0001193125-16-752667.txt : 20161031 0001193125-16-752667.hdr.sgml : 20161031 20161031100510 ACCESSION NUMBER: 0001193125-16-752667 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 20 CONFORMED PERIOD OF REPORT: 20160831 FILED AS OF DATE: 20161031 DATE AS OF CHANGE: 20161031 EFFECTIVENESS DATE: 20161031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Goldman Sachs ETF Trust CENTRAL INDEX KEY: 0001479026 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-23013 FILM NUMBER: 161960281 BUSINESS ADDRESS: STREET 1: 200 WEST STREET CITY: NEW YORK STATE: NY ZIP: 10282-2198 BUSINESS PHONE: (312) 655-4400 MAIL ADDRESS: STREET 1: 200 WEST STREET CITY: NEW YORK STATE: NY ZIP: 10282-2198 0001479026 S000048289 Goldman Sachs ActiveBeta(R) International Equity ETF C000152545 Goldman Sachs ActiveBeta(R) International Equity ETF 0001479026 S000048292 Goldman Sachs ActiveBeta(R) Emerging Markets Equity ETF C000152548 Goldman Sachs ActiveBeta(R) Emerging Markets Equity ETF 0001479026 S000048293 Goldman Sachs ActiveBeta(R) Europe Equity ETF C000152549 Goldman Sachs ActiveBeta(R) Europe Equity ETF 0001479026 S000048294 Goldman Sachs ActiveBeta(R) Japan Equity ETF C000152550 Goldman Sachs ActiveBeta(R) Japan Equity ETF 0001479026 S000048295 Goldman Sachs ActiveBeta(R) U.S. Large Cap Equity ETF C000152551 Goldman Sachs ActiveBeta(R) U.S. Large Cap Equity ETF N-CSR 1 d238206dncsr.htm GOLDMAN SACHS ETF TRUST Goldman Sachs ETF Trust

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-23013

 

Goldman Sachs ETF Trust

 

(Exact name of registrant as specified in charter)

200 West Street, New York, New York 10282

 

(Address of principal executive offices) (Zip code)

 

Caroline Kraus, Esq.    Copies to:
Goldman, Sachs & Co.    Geoffrey R.T. Kenyon, Esq.
200 West Street    Dechert LLP
New York, New York 10282    100 Oliver Street
   40th Floor
   Boston, MA 02110-2605

 

(Name and address of agents for service)

 

Registrant’s telephone number, including area code: (312) 655-4400

 

Date of fiscal year end: August 31

 

Date of reporting period: August 31, 2016

 

 

ITEM 1. REPORTS TO STOCKHOLDERS.

 

     The Annual Report to Shareholders is filed herewith.


Goldman Sachs Funds

 

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Annual Report      

August 31, 2016

 
     

Goldman Sachs ActiveBeta® ETFs

     

ActiveBeta® Emerging Markets Equity ETF

     

ActiveBeta® Europe Equity ETF

     

ActiveBeta® International Equity ETF

     

ActiveBeta® Japan Equity ETF

     

ActiveBeta® U.S. Large Cap Equity ETF

 

 

ActiveBeta is a registered trademark of GSAM.

 

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Goldman Sachs ActiveBeta® ETFs

 

TABLE OF CONTENTS

 

Market Review

    1   

Portfolio Management Discussion and Performance Summaries

    4   

Schedules of Investments

    35   

Financial Statements

    67   

Financial Highlights

    70   

Notes to Financial Statements

    75   

Report of Independent Registered Public Accounting Firm

    87   

Other Information

    88   

 

     
NOT FDIC-INSURED   May Lose Value   No Bank Guarantee


MARKET REVIEW

 

Goldman Sachs ActiveBeta® ETFs

 

Market Review

Overall, United States and emerging market equities rallied during the 12 months ended August 31, 2016 (the “Reporting Period”), even amidst persistent volatility. The Standard & Poor’s 500® Index (the “S&P 500 Index”) ended the Reporting Period with a gain of 12.55%. The Russell 3000® Index generated a return of 11.44%. The MSCI Emerging Markets Index gained 11.83% during the Reporting Period. International equities, as represented by the MSCI World ex USA Index, increased a far more modest 0.53% during the Reporting Period.

Following a volatile summer 2015, U.S., international and emerging markets equities tumbled further in September 2015, before rebounding strongly in October 2015. U.S. equities finished November 2015 roughly flat, while international equities declined. In December 2015, the U.S. Federal Reserve (the “Fed”) delivered, as largely expected by markets, and voted unanimously for a 25 basis point hike in the targeted federal funds rate, its first rate hike since 2006. (A basis point is 1/100th of a percentage point.) The fairly dovish language in the Fed’s announcement, which re-emphasized “gradual” adjustments to policy going forward, helped to somewhat assuage the markets. (Dovish language or action tends to be that which is not strong or aggressive (opposite of hawkish).)

Early in 2016, however, U.S., international and emerging markets equities were embroiled in what was a global rout, triggered by investor concerns of an intensifying economic slowdown in China and exacerbated by a plunge in oil prices to less than $30 per barrel, the lowest level since 2003. The Fed’s statement in January 2016 acknowledged the risks from international markets and tightening financial conditions on the U.S. economy, and sentiment improved following a dovish European Central Bank (“ECB”) press conference on January 21, 2016. Global equities stabilized somewhat in February 2016, as other global central banks also sent a more dovish signal. U.S. equities were also supported during the month by strong U.S. economic data, rallying as fourth quarter 2015 Gross Domestic Product (“GDP”) came in above market expectations. However, international equities were still down in February 2016. In March 2016, the Fed kept interest rates on hold and surprised on the dovish side, reducing its forecast to two interest rate increases in 2016, down from four. Along with receding global economic concerns, this helped drive a recovery in U.S. equities. Further dovishness by other global central banks, along with receding global economic concerns, helped to finally drive a recovery in international equities as well. The ECB cut its deposit rate to -40 basis points, raised monthly quantitative easing, including the purchase of corporate bonds, and unveiled a new series of four-year loans to banks.

Following the rebound in March 2016, market sentiment remained sanguine in April 2016, as oil prices rose and China economic growth concerns abated with modestly improving economic data. However, the Bank of Japan (“BoJ”) disappointed markets near month-end, failing to implement additional monetary stimulus, as had been widely anticipated. This, along with a weaker than consensus expected first quarter 2016 U.S. GDP of 0.5%, drove U.S. equities to fall near the end of the month. In May 2016, weaker payroll data drove expectations for a Fed hike in June 2016 temporarily lower, but subsequent hawkish Fed minutes revived market expectations. U.S. and international equities rallied toward month-end on anticipation of better economic data, rising oil prices and optimism that the global economy could withstand U.S. rate hikes.

The Fed ultimately held interest rates steady in June 2016 and signaled a slower pace of hikes, acknowledging the slowdown in the labor market. Equity markets were otherwise dominated

 

1


MARKET REVIEW

 

in June 2016 by the U.K. referendum on whether to leave the European Union, popularly known as Brexit. U.S., international and emerging market equities sold off in the global risk-off sentiment that dominated toward the end of June 2016 in the days following the surprise “leave” result. However, global equity markets rather quickly rebounded owing to a combination of improving risk sentiment as markets digested the outcome and on dovish remarks from the Bank of England’s Governor Carney.

International equities rebounded strongly in July 2016, buoyed by expectations of easier monetary policy and a rebound in risk appetite, and U.S. equities were further buoyed by strong economic data and corporate earnings in July 2016, despite increased uncertainty post-Brexit. Internationally, concerns were somewhat assuaged by a dovish Bank of England Governor Carney, who expressed that “some monetary policy easing will likely be required over the summer.” The BoJ eased as had been widely expected, but the lack of further measures disappointed markets. In the U.S., payrolls reached an eight-month high in June 2016, suggesting that the especially weak May 2016 reading had been an outlier in an otherwise strong job market. Such sentiment was substantiated in August 2016, as payrolls data, released for July 2016, surprised to the upside for a second consecutive month.

The Bank of England delivered in August 2016, cutting policy rates by 25 basis points, accompanied by a large extension to its quantitative easing program, which helped offset negative sentiment following Brexit. However, investor concerns about U.S. rate hikes intensified following the strong July 2016 U.S. jobs reports and Fed Chair Janet Yellen’s hawkish speech at Jackson Hole toward the end of August 2016, acknowledging that the case for an interest rate hike had strengthened in recent months. Along with strong labor data and other recent hawkish comments from the Fed, this significantly increased the market-implied probability of an interest rate hike by year-end 2016. These factors combined to cause both U.S. and international equities to sell off and finish the month of August 2016 roughly flat.

Principal Investment Strategies

The investment objective of each of the ActiveBeta® Emerging Markets Equity ETF, ActiveBeta® Europe Equity ETF, ActiveBeta® International Equity ETF, ActiveBeta® Japan Equity ETF, ActiveBeta® U.S. Large Cap Equity ETF (each, a “Fund”), is to seek to provide investment results that closely correspond, before fees and expenses, to the performance of its respective underlying index (each, an “Index”).

Each Fund seeks to achieve its investment objective by investing at least 80% of its assets (exclusive of collateral held from securities lending) in securities included in its underlying index, in depositary receipts representing securities included in its underlying index and in underlying stocks in respect of depositary receipts included in its underlying index.

Each Index is designed to deliver exposure to equity securities within its applicable universe of issuers. Each Index is constructed using the patented ActiveBeta® Portfolio Construction Methodology, which was developed to provide exposure to the

 

2


MARKET REVIEW

 

“factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns. These factors include value (i.e., how attractively a stock is priced relative to its “fundamentals,” such as book value and free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). Given each Fund’s investment objective of attempting to track its Index, each Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors.

Goldman Sachs Asset Management, L.P. (the “Index Provider”) constructs each Index in accordance with a rules-based methodology that involves two steps.

Step 1

In the first step, individual factor subindexes for value, momentum, quality and low volatility (the “ActiveBeta® Factor Subindexes”) are created from the constituents of the applicable Reference Index, a market capitalization-weighted index. To construct each ActiveBeta® Factor Subindex, all constituents in the applicable Reference Index are assigned a “factor score” based on certain specified measurements (for example, in the case of the value factor, the factor score is based on a composite of book value-to-price, sales-to-price and free cash flow-to-price). Securities with a factor score that is above a fixed “Cut-off Score” receive an overweight in the applicable ActiveBeta® Factor Subindex relative to the applicable Reference Index and securities with a factor score that is below the Cut-off Score receive an underweight in the ActiveBeta® Factor Subindex relative to the applicable Reference Index. Accordingly, the magnitude of overweight or underweight that a security receives in constructing the applicable ActiveBeta® Factor Subindex is determined by its attractiveness when evaluated based on the relevant factor. Each Index only includes long positions (i.e., short positions are impermissible), so the smallest weight for any given security is zero.

Step 2

The ActiveBeta® Factor Subindexes are combined in equal weights to form each Index.

Each Index is rebalanced on a quarterly basis in accordance with the published rebalancing schedule of the applicable Reference Index. The rules-based process used to construct each Index incorporates the ActiveBeta® Turnover Minimization Technique, which seeks to reduce turnover within each Index.

