7,328        12,831,291         

Europe

       25,847,171        82,143,474         

North America

       1,127,272,789                

South America

              22,722         

Exchange Traded Funds

       882,089,221                

Investment Company

       1,523,230,259                
Total      $ 3,558,499,203      $ 95,097,519      $  
Derivative Type                          
Assets           

Forward Foreign Currency Exchange Contracts(b)

     $      $ 2,048,085      $  

Futures Contracts(b)

       32,952,268                

Credit Default Swap Contracts(b)

              1,601,060         

Total Return Swap Contracts(b)

              25,665,621         

Options Purchased

       879,575                
Total      $ 33,831,843      $ 29,314,766      $  
Liabilities           

Forward Foreign Currency Exchange Contracts(b)

     $      $ (1,509,919    $  

Futures Contracts(b)

       (14,895,615              

Credit Default Swap Contracts(b)

              (34,419       

Total Return Swap Contracts(b)

              (32,617,672       

Written option contracts

       (444,750              
Total      $ (15,340,365    $ (34,162,010    $  

 

(a)   Amounts are disclosed by continent to highlight the impact of time zone differences between local market close and the calculation of net asset value. Security valuations are based on the principal exchange or system on which they are traded, which may differ from country of domicile. The Funds utilize fair value model prices provided by an independent fair value service for international equities, resulting in a Level 2 classification.
(b)   Amount shown represents unrealized gain (loss) at period end.


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
COMMODITY STRATEGY           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

U.S. Treasury Obligations

     $ 47,110,156      $      $  

Investment Company

       106,327,665                

Short-term Investments

       709,494,449                
Total      $ 862,932,270      $      $  
Derivative Type                          
Assets(a)           

Futures Contracts

     $ 11,988,166      $      $  
Liabilities           

Futures Contracts(a)

     $ (23,461,153    $      $  

Total Return Swap Contracts

              (16,869       
Total      $ (23,461,153    $ (16,869    $  

 

(a)      Amount shown represents unrealized gain (loss) at period end.

          
DEFENSIVE EQUITY           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Common Stock and/or Other Equity Investments(a)

          

Europe

     $ 183,946      $      $  

North America

       5,747,443                

Investment Company

       174,128                
Total      $ 6,105,517      $      $  
Derivative Type                          
Assets           

Futures Contracts(b)

     $ 36,681      $      $  

Purchased Option Contracts

       87,125                
Total      $ 123,806      $      $  
Liabilities           

Written option contracts

     $ (112,613    $      $  

 

(a)   Amounts are disclosed by continent to highlight the impact of time zone differences between local market close and the calculation of net asset value. Security valuations are based on the principal exchange or system on which they are traded, which may differ from country of domicile. The Funds utilize fair value model prices provided by an independent fair value service for international equities, resulting in a Level 2 classification.
(b)   Amount shown represents unrealized gain (loss) at period end.

For further information regarding security characteristics, see the Schedules of Investments.

The Funds’ risks include, but are not limited to, the following:

Derivatives Risk — The Funds’ use of derivatives may result in loss. Derivative instruments, which may pose risks in addition to and greater than those associated with investing directly in securities, currencies or other instruments, may be illiquid or less liquid, volatile, difficult to price and leveraged so that small changes in the value of the underlying instruments may produce disproportionate losses to the Funds. Derivatives are also subject to counterparty risk, which is the risk that the other party in the transaction will not fulfill its contractual obligation. The use of derivatives is a highly specialized activity that involves investment techniques and risks different from those associated with investments in more traditional securities and instruments. Losses from derivatives can also result from a lack of correlation between changes in the value of derivative instruments and the portfolio assets (if any) being hedged

Foreign and Emerging Countries Risk — Investing in foreign markets may involve special risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of more or less foreign government regulation; less public information; less stringent investor protections; less stringent accounting, corporate governance, financial reporting and disclosure standards; and less economic, political and social stability in the countries in which the Fund invests. The imposition of exchange controls (including repatriation restrictions), confiscation of assets and property, trade restrictions (including tariffs) and other government restrictions by the U.S. or other governments, or problems


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

with registration, settlement or custody, may also result in losses. Foreign risk also involves the risk of negative foreign currency rate fluctuations, which may cause the value of securities denominated in such foreign currency (or other instruments through which the Fund has exposure to foreign currencies) to decline in value. Currency exchange rates may fluctuate significantly over short periods of time. To the extent that the Fund also invests in securities of issuers located in, or economically tied to, emerging markets, these risks may be more pronounced.

Foreign Custody Risk — A Fund invests in foreign securities, and as such the Fund may hold such securities and cash with foreign banks, agents, and securities depositories appointed by the Fund’s custodian (each a “Foreign Custodian”). Some foreign custodians may be recently organized or new to the foreign custody business. In some countries, Foreign Custodians may be subject to little or no regulatory oversight over, or independent evaluation of, their operations. Further, the laws of certain countries may place limitations on a Fund’s ability to recover its assets if a Foreign Custodian enters bankruptcy. Investments in emerging markets may be subject to even greater custody risks than investments in more developed markets. Custody services in emerging market countries are very often undeveloped and may be considerably less well regulated than in more developed countries, and thus may not afford the same level of investor protection as would apply in developed countries.