 

3


PORTFOLIO RESULTS

 

Goldman Sachs ActiveBeta® Emerging Markets Equity ETF

 

Investment Objective

The Goldman Sachs ActiveBeta® Emerging Markets Equity ETF (the “Fund”) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Emerging Markets Equity Index (the “Index”).

Portfolio Management Discussion and Analysis

Below, the Goldman Sachs Quantitative Investment Strategies Team discusses the Fund’s performance and positioning for the period since its inception on September 25, 2015 through August 31, 2016 (the “Reporting

Period”).

 

Q   How did the Fund perform during the Reporting Period?

 

A   During the Reporting Period, the Fund returned 13.29% based on net asset value (“NAV”) and 13.20% based on market price.1 The Index returned 13.77%, and the MSCI Emerging Markets Index (net, unhedged, USD) (“MSCI Emerging Markets Index”), a market-cap based index against which the performance of the Fund is measured, and the reference index for the Index, returned 15.75% during the same period.

 

    The Fund had a NAV of $25.00 per share on the date of inception and ended the Reporting Period with a NAV of $28.03 per share. The Fund’s market price on August 31, 2016 was $28.01 per share.

 

Q   What key factors were responsible for the Fund’s performance during the Reporting Period?

 

A   The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index. The Fund’s performance reflects Fund expenses, including management fees and brokerage expenses. The Fund’s relative performance also reflects the impact of any cash held in the Fund, as well as any other differences between the Fund’s holdings and the constituents of the Index. The Index is unmanaged, and Index returns do not reflect fees and expenses, which would reduce returns.

 

    The Index is constructed using a rules-based methodology that was developed to provide exposure to the “factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns, and its performance is compared to that of the MSCI Emerging Markets Index. Because the Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index, the discussion below compares the performance of the Fund to that of the MSCI Emerging Markets Index. Given the Fund’s investment objective of attempting to track the Index, the Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors. The Fund does not follow a strategy of seeking to outperform the MSCI Emerging Markets Index, and overweights and underweights relative to the MSCI Emerging Markets Index discussed below resulted from the Fund’s replication of the Index, rather than a decision to overweight or underweight a particular sector, country, or stock.

 

    The Fund posted robust absolute gains but underperformed the MSCI Emerging Markets Index during the Reporting Period. Amongst underlying factors, Momentum, Quality and Low Volatility detracted from relative results, while Value contributed positively during the Reporting Period. Momentum is whether a company’s share price is trending up or down. Quality refers to sustainable profitability over time. Low Volatility is a relatively low degree of fluctuations in a company’s share price over time. Value refers to how attractively a stock is priced relative to its fundamentals, such as book value and free cash flow.

 

  1    The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the market price returns.

 

4


PORTFOLIO RESULTS

 

 

Q   Which sectors and countries contributed most positively to the Fund’s relative performance during the Reporting Period, and which detracted most?

 

A   Index constituents in the consumer discretionary, financials and materials sectors detracted from the Fund’s results relative to the MSCI Emerging Markets Index during the Reporting Period. Partially offsetting these detractors were Index constituents in the utilities and industrials sectors, which contributed most positively to the Fund’s results relative to the MSCI Emerging Markets Index.

 

    From a country perspective, Index constituents in South Africa, Brazil and Thailand detracted the most from the Fund’s results relative to the MSCI Emerging Markets Index during the Reporting Period. Conversely, holdings in Greece and China contributed most positively to the Fund’s results relative to the MSCI Emerging Markets Index.

 

Q   Which individual positions detracted from the Fund’s results during the Reporting Period?

 

A   Relative to the MSCI Emerging Markets Index, an underweight position in Brazilian integrated oil company Petroleo Brasileiro and overweight positions in South Korean home and office furniture manufacturer Hanssem and Hong Kong-based specialty pharmaceutical company Sino Biopharmaceutical detracted most (0.11%, 0.19% and 0.37% of Fund net assets as of August 31, 2016, respectively). Petroleo Brasileiro generated a triple-digit gain during the Reporting Period, while Hanssem and Sino Biopharmaceutical each posted a double-digit decline during the Reporting Period.

 

Q   Which individual stock positions contributed the most to the Fund’s relative returns during the Reporting Period?

 

A   Relative to the MSCI Emerging Markets Index, overweight positions in South Korean personal care products manufacturer Amorepacific, Brazilian electric utility Centrais Eletricas Brasileiras and Brazilian retail drugstore chain Raia Drogasil contributed most positively (0.46%, 0.28% and 0.51% of Fund net assets as of August 31, 2016, respectively). Amorepacific and Raia Drogasil each produced a double-digit gain during the Reporting Period, and Centrais Eletricas Brasileiras posted a triple-digit increase during the Reporting Period.

 

Q   How did the Fund use derivatives and similar instruments during the Reporting Period?

 

A   The Fund does not employ derivatives as a source of alpha generation, although it may use them to equitize excess cash.

 

Q   What was the Fund’s sector positioning relative to the Index and the reference index at the end of the Reporting Period?2

 

     Sector Name   Fund3      GS
ActiveBeta®
Index
     MSCI EM
Index
 
  Financials     24.09      24.63      26.52
  Information Technology     19.93         19.31         23.26   
  Consumer Staples     13.96         14.40         7.93   
  Consumer Discretionary     10.63         10.73         10.53   
  Telecommunication Services     8.10         8.16         6.33   
  Energy     7.02         6.98         7.21   
  Materials     5.43         5.29         6.47   
  Industrials     3.91         4.02         6.10   
  Health Care     3.73         4.14         2.58   
  Utilities     2.91         2.34         3.07   
    Cash & Cash Equivalents     0.27         0.00         0.00   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Emerging Markets Equity Index.

 

  3    Country and sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

5


PORTFOLIO RESULTS

 

 

Q   What was the Fund’s country positioning relative to the Index and the reference index at the end of the Reporting Period?2

 

     Country Name   Fund3      GS
ActiveBeta®
Index
     MSCI EM
Index
 
  China     25.14      25.11      26.56
  Korea     16.25         16.68         14.94   
  Taiwan     11.34         11.33         12.04   
  India     8.97         8.62         8.34   
  Brazil     8.36         8.06         7.46   
  South Africa     6.55         7.41         6.88   
  Mexico     3.99         4.07         3.86   
  Russia     3.84         4.08         3.59   
  Indonesia     2.86         2.66         2.72   
  Malaysia     2.72         2.50         2.79   
  Thailand     2.18         2.40         2.33   
  Philippines     1.35         1.22         1.45   
  Turkey     1.23         1.31         1.20   
  Chile     1.21         0.96         1.15   
  Poland     0.84         0.90         1.11   
  United Arab Emirates     0.57         0.45         0.86   
  Egypt     0.53         0.41         0.19   
  Hungary     0.46         0.46         0.28   
  Qatar     0.45         0.53         0.94   
  Colombia     0.39         0.25         0.47   
  Peru     0.30         0.20         0.38   
  Cash & Cash Equivalents     0.27         0.00         0.00   
  Greece     0.19         0.19         0.33   
    Czech     0.00         0.18         0.15   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Emerging Markets Equity Index.

 

  3    Country and sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

6


FUND BASICS

 

ActiveBeta® Emerging Markets Equity ETF

as of August 31, 2016

 

 

LOGO

 

  FUND SNAPSHOT   
     As of August 31, 2016       
  Market Price1   $ 28.01   
    Net Asset Value (NAV)1   $ 28.03   

 

  1    The Market Price is the price at which the Fund’s shares are trading on the NYSE Arca Inc. The Market Price of the Fund’s shares will fluctuate and, at the time of sale, shares may be worth more or less than the original investment or the Fund’s then current net asset value (“NAV”). The NAV is the market value of one share of the Fund. This amount is derived by dividing the total value of all the securities in the Fund’s portfolio, plus other assets, less any liabilities, by the number of Fund shares outstanding. Fund shares are not individually redeemable and are issued and redeemed by the Fund at their NAV only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Information regarding how often shares of each Fund traded on NYSE Arca at a price above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund can be found at www.GSAMFUNDS.com.

 

  PERFORMANCE REVIEW   
    

September 25, 2015–

August 31, 2016

   Fund Total Return
(based on NAV)2
    Fund Total Return
(based on Market Price)2
    GS ActiveBeta®
EME Index3
    MSCI EM Index4  
    Shares      13.29     13.20     13.77     15.75

 

  2    Total returns are calculated assuming purchase of a share at the market price or NAV on the first day and sale of a share at the market price or NAV on the last day of each period reported. The Total Returns Based on NAV and Market Price assume the reinvestment of dividends and do not reflect brokerage commissions in connection with the purchase or sale of Fund shares, which if included would lower the performance shown above. The NAV used in the Total Return calculation assumes all management fees and operating expenses incurred by the Fund. Market Price returns are based upon the midpoint of the bid/ask spread (last trade) at 4:00 pm EST and do not reflect the returns you would receive if you traded shares at other times. The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the Market Price returns. Total returns for periods less than one full year are not annualized.

 

  3    The Goldman Sachs ActiveBeta® Emerging Markets Equity Index (“the Index”) is designed to deliver exposure to equity securities of emerging market issuers. The Index seeks to capture common sources of active equity returns, including value (i.e., how attractively a stock is priced relative to its “fundamentals”, such as book value or free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). The Index is reconstituted and rebalanced quarterly. It is not possible to invest directly in an unmanaged index.

 

  4    The MSCI Emerging Markets Index captures large and mid cap representation across 23 Emerging Markets countries. It is not possible to invest directly in an unmanaged index.

 

The returns set forth in the tables above represent past performance. Past performance does not guarantee future results. The Fund’s investment returns and principal value will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. Please visit our web site at www.GSAMFUNDS.com to obtain the most recent month-end returns. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown. In their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale or redemption of Fund shares.

 

7


FUND BASICS

 

 

 

  EXPENSE RATIOS5   
          Net Expense Ratio (Current)        Gross Expense Ratio
(Before expense limitation)
 
    Shares     0.45        0.76

 

  5    The expense ratios of the Fund, both current (net of any expense limitation) and before expense limitation (gross of any expense limitation) are as set forth above according to the most recent publicly available Prospectus for the Fund and may differ from the expense ratios disclosed on the Financial Highlights in this report. Pursuant to a contractual arrangement, the Fund’s expense limitation will remain in effect permanently and the Investment Adviser may not terminate the arrangement without the approval of the Fund’s Board of Trustees.

 

  TOP TEN HOLDINGS AS OF 8/31/166
     Holding   % of Net Assets     Line of Business   Country
  iShares MSCI India ETF     4.6   Exchange Traded Fund   United States
  Samsung Electronics Co. Ltd.     3.5      Information Technology   South Korea
  Taiwan Semiconductor Manufacturing Co. Ltd.     3.4      Information Technology   Taiwan
  Tencent Holdings Ltd.     3.2      Information Technology   China
  iShares India 50 ETF     2.2      Exchange Traded Fund   United States
  Alibaba Group Holding Ltd. ADR     2.1      Information Technology   China
  China Mobile Ltd.     2.0      Telecommunication Services   China
  China Construction Bank Corp., Class H     1.5      Financials   China
  PowerShares India Portfolio     1.3      Exchange Traded Fund   United States
    Industrial & Commercial Bank of China Ltd., Class H     1.2      Financials   China

 

  6    The top 10 holdings may not be representative of the Fund’s future investments.

 

8


FUND BASICS

 

 

FUND SECTOR ALLOCATIONS7
As of August 31, 2016

 

LOGO

 

 

  7    The Fund’s composition may differ over time. Consequently, the Fund’s overall industry sector allocations may differ from percentages contained in the graph above. The graph categorizes investments using Global Industry Classification Standard (“GICS”), however, the sector classifications used by the portfolio management team may differ from GICS. Underlying sector allocations of exchange-traded funds held by the Fund are not reflected in the graph above. The percentage shown for each investment category reflects the value of investments in that category as a percentage of market value.

 

9


ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Performance Summary

August 31, 2016

 

The following graph shows the value, as of August 31, 2016, of a $10,000 investment made on September 25, 2015 (commencement of operations) in ETF Shares at NAV. For comparative purposes, the performance of the Fund’s underlying index and secondary underlying index, the Goldman Sachs ActiveBeta® Emerging Markets Equity Index and the MSCI EM Index (net, unhedged), are shown. This performance data represents past performance and should not be considered indicative of future performance, which will fluctuate with changes in market conditions. These performance fluctuations may cause an investor’s shares to be worth more or less than their original cost. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown and in their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale of Fund shares. In addition to the performance of constituents of the underlying index, other factors may affect Fund performance. These factors include, but are not limited to, Fund operating fees and expenses, portfolio turnover and creation and redemption in-kind transactions.

 

ActiveBeta® Emerging Markets Equity ETF’s Lifetime Performance

Performance of a $10,000 Investment, with distributions reinvested, from September 25, 2015 through August 31, 2016.

LOGO

 

Average Annual Total Return through August 31, 2016    Since Inception

 

Shares based on NAV (Commenced September 25, 2015)

   13.29%*

 

 

*   Total return for periods of less than one year represents cumulative total return.

 

10


PORTFOLIO RESULTS

 

Goldman Sachs ActiveBeta® Europe Equity ETF

 

Investment Objective

The Goldman Sachs ActiveBeta® Europe Equity ETF (the “Fund”) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Europe Equity Index (the “Index”).

Portfolio Management Discussion and Analysis

Below, the Goldman Sachs Quantitative Investment Strategies Team discusses the Fund’s performance and positioning for the period since its inception on March 2, 2016 through August 31, 2016 (the “Reporting Period”).

 

Q   How did the Fund perform during the Reporting Period?

 

A   During the Reporting Period, the Fund returned 6.23% based on net asset value (“NAV”) and 6.55% based on market price.1 The Index returned 6.18%, and the MSCI Europe Index (net, unhedged, USD) (“MSCI Europe Index”), a market-cap based index against which the performance of the Fund is measured, and the reference index for the Index, returned 6.15% during the same period.

 

    The Fund had a NAV of $25.03 per share on the date of inception and ended the Reporting Period with a NAV of $26.12 per share. The Fund’s market price on August 31, 2016 was $26.20 per share.

 

Q   What key factors were responsible for the Fund’s performance during the Reporting Period?

 

A   The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index. The Fund’s performance reflects Fund expenses, including management fees and brokerage expenses. The Fund’s relative performance also reflects the impact of any cash held in the Fund, as well as any other differences between the Fund’s holdings and the constituents of the Index. The Index is unmanaged, and Index returns do not reflect fees and expenses, which would reduce returns.

 

    The Index is constructed using a rules-based methodology that was developed to provide exposure to the “factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns, and its performance is compared to that of the MSCI Europe Index. Because the Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index, the discussion below compares the performance of the Fund to that of the MSCI Europe Index. Given the Fund’s investment objective of attempting to track the Index, the Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors. The Fund does not follow a strategy of seeking to outperform the MSCI Europe Index, and overweights and underweights relative to the MSCI Europe Index discussed below resulted from the Fund’s replication of the Index, rather than a decision to overweight or underweight a particular sector, country, or stock.

 

   The Fund outperformed the MSCI Europe Index during the Reporting Period. Amongst underlying factors, Momentum contributed positively to relative results during the Reporting Period. Value and Quality detracted from relative results during the Reporting Period, while Low Volatility had a rather neutral effect. Momentum is whether a company’s share price is trending up or down. Value refers to how attractively a stock is priced relative to its fundamentals, such as book value and free cash flow. Quality refers to sustainable profitability over time. Low Volatility is a relatively low degree of fluctuation in a company’s share price over time.

 

Q   Which sectors and countries contributed most positively to the Fund’s relative performance during the Reporting Period, and which detracted most?

 

A   Index constituents in the financials, information technology and health care sectors contributed most positively to the Fund’s results relative to the MSCI Europe Index during the Reporting Period. Index constituents in the consumer

 

  1    The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the market price returns.

 

11


PORTFOLIO RESULTS

 

 

discretionary, materials and industrials sectors detracted most from the Fund’s results relative to the MSCI Europe Index during the Reporting Period.

 

    From a country perspective, Index constituents in Spain, France and Germany contributed most positively to the Fund’s results relative to the MSCI Europe Index. Conversely, holdings in the U.K., Ireland and Belgium detracted the most from the Fund’s results relative to the MSCI Europe Index during the Reporting Period.

 

Q   Which individual stock positions contributed the most to the Fund’s relative returns during the Reporting Period?

 

A   Relative to the MSCI Europe Index, overweight positions in French digital services company Atos and German sports shoes, apparel and equipment manufacturer Adidas and an underweight position in U.K. bank Lloyds Banking Group contributed most positively (1.01%, 0.87% and 0.11% of Fund net assets as of August 31, 2016, respectively). Atos and Adidas each posted a double-digit gain during the Reporting Period. Lloyds Banking Group generated a double-digit decline during the Reporting Period.

 

Q   Which individual positions detracted from the Fund’s results during the Reporting Period?

 

A   Relative to the MSCI Europe Index, overweight positions in Swiss offshore drilling contractor Transocean, U.K. bookmaking services provider William Hill and Italian bank Banco Popolare detracted most (0.00%, 0.38% and 0.00% of Fund net assets as of August 31, 2016, respectively). Each of these stocks generated a double-digit decline during the Reporting Period.

 

Q   How did the Fund use derivatives and similar instruments during the Reporting Period?

 

A   The Fund does not employ derivatives as a source of alpha generation, although it may use them to equitize excess cash.

 

Q   What was the Fund’s sector positioning relative to the Index and reference index at the end of the Reporting Period?2

 

     Sector Name   Fund3      GS
ActiveBeta®
Index
     MSCI EU
Index
 
  Consumer Staples     18.39      18.45      15.93
  Financials     15.14         16.58         19.79   
  Industrials     14.75         14.54         12.82   
 

Consumer

Discretionary

    14.42         14.04         10.52   
  Health Care     14.01         13.63         13.64   
  Materials     5.96         5.68         7.50   
 

Information

Technology

    5.53         5.42         4.68   
  Energy     4.29         3.70         6.67   
  Utilities     4.04         4.23         3.95   
  Telecommunication Services     3.46         3.73         4.50   
    Cash and Cash Equivalents     0.01         0.00         0.00   

 

Q   What was the Fund’s country positioning relative to the Index and reference index at the end of the Reporting Period?2

 

     Country Name   Fund3      GS
ActiveBeta®
Index
     MSCI EU
Index
 
  UK     28.12      27.50      30.03
  France     17.23         17.34         15.20   
  Switzerland     13.92         14.07         14.20   
  Germany     13.22         13.51         14.27   
  Netherlands     5.35         5.14         5.26   
  Spain     4.88         4.75         4.77   
  Italy     4.15         4.27         3.09   
  Sweden     3.61         3.60         4.38   
  Denmark     3.35         3.50         2.90   
  Belgium     1.77         1.73         2.10   
  Norway     1.59         1.60         0.98   
  Finland     1.41         1.34         1.52   
  Ireland     0.59         0.99         0.76   
  Austria     0.48         0.39         0.27   
  Portugal     0.32         0.29         0.24   
    Cash and Cash Equivalents     0.01         0.00         0.00   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Europe Equity Index.

 

  3    Country and sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

12


FUND BASICS

 

ActiveBeta® Europe Equity ETF

as of August 31, 2016

 

 

LOGO

 

  FUND SNAPSHOT   
     As of August 31, 2016       
  Market Price1   $ 26.20   
    Net Asset Value (NAV)1     26.12   

 

  1    The Market Price is the price at which the Fund’s shares are trading on the NYSE Arca Inc. The Market Price of the Fund’s shares will fluctuate and, at the time of sale, shares may be worth more or less than the original investment or the Fund’s then current net asset value (“NAV”). The NAV is the market value of one share of the Fund. This amount is derived by dividing the total value of all the securities in the Fund’s portfolio, plus other assets, less any liabilities, by the number of Fund shares outstanding. Fund shares are not individually redeemable and are issued and redeemed by the Fund at their NAV only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Information regarding how often shares of each Fund traded on NYSE Arca at a price above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund can be found at www.GSAMFUNDS.com.

 

  PERFORMANCE REVIEW   
    

March 2, 2016–

August 31, 2016

  Fund Total Return
(based on NAV)2
    Fund Total Return
(based on Market Price)2
    GS ActiveBeta®
Europe Equity
Index3
    MSCI Europe
Index4
 
    Shares     6.23     6.55     6.18     6.15

 

  2    Total returns are calculated assuming purchase of a share at the market price or NAV on the first day and sale of a share at the market price or NAV on the last day of each period reported. The Total Returns Based on NAV and Market Price assume the reinvestment of dividends and do not reflect brokerage commissions in connection with the purchase or sale of Fund shares, which if included would lower the performance shown above. The NAV used in the Total Return calculation assumes all management fees and operating expenses incurred by the Fund. Market Price returns are based upon the midpoint of the bid/ask spread (last trade) at 4:00 pm EST and do not reflect the returns you would receive if you traded shares at other times. The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the Market Price returns. Total returns for periods less than one full year are not annualized.

 

  3    The Goldman Sachs ActiveBeta® Europe Equity Index (“the Index”) is designed to deliver exposure to equity securities of developed market issuers in Europe. The Index seeks to capture common sources of active equity returns, including value (i.e., how attractively a stock is priced relative to its “fundamentals”, such as book value or free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). The Index is reconstituted and rebalanced quarterly. It is not possible to invest directly in an unmanaged index.

 

  4    The MSCI Europe Index captures large and mid-cap representation across 15 Developed Markets countries. It is not possible to invest directly in an unmanaged index.

 

The returns set forth in the tables above represent past performance. Past performance does not guarantee future results. The Fund’s investment returns and principal value will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. Please visit our web site at www.GSAMFUNDS.com to obtain the most recent month-end returns. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown. In their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale or redemption of Fund shares.

 

13


FUND BASICS

 

 

  EXPENSE RATIO5   
                    Expense Ratio  
    Shares                0.25

 

  5    The expense ratio of the Fund is as set forth above according to the most recent publicly available Prospectus for the Fund and may differ from the expense ratios disclosed on the Financial Highlights in this report.