Interest Rate Risk — When interest rates increase, fixed income securities or instruments held by a Fund will generally decline in value. Long-term fixed income securities or instruments will normally have more price volatility because of this risk than short term fixed income securities or instruments. The risks associated with changing interest rates may have unpredictable effects on the markets and a Fund’s investments. Fluctuations in interest rates may also affect the liquidity of fixed income securities and instruments held by the Funds.

Investments in Other Investment Companies Risk — As a shareholder of another investment company, including an exchange traded fund (“ETF”), a Fund will indirectly bear its proportionate share of any net management fees and other expenses paid by such other investment companies, in addition to the fees and expenses regularly borne by the Fund. ETFs are subject to risks that do not apply to conventional mutual funds, including but not limited to the following: (i) the market price of the ETF’s shares may trade at a premium or a discount to their NAV; and (ii) an active trading market for an ETF’s shares may not develop or be maintained.

Large Shareholder Transactions Risk — A Fund may experience adverse effects when certain large shareholders, such as other funds, institutional investors (including those trading by use of non-discretionary mathematical formulas), financial intermediaries (who may make investment decisions on behalf of underlying clients and/or include a Fund in their investment model), individuals, accounts and Goldman Sachs affiliates, purchase or redeem large amounts of shares of a Fund. Such large shareholder redemptions, which may occur rapidly or unexpectedly, may cause a Fund to sell portfolio securities at times when it would not otherwise do so, which may negatively impact a Fund’s NAV and liquidity. These transactions may also accelerate the realization of taxable income to shareholders if such sales of investments resulted in gains, and may also increase transaction costs. In addition, a large redemption could result in a Fund’s current expenses being allocated over a smaller asset base, leading to an increase in the Fund’s expense ratio. Similarly, large Fund share purchases may adversely affect a Fund’s performance to the extent that the Fund is delayed in investing new cash or otherwise maintains a larger cash position than it ordinarily would.

Liquidity Risk — A Fund may make investments that are illiquid or that may become less liquid in response to market developments or adverse investor perceptions. Illiquid investments may be more difficult to value. Liquidity risk may be the result of, among other things, the reduced number and capacity of traditional market participants to make a market in fixed income securities or the lack of an active market. The potential for liquidity risk may be magnified by a rising interest rate environment or other circumstances where investor redemptions from fixed income funds may be higher than normal, potentially causing increased supply in the market due to selling activity. These risks may be more pronounced in connection with a Fund‘s investments in securities of issuers located in emerging market countries. Redemptions by large shareholders may have a negative impact on a Fund’s liquidity.

Market and Credit Risks — In the normal course of business, a Fund trades financial instruments and enters into financial transactions where risk of potential loss exists due to changes in the market (market risk). The value of the securities in which a Fund invests may go up or down in response to the prospects of individual companies, particular sectors or governments and/or general economic conditions throughout the world due to increasingly interconnected global economies and financial markets. Events such as war, acts of terrorism, social unrest, natural disasters, the spread of infectious illness or other public health threats could also significantly impact a Fund and its investments. Additionally, a Fund may also be exposed to credit risk in the event that an issuer or guarantor fails to perform or that an institution or entity with which the Fund has unsettled or open transactions defaults.

Tax Risk — The Commodity Strategy Fund will seek to gain exposure to the commodity markets primarily through investments in the Subsidiary and/or commodity index-linked structured notes, as applicable. Historically, the Internal Revenue Service (“IRS”) issued private letter rulings (“PLRs”) in which the IRS specifically concluded that income and gains from investments in commodity index-linked structured notes (the “Notes Rulings”) or a wholly-owned foreign subsidiary that invests in commodity-linked instruments are “qualifying income” for purposes of compliance with Subchapter M of the Code. The IRS has issued such PLRs to the Commodity Strategy Fund. Based on such rulings, this Fund may seek to gain exposure to the commodity markets through investments ub commodity-linked notes and/or subsidaries. The IRS recently issued final regulations that, would generally treat the Fund’s income inclusion with respect to a subsidiary as qualifying income either if (A) there is a distribution out of the earnings and profits of a subsidiary that are attributable to such income inclusion or (B) such inclusion is derived with respect to the Fund’s business of investing in stock, securities, or currencies.


GOLDMAN SACHS ALTERNATIVE FUNDS II

 

Schedule of Investments (continued)

March 31, 2022 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

The IRS also issued a revenue procedure, which states that the IRS will not in the future issue PLRs that would require a determination of whether an asset (such as a commodity index-linked note) is a “security” under the Investment Company Act of 1940. In connection with issuing such revenue procedure, the IRS has revoked the Notes Ruling on a prospective basis. In light of the revocation of the Notes Rulings, the Funds have limited their investments in commodity index-linked structured notes.



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