 

  TOP TEN HOLDINGS AS OF 8/31/166
     Holding   % of Net Assets      Line of Business    Country
  Nestle SA     2.9    Consumer Staples    Switzerland
  Roche Holding AG     2.0       Health Care    Switzerland
  Novartis AG     1.8       Health Care    Switzerland
  HSBC Holdings PLC     1.4       Financials    United Kingdom
  British American Tobacco PLC     1.3       Consumer Staples    United Kingdom
  GlaxoSmithKline PLC     1.1       Health Care    United Kingdom
  Novo Nordisk A/S, Class B     1.1       Health Care    Denmark
  Koninklijke Ahold Delhaize NV     1.1       Consumer Staples    Netherlands
  Sanofi     1.1       Health Care    France
    SAP SE     1.0       Information Technology    Germany

 

  6    The top 10 holdings may not be representative of the Fund’s future investments.

 

14


FUND BASICS

 

 

  FUND SECTOR ALLOCATIONS7
     As of August 31, 2016     

 

LOGO

 

 

  7    The Fund’s composition may differ over time. Consequently, the Fund’s overall industry sector allocations may differ from percentages contained in the graph above. The graph categorizes investments using Global Industry Classification Standard (“GICS”), however, the sector classifications used by the portfolio management team may differ from GICS. The percentage shown for each investment category reflects the value of investments in that category as a percentage of market value.

 

15


PORTFOLIO RESULTS

 

Goldman Sachs ActiveBeta® International Equity ETF

 

Investment Objective

The Goldman Sachs ActiveBeta® International Equity ETF (the “Fund”) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® International Equity Index (the “Index”).

Portfolio Management Discussion and Analysis

Below, the Goldman Sachs Quantitative Investment Strategies Team discusses the Fund’s performance and positioning for the period since its inception on November 6, 2015 through August 31, 2016 (the “Reporting Period”).

 

Q   How did the Fund perform during the Reporting Period?

 

A   During the Reporting Period, the Fund returned 0.90% based on net asset value (“NAV”) and 1.33% based on market price.1 The Index returned 0.95%, and the MSCI World ex USA Index (net, unhedged, USD) (“MSCI World ex USA Index”), a market-cap based index against which the performance of the Fund is measured, and the reference index for the Index, returned -0.01% during the same period.

 

    The Fund had a NAV of $24.78 per share on the date of inception and ended the Reporting Period with a NAV of $24.67 per share. The Fund’s market price on August 31, 2016 was $24.78 per share.

 

Q   What key factors were responsible for the Fund’s performance during the Reporting Period?

 

A   The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index. The Fund’s performance reflects Fund expenses, including management fees and brokerage expenses. The Fund’s relative performance also reflects the impact of any cash held in the Fund, as well as any other differences between the Fund’s holdings and the constituents of the Index. The Index is unmanaged, and Index returns do not reflect fees and expenses, which would reduce returns.

 

    The Index is constructed using a rules-based methodology that was developed to provide exposure to the “factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns, and its performance is compared to that of the MSCI World ex USA Index. Because the Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index, the discussion below compares the performance of the Fund to that of the MSCI World ex USA Index. Given the Fund’s investment objective of attempting to track the Index, the Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors. The Fund does not follow a strategy of seeking to outperform the MSCI World ex USA Index, and overweights and underweights relative to the MSCI World ex USA Index discussed below resulted from the Fund’s replication of the Index, rather than a decision to overweight or underweight a particular sector, country, or stock.

 

   The Fund outperformed the MSCI World ex USA Index during the Reporting Period. All underlying factors contributed positively, with Value contributing most positively, followed by Low Volatility, Momentum and Quality. Value refers to how attractively a stock is priced relative to its fundamentals, such as book value and free cash flow. Low Volatility is a relatively low degree of fluctuation in a company’s share price over time. Momentum is whether a company’s share price is trending up or down. Quality refers to sustainable profitability over time.

 

  1    The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the market price returns.

 

16


PORTFOLIO RESULTS

 

 

Q   Which sectors and countries contributed most positively to the Fund’s relative performance during the Reporting Period, and which detracted most?

 

A   Index constituents in the financials, health care and materials sectors contributed most positively to the Fund’s results relative to the MSCI World ex USA Index during the Reporting Period. Only partially offsetting these positive contributors were Index constituents in the consumer discretionary, energy and telecommunication services sectors, which detracted the most from the Fund’s results relative to the MSCI World ex USA Index.

 

    From a country perspective, Index constituents in Australia, Germany and France contributed most positively to the Fund’s results relative to the MSCI World ex USA Index during the Reporting Period. Conversely, holdings in the U.K., Canada and Ireland detracted the most from the Fund’s results relative to the MSCI World ex USA Index.

 

Q   Which individual stock positions contributed the most to the Fund’s relative returns during the Reporting Period?

 

A   Relative to the MSCI World ex USA Index, overweight positions in Australian iron ore producer Fortescue Metals Group and Canadian gold miner Kinross Gold and an underweight position in U.S. specialty pharmaceuticals firm Valeant Pharmaceuticals International contributed most positively (0.28%, 0.18% and 0.07% of Fund net assets as of August 31, 2016, respectively). Fortescue Metals Group and Kinross Gold each generated a robust triple-digit gain during the Reporting Period, while Valeant Pharmaceuticals posted a share price decline.

 

Q   Which individual positions detracted from the Fund’s results during the Reporting Period?

 

A   Relative to the MSCI World ex USA Index, overweight positions in Italian telecommunications carrier Telecom Italia and U.K. sports apparel retailer Sports Direct International and an underweight position in Canadian gold miner Barrick Gold detracted most (0.20%, 0.00% and 0.09% of Fund net assets as of August 31, 2016, respectively). Telecom Italia and Sports Direct International each generated a double-digit decline during the Reporting Period, while Barrick Gold posted a single-digit gain during the Reporting Period.

 

Q   How did the Fund use derivatives and similar instruments during the Reporting Period?

 

A   The Fund does not employ derivatives as a source of alpha generation, although it may use them to equitize excess cash.

 

Q   What was the Fund’s sector positioning relative to the Index and the reference index at the end of the Reporting Period?2

 

     Sector Name   Fund3      GS
ActiveBeta®
Index
     MSCI World
ex USA
Index
 
  Financials     20.49      22.50      24.84
  Consumer Staples     16.50         16.40         11.98   
  Consumer Discretionary     14.69         14.44         11.80   
  Industrials     12.70         12.50         13.45   
  Health Care     11.83         11.40         10.52   
  Information Technology     6.32         6.46         5.41   
  Materials     6.23         6.24         7.62   
  Telecommunication Services     3.91         3.82         4.67   
  Energy     3.56         3.07         6.22   
  Utilities     3.33         3.17         3.49   
    Cash & Cash Equivalents     0.43         0.00         0.00   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® International Equity Index.

 

  3    Country and sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

17


PORTFOLIO RESULTS

 

 

Q   What was the Fund’s country positioning relative to the Index and the reference index at the end of the Reporting Period?2

 

     Country Name   Fund3      GS
ActiveBeta®
Index
     MSCI World
ex USA
Index
 
  Japan     20.79      20.79      21.72
  UK     15.84         16.18         17.38   
  France     9.54         9.80         8.79   
  Canada     9.33         9.05         8.70   
  Switzerland     8.13         8.24         8.22   
  Germany     7.82         7.90         8.26   
  Australia     6.46         6.45         6.59   
  Netherlands     3.04         3.07         3.05   
  Hong Kong     2.84         2.78         3.11   
  Spain     2.83         2.79         2.76   
  Sweden     2.47         2.28         2.54   
  Italy     2.29         2.35         1.79   
  Denmark     2.11         2.15         1.68   
  Singapore     1.47         1.43         1.15   
  Belgium     0.98         1.07         1.21   
  Israel     0.97         1.05         0.69   
  Finland     0.90         0.84         0.88   
  Norway     0.85         0.85         0.57   
  Cash & Cash Equivalents     0.43         0.00         0.00   
  Ireland     0.31         0.43         0.44   
  Austria     0.22         0.18         0.16   
  New Zealand     0.21         0.17         0.19   
    Portugal     0.17         0.17         0.14   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® International Equity Index.

 

  3    Country and sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

18


FUND BASICS

 

ActiveBeta® International Equity ETF

As of August 31, 2016

 

 

LOGO

 

  FUND SNAPSHOT   
     As of August 31, 2016       
  Market Price1   $ 24.78   
    Net Asset Value (NAV)1   $ 24.67   

 

  1    The Market Price is the price at which the Fund’s shares are trading on the NYSE Arca Inc. The Market Price of the Fund’s shares will fluctuate and, at the time of sale, shares may be worth more or less than the original investment or the Fund’s then current net asset value (“NAV”). The NAV is the market value of one share of the Fund. This amount is derived by dividing the total value of all the securities in the Fund’s portfolio, plus other assets, less any liabilities, by the number of Fund shares outstanding. Fund shares are not individually redeemable and are issued and redeemed by the Fund at their NAV only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Information regarding how often shares of each Fund traded on NYSE Arca at a price above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund can be found at www.GSAMFUNDS.com.

 

  PERFORMANCE REVIEW   
    

November 6, 2015–

August 31, 2016

  Fund Total Return
(based on NAV)2
    Fund Total Return
(based on Market Price)2
    GS ActiveBeta®
Intl Equity
Index3
    MSCI World ex
USA Index4
 
    Shares     0.90     1.33     0.95     -0.01

 

  2    Total returns are calculated assuming purchase of a share at the market price or NAV on the first day and sale of a share at the market price or NAV on the last day of each period reported. The Total Returns Based on NAV and Market Price assume the reinvestment of dividends and do not reflect brokerage commissions in connection with the purchase or sale of Fund shares, which if included would lower the performance shown above. The NAV used in the Total Return calculation assumes all management fees and operating expenses incurred by the Fund. Market Price returns are based upon the midpoint of the bid/ask spread (last trade) at 4:00 pm EST and do not reflect the returns you would receive if you traded shares at other times. The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the Market Price returns. Total returns for periods less than one full year are not annualized.

 

  3    The Goldman Sachs ActiveBeta® International Equity Index (“the Index”) is designed to deliver exposure to equity securities of developed market issuers outside of the United States. The Index seeks to capture common sources of active equity returns, including value (i.e., how attractively a stock is priced relative to its “fundamentals”, such as book value or free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). The Index is reconstituted and rebalanced quarterly. It is not possible to invest directly in an unmanaged index.

 

  4    The MSCI World ex USA Index captures large and mid cap representation across 22 of 23 Developed Markets countries. It is not possible to invest directly in an unmanaged index.

 

The returns set forth in the tables above represent past performance. Past performance does not guarantee future results. The Fund’s investment returns and principal value will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. Please visit our web site at www.GSAMFUNDS.com to obtain the most recent month-end returns. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown. In their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale or redemption of Fund shares.

 

19


FUND BASICS

 

 

  EXPENSE RATIO5   
                    Expense Ratio  
    Shares                0.25

 

  5    The expense ratio of the Fund is as set forth above according to the most recent publicly available Prospectus for the Fund and may differ from the expense ratios disclosed on the Financial Highlights in this report.

 

  TOP TEN HOLDINGS AS OF 8/31/166
     Holding   % of Net Assets      Line of Business    Country
  Nestle SA     1.6    Consumer Staples    Switzerland
  Roche Holding AG     1.1       Health Care    Switzerland
  Novartis AG     1.1       Health Care    Switzerland
  HSBC Holdings PLC     0.8       Financials    United Kingdom
  Koninklijke Ahold Delhaize NV     0.7       Consumer Staples    Netherlands
  Novo Nordisk A/S, Class B     0.7       Health Care    Denmark
  Atos SE     0.6       Information Technology    France
  British American Tobacco PLC     0.6       Consumer Staples    United Kingdom
  Sanofi     0.6       Health Care    France
    Commonwealth Bank of Australia     0.6       Financials    Australia

 

  6    The top 10 holdings may not be representative of the Fund’s future investments.

 

20


FUND BASICS

 

 

  FUND SECTOR ALLOCATIONS7
     As of August 31, 2016     

 

LOGO

 

 

  7    The Fund’s composition may differ over time. Consequently, the Fund’s overall industry sector allocations may differ from percentages contained in the graph above. The graph categorizes investments using Global Industry Classification Standard (“GICS”), however, the sector classifications used by the portfolio management team may differ from GICS. The percentage shown for each investment category reflects the value of investments in that category as a percentage of market value.

 

21


ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Performance Summary

August 31, 2016

 

The following graph shows the value, as of August 31, 2016, of a $10,000 investment made on November 6, 2015 (commencement of operations) in Shares at NAV. For comparative purposes, the performance of the Fund’s underlying index and secondary underlying index, the Goldman Sachs ActiveBeta® International Equity Index and the MSCI World ex USA Index (net, Unhedged, USD), are shown. This performance data represents past performance and should not be considered indicative of future performance, which will fluctuate with changes in market conditions. These performance fluctuations may cause an investor’s shares to be worth more or less than their original cost. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown and in their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale of Fund shares. In addition to the performance of constituents of the underlying index, other factors may affect Fund performance. These factors include, but are not limited to, Fund operating fees and expenses, portfolio turnover and creation and redemption in-kind transactions.

 

ActiveBeta® International Equity ETF’s Lifetime Performance

Performance of a $10,000 Investment, with distributions reinvested, from November 6, 2015 through August 31, 2016.

LOGO

 

Average Annual Total Return through August 31, 2016    Since Inception

 

Shares based on NAV (Commenced November 6, 2015)

   0.90%*

 

 

*   Total return for periods of less than one year represents cumulative total return.

 

22


PORTFOLIO RESULTS

 

Goldman Sachs ActiveBeta® Japan Equity ETF

 

Investment Objective

The Goldman Sachs ActiveBeta® Japan Equity ETF (the “Fund”) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Japan Equity Index (the “Index”).

Portfolio Management Discussion and Analysis

Below, the Goldman Sachs Quantitative Investment Strategies Team discusses the Fund’s performance and positioning for the period since its inception on March 2, 2016 through August 31, 2016 (the “Reporting Period”).

 

Q   How did the Fund perform during the Reporting Period?

 

A   During the Reporting Period, the Fund returned 7.17% based on net asset value (“NAV”) and 7.59% based on market price.1 The Index returned 6.99%, and the MSCI Japan Index (net, unhedged, USD) (“MSCI Japan Index”), a market-cap based index which the performance of the Fund is measured, and the reference index for the Index, returned 9.58% during the same period.

 

    The Fund had a NAV of $25.69 per share on the date of inception and ended the Reporting Period with a NAV of $27.33 per share. The Fund’s market price on August 31, 2016 was $27.44 per share.

 

Q   What key factors were responsible for the Fund’s performance during the Reporting Period?

 

A   The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index. The Fund’s performance reflects Fund expenses, including management fees and brokerage expenses. The Fund’s relative performance also reflects the impact of any cash held in the Fund, as well as any other differences between the Fund’s holdings and the constituents of the Index. The Index is unmanaged, and Index returns do not reflect fees and expenses, which would reduce returns.

 

    The Index is constructed using a rules-based methodology that was developed to provide exposure to the “factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns, and its performance is compared to that of the MSCI Japan Index. Because the Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index, the discussion below compares the performance of the Fund to that of the MSCI Japan Index. Given the Fund’s investment objective of attempting to track the Index, the Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors. The Fund does not follow a strategy of seeking to outperform the MSCI Japan Index, and overweights and underweights relative to the MSCI Japan Index discussed below resulted from the Fund’s replication of the Index, rather than a decision to overweight or underweight a particular sector or stock.

 

   The Fund posted solid absolute gains but underperformed the MSCI Japan Index during the Reporting Period. All underlying factors detracted from relative results during the Reporting Period, with Momentum detracting most, followed by Low Volatility, Value and Quality. Momentum is whether a company’s share price is trending up or down. Low Volatility is a relatively low degree of fluctuation in a company’s share price over time. Value refers to how attractively a stock is priced relative to its fundamentals, such as book value and free cash flow. Quality refers to sustainable profitability over time.

 

Q   Which sectors contributed most positively to the Fund’s relative performance during the Reporting Period, and which detracted most?

 

A   Index constituents in the industrials, materials and consumer discretionary sectors detracted most from the Fund’s results relative to the MSCI Japan Index during the Reporting Period. Index constituents in the health care, consumer staples and utilities sectors detracted the least from the

 

  1    The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the market price returns.

 

23


PORTFOLIO RESULTS

 

 

Fund’s results relative to the MSCI Japan Index during the Reporting Period. None of the sectors contributed positively.

 

Q   Which individual positions detracted from the Fund’s results during the Reporting Period?

 

A   Relative to the MSCI Japan Index, underweight positions in electrical and electronic products manufacturer Toshiba and telecommunication services provider SoftBank Group and an overweight position in electric utility Tokyo Electric Power Company Holdings detracted most (0.03%, 1.14% and 0.63% of Fund net assets as of August 31, 2016, respectively). Toshiba and SoftBank Group each posted a double-digit gain during the Reporting Period, while Tokyo Electric Power Company Holdings generated a double-digit decline during the Reporting Period.

 

Q   Which individual stock positions contributed the most to the Fund’s relative returns during the Reporting Period?

 

A   Relative to the MSCI Japan Index, overweight positions in convenience store chain operator FamilyMart UNY Holdings, toy and game equipment and software manufacturer Bandai Namco Holdings and diversified chemicals manufacturer Mitsui Chemicals contributed most positively (0.47%, 0.57% and 0.45% of Fund net assets as of August 31, 2016, respectively). Each of these stocks posted a double-digit gain during the Reporting Period.

 

Q   How did the Fund use derivatives and similar instruments during the Reporting Period?

 

A   The Fund does not employ derivatives as a source of alpha generation, although it may use them to equitize excess cash.

 

Q   What was the Fund’s sector positioning relative to the Index and the reference index at the end of the Reporting Period?2

 

     Sector Name   Fund3      GS
ActiveBeta®
Index
     MSCI Japan
Index
 
  Consumer Discretionary     21.42      21.20      21.22
  Industrials     16.96         16.86         19.79   
  Financials     15.62         15.66         17.66   
  Consumer Staples     12.03         11.93         7.95   
  Information Technology     10.46         11.30         10.45   
  Health Care     10.17         10.08         7.84   
  Telecommunication Services     4.61         4.58         6.32   
  Materials     3.92         3.90         5.96   
  Utilities     2.99         2.96         2.06   
  Energy     1.54         1.53         0.76   
    Cash & Cash Equivalents     0.27         0.00         0.00   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® Japan Equity Index.

 

  3    Sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

24


FUND BASICS

 

ActiveBeta® Japan Equity ETF

as of August 31, 2016

 

 

LOGO

 

  FUND SNAPSHOT   
     As of August 31, 2016       
  Market Price1   $ 27.44   
    Net Asset Value (NAV)1   $ 27.33   

 

  1    The Market Price is the price at which the Fund’s shares are trading on the NYSE Arca Inc. The Market Price of the Fund’s shares will fluctuate and, at the time of sale, shares may be worth more or less than the original investment or the Fund’s then current net asset value (“NAV”). The NAV is the market value of one share of the Fund. This amount is derived by dividing the total value of all the securities in the Fund’s portfolio, plus other assets, less any liabilities, by the number of Fund shares outstanding. Fund shares are not individually redeemable and are issued and redeemed by the Fund at their NAV only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Information regarding how often shares of each Fund traded on NYSE Arca at a price above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund can be found at www.GSAMFUNDS.com.

 

  PERFORMANCE REVIEW   
     March 2, 2016–
August 31, 2016
  Fund Total Return
(based on NAV)2
    Fund Total Return
(based on Market Price)2
    GS ActiveBeta®
Japan Index3
    MSCI World Japan
Index4
 
    Shares     7.17     7.59     6.99     9.58

 

  2    Total returns are calculated assuming purchase of a share at the market price or NAV on the first day and sale of a share at the market price or NAV on the last day of each period reported. The Total Returns Based on NAV and Market Price assume the reinvestment of dividends and do not reflect brokerage commissions in connection with the purchase or sale of Fund shares, which if included would lower the performance shown above. The NAV used in the Total Return calculation assumes all management fees and operating expenses incurred by the Fund. Market Price returns are based upon the midpoint of the bid/ask spread (last trade) at 4:00 pm EST and do not reflect the returns you would receive if you traded shares at other times. The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the Market Price returns. Total returns for periods less than one full year are not annualized.

 

  3    The Goldman Sachs ActiveBeta® Japan Equity Index (“the Index”) is designed to deliver exposure to equity securities of large capitalization Japan issuers. The Index seeks to capture common sources of active equity returns, including value (i.e., how attractively a stock is priced relative to its “fundamentals”, such as book value or free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). The Index is reconstituted and rebalanced quarterly. It is not possible to invest directly in an unmanaged index.

 

  4    The MSCI Japan Index is designed to measure the performance of the large and mid cap segments of the Japanese market. It is not possible to invest directly in an unmanaged index.

 

The returns set forth in the tables above represent past performance. Past performance does not guarantee future results. The Fund’s investment returns and principal value will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. Please visit our web site at www.GSAMFUNDS.com to obtain the most recent month-end returns. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown. In their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale or redemption of Fund shares.

 

25


FUND BASICS

 

 

  EXPENSE RATIO5   
                    Expense Ratio  
    Shares                0.25

 

  5    The expense ratio of the Fund is as set forth above according to the most recent publicly available Prospectus for the Fund and may differ from the expense ratios disclosed on the Financial Highlights in this report.

 

  TOP TEN HOLDINGS AS OF 8/31/166
     Holding   % of Net Assets      Line of Business
  Toyota Motor Corp.     4.6    Consumer Discretionary
  Honda Motor Co. Ltd.     1.9       Consumer Discretionary
  Mitsubishi UFJ Financial Group, Inc.     1.9       Financials
  Sumitomo Mitsui Financial Group, Inc.     1.5       Financials
  KDDI Corp.     1.5       Telecommunication Services
  Japan Tobacco, Inc.     1.4       Consumer Staples
  Seven & i Holdings Co. Ltd.     1.3       Consumer Staples
  Mitsubishi Corp.     1.2       Industrials
  Sony Corp.     1.1       Consumer Discretionary
    SoftBank Group Corp.     1.1       Telecommunication Services

 

  6    The top 10 holdings may not be representative of the Fund’s future investments.

 

26


FUND BASICS

 

 

  FUND SECTOR ALLOCATIONS7
     As of August 31, 2016

 

LOGO

 

 

  7    The Fund’s composition may differ over time. Consequently, the Fund’s overall industry sector allocations may differ from percentages contained in the graph above. The graph categorizes investments using Global Industry Classification Standard (“GICS”), however, the sector classifications used by the portfolio management team may differ from GICS. The percentage shown for each investment category reflects the value of investments in that category as a percentage of market value.

 

27


PORTFOLIO RESULTS

 

Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF

 

Investment Objective

The Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF (the “Fund”) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® U.S. Large Cap Equity Index (the “Index”).

Portfolio Management Discussion and Analysis

Below, the Goldman Sachs Quantitative Investment Strategies Team discusses the Fund’s performance and positioning for the period since its inception on September 17, 2015 through August 31, 2016 (the “Reporting Period”).

 

Q   How did the Fund perform during the Reporting Period?

 

A   During the Reporting Period, the Fund returned 8.97% based on net asset value (“NAV”) and 8.94% based on market price.1 The Index returned 9.07%, and the S&P 500 Index (Total Return, USD) (“S&P 500 Index”), a market-cap based index against which the performance of the Fund is measured, returned 11.40% during the same period.

 

    The Fund had a NAV of $40.70 per share on the date of inception and ended the Reporting Period with a NAV of $43.83 per share. The Fund’s market price on August 31, 2016 was $43.82 per share.

 

Q   What key factors were responsible for the Fund’s performance during the Reporting Period?

 

A   The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index. The Fund’s performance reflects Fund expenses, including management fees and brokerage expenses. The Fund’s relative performance also reflects the impact of any cash held in the Fund, as well as any other differences between the Fund’s holdings and the constituents of the Index. The Index is unmanaged, and Index returns do not reflect fees and expenses, which would reduce returns.

 

    The Index is constructed using a rules-based methodology that was developed to provide exposure to the “factors” (or characteristics) that are commonly tied to a stock’s outperformance relative to market returns, and its performance is compared to that of the S&P 500 Index. Because the Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Index, the discussion below compares the performance of the Fund to that of the S&P 500 Index. Given the Fund’s investment objective of attempting to track the Index, the Fund does not follow traditional methods of active investment management, which may involve buying and selling securities based upon analysis of economic and market factors. The Fund does not follow a strategy of seeking to outperform the S&P 500 Index, and overweights and underweights relative to the S&P 500 Index discussed below resulted from the Fund’s replication of the Index, rather than a decision to overweight or underweight a particular sector or stock.

 

   The Fund posted solid absolute gains but underperformed the S&P 500 Index during the Reporting Period. Amongst underlying factors, Value, Momentum and Quality detracted from relative returns, while Low Volatility contributed positively. Value refers to how attractively a stock is priced relative to its fundamentals, such as book value and free cash flow. Momentum is whether a company’s share price is trending up or down. Quality refers to sustainable profitability over time. Low Volatility is a relatively low degree of fluctuation in a company’s share price over time.

 

Q   Which sectors contributed most positively to the Fund’s relative performance during the Reporting Period, and which detracted most?

 

A   Index constituents in the consumer discretionary, information technology and energy sectors detracted the most from the Fund’s results relative to the S&P 500 Index. Partially offsetting these detractors were Index constituents in the financials sector, which contributed positively to the Fund’s results relative to the S&P 500 Index during the Reporting Period.

 

  1    The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the market price returns.

 

28


PORTFOLIO RESULTS

 

 

Q   Which individual positions detracted from the Fund’s results during the Reporting Period?

 

A   Relative to the S&P 500 Index, an overweight position in investment and insurance company Voya Financial and underweight positions in telecommunication services giant AT&T and integrated energy company Chevron detracted most (0.00%, 0.96% and 0.40% of Fund net assets as of August 31, 2016, respectively). Voya generated a double-digit negative return during the Reporting Period, while AT&T and Chevron each generated a double-digit gain during the Reporting Period.

 

Q   Which individual stock positions contributed the most to the Fund’s relative returns during the Reporting Period?

 

A   Relative to the S&P 500 Index, overweight positions in packaged food producer Tyson Foods, mining company Newmont Mining and aircraft and parts contractor L-3 Communications Holdings contributed most positively (0.62%, 0.11% and 0.49% of Fund net assets as of August 31, 2016, respectively). Tyson Foods and L-3 Communications Holdings each generated a double-digit gain during the Reporting Period, while Newmont Mining posted a triple-digit increase during the Reporting Period.

 

Q   How did the Fund use derivatives and similar instruments during the Reporting Period?

 

A   The Fund does not employ derivatives as a source of alpha generation, although it may use them to equitize excess cash.

 

Q   What was the Fund’s sector positioning relative to the Index and the S&P 500 Index at the end of the Reporting Period?2

 

     Sector Name   Fund3      GS
ActiveBeta®
Index
     S&P 500
Index
 
  Information Technology     20.17      20.27      20.99
  Consumer Discretionary     15.55         15.60         12.22   
  Health Care     14.96         15.02         14.63   
  Financials     13.83         13.87         16.33   
  Consumer Staples     13.63         13.68         10.05   
  Industrials     9.36         9.39         9.95   
  Utilities     4.11         4.13         3.24   
  Energy     3.37         3.38         7.01   
  Telecommunication Services     2.47         2.48         2.66   
  Materials     2.18         2.19         2.92   
    Cash & Cash Equivalents     0.37         0.00         0.00   

 

  2    The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs ActiveBeta® U.S. Large Cap Equity Index.

 

  3    Sector classifications for securities may differ between the above listing and the Statement of Investments due to differing classification methodologies. The classification methodology used for the above listing is as set forth by MSCI.

 

29


FUND BASICS

 

ActiveBeta® U.S. Large Cap Equity ETF

as of August 31, 2016

 

 

LOGO

 

  FUND SNAPSHOT   
     As of August 31, 2016       
  Market Price1   $ 43.82   
    Net Asset Value (NAV)1   $ 43.83   

 

  1    The Market Price is the price at which the Fund’s shares are trading on the NYSE Arca Inc. The Market Price of the Fund’s shares will fluctuate and, at the time of sale, shares may be worth more or less than the original investment or the Fund’s then current net asset value (“NAV”). The NAV is the market value of one share of the Fund. This amount is derived by dividing the total value of all the securities in the Fund’s portfolio, plus other assets, less any liabilities, by the number of Fund shares outstanding. Fund shares are not individually redeemable and are issued and redeemed by the Fund at their NAV only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Information regarding how often shares of each Fund traded on NYSE Arca at a price above (i.e., at a premium) or below (i.e., at a discount) the NAV of the Fund can be found at www.GSAMFUNDS.com.

 

  PERFORMANCE REVIEW   
     September 17, 2015–
August 31, 2016
  Fund Total Return
(based on NAV)2
    Fund Total Return
(based on Market Price)2
    GS ActiveBeta®
LC Index3
    S&P 500 Index4  
    Shares     8.97     8.94     9.07     11.40

 

  2    Total returns are calculated assuming purchase of a share at the market price or NAV on the first day and sale of a share at the market price or NAV on the last day of each period reported. The Total Returns Based on NAV and Market Price assume the reinvestment of dividends and do not reflect brokerage commissions in connection with the purchase or sale of Fund shares, which if included would lower the performance shown above. The NAV used in the Total Return calculation assumes all management fees and operating expenses incurred by the Fund. Market Price returns are based upon the midpoint of the bid/ask spread (last trade) at 4:00 pm EST and do not reflect the returns you would receive if you traded shares at other times. The first day of secondary market trading is typically several days after the date on which the Fund commenced investment operations; therefore, the NAV of the Fund is used as a proxy for the period from inception of investment operations to the first day of secondary market trading to calculate the Market Price returns. Total returns for periods less than one full year are not annualized.

 

  3    The Goldman Sachs ActiveBeta® U.S. Large Cap Equity Index (“the Index”) is designed to deliver exposure to equity securities of large capitalization U.S. issuers. The Index seeks to capture common sources of active equity returns, including value (i.e., how attractively a stock is priced relative to its “fundamentals”, such as book value or free cash flow), momentum (i.e., whether a company’s share price is trending up or down), quality (i.e., profitability) and low volatility (i.e., a relatively low degree of fluctuation in a company’s share price over time). The Index is reconstituted and rebalanced quarterly. It is not possible to invest directly in an unmanaged index.

 

  4    The S&P 500 Index is the Standard & Poor’s 500 Composite Index of 500 stocks, an unmanaged index of common stock prices. The Index figures do not reflect any deduction for fees, expenses or taxes. It is not possible to invest directly in an unmanaged index.

 

The returns set forth in the tables above represent past performance. Past performance does not guarantee future results. The Fund’s investment returns and principal value will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. Please visit our web site at www.GSAMFUNDS.com to obtain the most recent month-end returns. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown. In their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale or redemption of Fund shares.

 

30


FUND BASICS

 

 

 

  EXPENSE RATIO5   
                    Expense Ratio  
    Shares                0.09

 

  5    The expense ratio of the Fund is as set forth above according to the most recent publicly available Prospectus for the Fund and may differ from the expense ratios disclosed on the Financial Highlights in this report.

 

  TOP TEN HOLDINGS AS OF 8/31/166
     Holding   % of Net Assets      Line of Business
  Apple, Inc.     2.6    Information Technology
  Microsoft Corp.     2.0       Information Technology
  Johnson & Johnson     1.4       Health Care
  Exxon Mobil Corp.     1.3       Energy
  Amazon.com, Inc.     1.2       Consumer Discretionary
  JPMorgan Chase & Co.     1.1       Financials
  The Home Depot, Inc.     1.0       Consumer Discretionary
  Facebook, Inc., Class A     1.0       Information Technology
  Pfizer, Inc.     1.0       Health Care
    AT&T, Inc.     1.0       Telecommunication Services

 

  6    The top 10 holdings may not be representative of the Fund’s future investments.

 

31


FUND BASICS

 

 

 

 

  FUND SECTOR ALLOCATIONS7
     As of August 31, 2016

 

LOGO

 

 

  7    The Fund’s composition may differ over time. Consequently, the Fund’s overall industry sector allocations may differ from percentages contained in the graph above. The graph categorizes investments using Global Industry Classification Standard (“GICS”), however, the sector classifications used by the portfolio management team may differ from GICS. The percentage shown for each investment category reflects the value of investments in that category as a percentage of market value.

 

32


ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Performance Summary

August 31, 2016

 

The following graph shows the value, as of August 31, 2016, of a $10,000 investment made on September 17, 2015 (commencement of operations) in Shares at NAV. For comparative purposes, the performance of the Fund’s underlying index and secondary underlying index, the Goldman Sachs ActiveBeta® U.S. Large Cap Equity Index and the S&P 500 Index (Total Return, USD), are shown. This performance data represents past performance and should not be considered indicative of future performance, which will fluctuate with changes in market conditions. These performance fluctuations may cause an investor’s shares to be worth more or less than their original cost. Performance reflects applicable fee waivers and/or expense limitations in effect during the periods shown and in their absence, performance would be reduced. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the sale of Fund shares. In addition to the performance of constituents of the underlying index, other factors may affect Fund performance. These factors include, but are not limited to, Fund operating fees and expenses, portfolio turnover and creation and redemption in-kind transactions.

 

ActiveBeta® U.S. Large Cap Equity ETF’s Lifetime Performance

Performance of a $10,000 Investment, with distributions reinvested, from September 17, 2015 through August 31, 2016.

LOGO

 

Average Annual Total Return through August 31, 2016    Since Inception

 

Shares based on NAV (Commenced September 17, 2015)

   8.97%*

 

 

*   Total return for periods of less than one year represents cumulative total return.

 

33


FUND BASICS

 

Index Definitions and Industry Terms

 

The S&P 500® Index is the Standard & Poor’s 500 Composite Index of 500 stocks, an unmanaged index of common stock prices.

The MSCI World ex USA Index captures large and mid cap representation across 22 of 23 Developed Markets countries. The index as of June 30, 2016, consists of the following 22 developed market country indexes: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom. It is not possible to invest directly in an unmanaged index.

The Russell 3000® Index is an unmanaged index that measures the performance of the 3,000 largest U.S. companies based on total market capitalization, which represents approximately 98% of the investable U.S. equity market. Index figures do not reflect any deduction for fees, expenses or taxes. It is not possible to invest directly in an unmanaged index.

The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure equity market performance of emerging markets. As of June 30, 2016, the MSCI Emerging Markets Index consisted of the following 23 emerging market country indices: Brazil, Chile, China, Colombia, Czech Republic, Egypt, Greece, Hungary, India, Indonesia, Korea, Malaysia, Mexico, Peru, Philippines, Poland, Qatar, Russia, South Africa, Taiwan, Thailand, Turkey and United Arab Emirates. It is not possible to invest directly in an unmanaged index.

Book Value: The total value of the company’s assets that shareholders would theoretically receive if a company were liquidated.

Free Cash Flow: A measure of financial performance calculated as operating cash flow minus capital expenditures.

Alpha: The excess returns of a fund relative to the return of a benchmark index is the fund’s alpha.

 

34


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Schedule of Investments

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – 86.7%   
  Brazil – 5.7%  
  1,004,407      Ambev SA (Consumer Staples)   $ 5,960,347   
  213,757      Banco Bradesco SA (Financials)     1,923,535   
  220,881      Banco do Brasil SA (Financials)     1,585,333   
  228,442      Banco Santander Brasil SA (Financials)     1,602,160   
  287,754      BB Seguridade Participacoes SA (Financials)     2,593,861   
  260,106      BM&FBovespa SA – Bolsa de Valores Mercadorias e Futuros (Financials)     1,440,565   
  123,950      BRF SA (Consumer Staples)     2,064,045   
  185,153      CETIP SA – Mercados Organizados (Financials)     2,502,068   
  139,085      Cia de Saneamento Basico do Estado de Sao Paulo (Utilities)     1,264,057   
  406,071      Cia Siderurgica Nacional SA (Materials)*     1,079,909   
  126,180      Cielo SA (Information Technology)     1,310,652   
  113,532      Cosan SA Industria e Comercio (Energy)     1,320,760   
  197,212      EDP – Energias Do Brasil SA (Utilities)     872,080   
  84,216      Engie Brasil Energia SA (Utilities)     1,015,655   
  153,611      Equatorial Energia SA (Utilities)     2,402,161   
  140,466      Hypermarcas SA (Consumer Staples)     1,133,701   
  447,657      Lojas Renner SA (Consumer Discretionary)     3,547,977   
  37,639      M Dias Branco SA (Consumer Staples)     1,408,349   
  163,116      Natura Cosmeticos SA (Consumer Staples)     1,571,740   
  537,069      Odontoprev SA (Health Care)     2,117,518   
  207,140      Petroleo Brasileiro SA (Energy)*     944,166   
  155,882      Porto Seguro SA (Financials)     1,328,019   
  241,074      Raia Drogasil SA (Consumer Staples)     4,449,037   
  315,106      Sul America SA (Financials)     1,591,218   
  95,514      Ultrapar Participacoes SA (Energy)     2,198,376   
   

 

 

 
      49,227,289  

 

 

 
  Chile – 1.1%  
  2,121,628      Aguas Andinas SA, Class A (Utilities)     1,274,858   
  14,906      Banco de Chile ADR (Financials)     984,094   
  469,428      Cencosud SA (Consumer Staples)     1,381,358   
  156,745      Cia Cervecerias Unidas SA (Consumer Staples)     1,661,445   
  117,419      Empresas COPEC SA (Energy)     1,031,429   
  106,536      Latam Airlines Group SA ADR (Industrials)*     865,072   
  153,612      SACI Falabella (Consumer Discretionary)     1,097,558   
  33,844      Sociedad Quimica y Minera de Chile SA ADR (Materials)     863,022   
   

 

 

 
      9,158,836  

 

 

 
  Common Stocks – (continued)   
  China – 24.4%  
  214,072      AAC Technologies Holdings, Inc. (Information Technology)   $ 2,441,057   
  8,760,524      Agricultural Bank of China Ltd., Class H (Financials)     3,602,807   
  188,266      Alibaba Group Holding Ltd. ADR (Information Technology)*     18,297,572   
  430,303      ANTA Sports Products Ltd. (Consumer Discretionary)     1,164,968   
  48,129      Baidu, Inc. ADR (Information Technology)*     8,233,428   
  16,984,660      Bank of China Ltd., Class H (Financials)     7,641,920   
  3,102,339      Bank of Communications Co. Ltd., Class H (Financials)     2,395,721   
  185,509      Beijing Enterprises Holdings Ltd. (Industrials)     1,064,254   
  3,288,717      Belle International Holdings Ltd. (Consumer Discretionary)     2,136,866   
  142,405      BYD Co. Ltd., Class H (Consumer Discretionary)*     991,378   
  3,710,254      China Cinda Asset Management Co. Ltd., Class H (Financials)     1,257,997   
  3,480,556      China CITIC Bank Corp Ltd., Class H (Financials)     2,297,412   
  3,707,434      China Communications Services Corp. Ltd., Class H (Telecommunication Services)     2,179,508   
  449,689      China Conch Venture Holdings Ltd. (Industrials)     864,970   
  17,859,476      China Construction Bank Corp., Class H (Financials)     13,354,170   
  2,712,173      China Everbright Bank Co. Ltd., Class H (Financials)     1,283,228   
  3,595,400      China Huishan Dairy Holdings Co. Ltd. (Consumer Staples)     1,381,286   
  1,033,253      China Life Insurance Co. Ltd., Class H (Financials)     2,469,657   
  892,997      China Medical System Holdings Ltd. (Health Care)     1,496,627   
  962,117      China Mengniu Dairy Co. Ltd. (Consumer Staples)     1,825,811   
  1,102,175      China Merchants Bank Co. Ltd., Class H (Financials)     2,682,704   
  1,978,763      China Minsheng Banking Corp. Ltd., Class H (Financials)     2,127,551   
  1,388,854      China Mobile Ltd. (Telecommunication Services)     17,153,088   
  955,715      China Overseas Land & Investment Ltd. (Real Estate)     3,160,356   
  283,742      China Pacific Insurance Group Co. Ltd., Class H (Financials)     998,634   
  4,658,136      China Petroleum & Chemical Corp., Class H (Energy)     3,380,966   
  1,246,781      China Railway Group Ltd., Class H (Industrials)     924,226   
  737,851      China Resources Beer Holdings Co. Ltd. (Consumer Staples)     1,702,715   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   35


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  China – (continued)  
  425,570      China Resources Land Ltd. (Real Estate)   $ 1,198,789   
  561,995      China Resources Power Holdings Co. Ltd. (Utilities)     970,862   
  562,830      China Shenhua Energy Co. Ltd., Class H (Energy)     1,011,487   
  6,034,981      China Telecom Corp. Ltd., Class H (Telecommunication Services)     3,119,899   
  2,154,861      China Unicom Hong Kong Ltd. (Telecommunication Services)     2,441,902   
  2,240,259      Chongqing Rural Commercial Bank Co. Ltd., Class H (Financials)     1,299,664   
  864,747      CITIC Ltd. (Industrials)     1,362,324   
  1,304,626      CNOOC Ltd. (Energy)     1,602,873   
  2,488,159      Country Garden Holdings Co. Ltd. (Real Estate)     1,263,847   
  2,193,978      CSPC Pharmaceutical Group Ltd. (Health Care)     2,129,842   
  24,363      Ctrip.com International Ltd. ADR (Consumer Discretionary)*     1,153,588   
  1,553,322      Dongfeng Motor Group Co. Ltd., Class H (Consumer Discretionary)     1,660,108   
  1,083,079      Far East Horizon Ltd. (Financials)     1,012,321   
  3,252,886      Geely Automobile Holdings Ltd. (Consumer Discretionary)     2,608,431   
  725,927      Guangdong Investment Ltd. (Utilities)     1,123,038   
  956,689      Guangzhou Automobile Group Co. Ltd., Class H (Consumer Discretionary)     1,317,232   
  826,295      Guangzhou R&F Properties Co. Ltd., Class H (Real Estate)     1,395,489   
  195,000      Hengan International Group Co. Ltd. (Consumer Staples)     1,650,401   
  16,036,291      Industrial & Commercial Bank of China Ltd., Class H (Financials)     10,192,273   
  40,016      JD.com, Inc. ADR (Consumer Discretionary)*     1,016,806   
  738,258      Jiangsu Expressway Co. Ltd., Class H (Industrials)     1,037,421   
  1,313,426      Kunlun Energy Co. Ltd. (Energy)     966,856   
  756,255      Longfor Properties Co. Ltd. (Real Estate)     1,218,705   
  1,371,204      Luye Pharma Group Ltd. (Health Care)*     871,504   
  22,164      NetEase, Inc. ADR (Information Technology)     4,698,103   
  59,294      New Oriental Education & Technology Group, Inc. ADR (Consumer Discretionary)     2,340,927   
  2,584,085      People’s Insurance Co Group of China Ltd. (The), Class H (Financials)     1,039,397   
  3,617,547      PetroChina Co. Ltd., Class H (Energy)     2,415,818   
  1,149,643      PICC Property & Casualty Co. Ltd., Class H (Financials)     1,900,077   

 

 

 
  Common Stocks – (continued)   
  China – (continued)  
  1,095,852      Ping An Insurance Group Co. of China Ltd., Class H (Financials)   5,672,280   
  202,179      Shenzhou International Group Holdings Ltd. (Consumer Discretionary)     1,328,007   
  437,342      Sinopharm Group Co. Ltd., Class H (Health Care)     2,241,189   
  28,218      TAL Education Group ADR (Consumer Discretionary)*     1,686,308   
  1,067,541      Tencent Holdings Ltd. (Information Technology)     27,773,201   
  1,134,756      Tingyi Cayman Islands Holding Corp. (Consumer Staples)     1,050,382   
  462,872      TravelSky Technology Ltd., Class H (Information Technology)     1,007,288   
  343,796      Tsingtao Brewery Co. Ltd., Class H (Consumer Staples)     1,152,376   
  108,248      Vipshop Holdings Ltd. ADR (Consumer Discretionary)*     1,532,792   
  2,438,324      Want Want China Holdings Ltd. (Consumer Staples)     1,606,322   
  2,489,109      Zijin Mining Group Co. Ltd., Class H (Materials)     827,911   
   

 

 

 
      210,408,917  

 

 

 
  Colombia – 0.4%  
  239,179      Cementos Argos SA (Materials)     955,485   
  93,558      Grupo de Inversiones Suramericana SA (Financials)     1,223,875   
  361,840      Interconexion Electrica SA Esp (Utilities)     1,212,748   
   

 

 

 
      3,392,108  

 

 

 
  Egypt – 0.5%  
  875,687      Commercial International Bank Egypt SAE GDR (Financials)     3,679,637   
  452,906      Global Telecom Holding SAE GDR (Telecommunication Services)*     901,283   
   

 

 

 
      4,580,920  

 

 

 
  Greece – 0.2%  
  175,695      Hellenic Telecommunications Organization SA (Telecommunication Services)     1,663,282  

 

 

 
  Hong Kong – 0.8%  
  987,179      Haier Electronics Group Co. Ltd. (Consumer Discretionary)     1,651,927   
  4,954,170      Sino Biopharmaceutical Ltd. (Health Care)     3,180,683   
  3,304,215      Sun Art Retail Group Ltd. (Consumer Staples)     2,125,637   
   

 

 

 
      6,958,247  

 

 

 
  Hungary – 0.5%  
  23,122      MOL Hungarian Oil & Gas PLC (Energy)     1,441,370   
  43,423      OTP Bank PLC (Financials)     1,132,738   

 

 

 

 

36   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Hungary – (continued)  
  68,950      Richter Gedeon Nyrt (Health Care)   $ 1,412,471   
   

 

 

 
      3,986,579  

 

 

 
  Indonesia – 2.9%  
  23,620,514      Adaro Energy Tbk PT (Energy)     2,047,764   
  2,714,194      Astra International Tbk PT (Consumer Discretionary)     1,667,597   
  1,996,320      Bank Central Asia Tbk PT (Financials)     2,264,954   
  1,814,732      Bank Mandiri Persero Tbk PT (Financials)     1,535,648   
  1,344,341      Bank Rakyat Indonesia Persero Tbk PT (Financials)     1,180,669   
  3,059,229      Charoen Pokphand Indonesia Tbk PT (Consumer Staples)     860,228   
  367,916      Gudang Garam Tbk PT (Consumer Staples)     1,786,188   
  3,725,936      Hanjaya Mandala Sampoerna Tbk PT (Consumer Staples)     1,117,921   
  1,600,408      Indofood Sukses Makmur TBK PT (Consumer Staples)     956,143   
  11,357,104      Kalbe Farma Tbk PT (Health Care)     1,536,826   
  1,033,897      Matahari Department Store Tbk PT (Consumer Discretionary)     1,558,835   
  4,532,094      Surya Citra Media Tbk PT (Consumer Discretionary)     1,035,224   
  9,176,202      Telekomunikasi Indonesia Persero Tbk PT (Telecommunication Services)     2,912,311   
  802,988      Unilever Indonesia Tbk PT (Consumer Staples)     2,763,393   
  7,237,981      Waskita Karya Persero TBK PT (Industrials)     1,522,350   
   

 

 

 
      24,746,051  

 

 

 
  Malaysia – 2.7%  
  1,198,000      AirAsia Bhd (Industrials)     886,204   
  1,723,629      Astro Malaysia Holdings Bhd (Consumer Discretionary)     1,253,780   
  160,002      British American Tobacco Malaysia Bhd (Consumer Staples)     1,941,881   
  2,135,619      DiGi.Com Bhd (Telecommunication Services)     2,643,523   
  922,163      Genting Bhd (Consumer Discretionary)     1,773,609   
  521,234      Hap Seng Consolidated Bhd (Industrials)     999,926   
  886,738      IHH Healthcare Bhd (Health Care)     1,429,976   
  1,405,800      IOI Properties Group Bhd (Real Estate)     873,534   
  207,400      Kuala Lumpur Kepong Bhd (Consumer Staples)     1,205,891   
  597,738      Malayan Banking Bhd (Financials)     1,152,586   
  639,813      Maxis Bhd (Telecommunication Services)     990,760   
  608,332      Petronas Chemicals Group Bhd (Materials)     1,003,511   

 

 

 
  Common Stocks – (continued)   
  Malaysia – (continued)  
  170,612      Petronas Dagangan Bhd (Energy)   984,421   
  299,788      Public Bank Bhd (Financials)     1,463,642   
  477,100      Tenaga Nasional Bhd (Utilities)     1,734,054   
  849,184      Westports Holdings Bhd (Industrials)     931,789   
  2,781,298      YTL Corp Bhd (Utilities)     1,152,159   
  2,963,717      YTL Power International Bhd (Utilities)     1,088,876   
   

 

 

 
      23,510,122  

 

 

 
  Mexico – 4.0%  
  708,372      Alfa SAB de CV, Class A (Industrials)     1,148,412   
  5,317,909      America Movil SAB de CV, Series L (Telecommunication Services)     3,173,483   
  268,137      Arca Continental SAB de CV (Consumer Staples)     1,665,203   
  1,761,667      Cemex SAB de CV, Series CPO (Materials)*     1,453,682   
  130,647      Coca-Cola Femsa SAB de CV, Series L (Consumer Staples)     969,704   
  83,111      El Puerto de Liverpool SAB de CV, Series C1 (Consumer Discretionary)     901,992   
  339,228      Fomento Economico Mexicano SAB de CV (Consumer Staples)     3,096,402   
  679,690      Gentera SAB de CV (Financials)     1,313,362   
  184,104      Gruma SAB de CV, Class B (Consumer Staples)     2,441,711   
  162,563      Grupo Aeroportuario del Pacifico SAB de CV, Class B (Industrials)     1,608,938   
  90,676      Grupo Aeroportuario del Sureste SAB de CV, Class B (Industrials)     1,378,011   
  1,152,817      Grupo Bimbo SAB de CV, Series A (Consumer Staples)     3,268,059   
  365,873      Grupo Comercial Chedraui SA de CV (Consumer Staples)     880,325   
  329,285      Grupo Financiero Banorte SAB de CV, Class O (Financials)     1,766,250   
  689,332      Grupo Financiero Santander Mexico SAB de CV, Class B (Financials)     1,310,804   
  487,571      Grupo Lala SAB de CV (Consumer Staples)     1,017,843   
  509,726      Grupo Mexico SAB de CV, Series B (Materials)     1,271,293   
  37,028      Industrias Penoles SAB de CV (Materials)     854,879   
  538,503      Kimberly-Clark de Mexico SAB de CV, Class A (Consumer Staples)     1,287,127   
  88,629      Promotora y Operadora de Infraestructura SAB de CV (Industrials)     1,060,988   
  1,152,967      Wal-Mart de Mexico SAB de CV (Consumer Staples)     2,622,608   
   

 

 

 
      34,491,076  

 

 

 
  Netherlands – 0.4%  
  570,163      Steinhoff International Holdings NV (Consumer Discretionary)     3,418,463  

 

 

 

 

The accompanying notes are an integral part of these financial statements.   37


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Peru – 0.3%  
  67,353      Cia de Minas Buenaventura Saa ADR (Materials)*   $ 832,483   
  11,315      Credicorp Ltd. (Financials)     1,772,834   
   

 

 

 
      2,605,317  

 

 

 
  Philippines – 1.3%  
  790,950      Aboitiz Equity Ventures, Inc. (Industrials)     1,273,125   
  39,854      Globe Telecom, Inc. (Telecommunication Services)     1,684,996   
  31,615      GT Capital Holdings, Inc. (Financials)     1,041,507   
  659,918      JG Summit Holdings, Inc. (Industrials)     1,104,702   
  287,288      Jollibee Foods Corp. (Consumer Discretionary)     1,510,582   
  8,593,800      Metro Pacific Investments Corp. (Financials)     1,276,298   
  225,060      Security Bank Corp. (Financials)     1,030,750   
  2,327,871      SM Prime Holdings, Inc. (Real Estate)     1,491,296   
  314,795      Universal Robina Corp. (Consumer Staples)     1,263,369   
   

 

 

 
      11,676,625  

 

 

 
  Poland – 0.8%  
  35,753      CCC SA (Consumer Discretionary)     1,663,632   
  121,932      Grupa Lotos SA (Energy)*     905,601   
  926      LPP SA (Consumer Discretionary)     1,065,361   
  113,808      Polski Koncern Naftowy ORLEN SA (Energy)     1,891,296   
  643,317      Polskie Gornictwo Naftowe i Gazownictwo SA (Energy)     876,649   
  124,318      Powszechny Zaklad Ubezpieczen SA (Financials)     878,825   
   

 

 

 
      7,281,364  

 

 

 
  Qatar – 0.4%  
  46,505      Commercial Bank QSC (The) (Financials)     536,397   
  66,441      Ooredoo QSC (Telecommunication Services)     1,873,890   
  33,647      Qatar National Bank SAQ (Financials)     1,506,162   
   

 

 

 
      3,916,449  

 

 

 
  Russia – 3.7%  
  1,144,935      Gazprom PJSC ADR (Energy)     4,631,262   
  111,927      Lukoil PJSC (Energy)     4,989,759   
  12,426      MMC Norilsk Nickel PJSC (Materials)     1,820,090   
  238,348      Mobile TeleSystems PJSC ADR (Telecommunication Services)     1,937,769   
  992,758      Moscow Exchange MICEX-RTS PJSC (Financials)     1,930,593   
  612,655      Rosneft PJSC GDR (Energy)     3,201,123   
  974,605      Rostelecom PJSC (Telecommunication Services)     1,225,742   

 

 

 
  Common Stocks – (continued)   
  Russia – (continued)  
  430,202      Sberbank of Russia PJSC ADR (Financials)   3,944,952   
  208,940      Severstal PAO GDR (Materials)     2,459,224   
  276,684      Surgutneftegas OAO ADR (Energy)     1,397,254   
  193,902      Surgutneftegas OJSC ADR (Energy)     914,054   
  99,723      Tatneft PAO ADR (Energy)     2,941,829   
  439,026      VTB Bank PJSC GDR (Financials)     897,808   
   

 

 

 
      32,291,459  

 

 

 
  South Africa – 6.2%  
  56,291      AngloGold Ashanti Ltd. (Materials)*     917,311   
  114,467      Barclays Africa Group Ltd. (Financials)     1,158,350   
  112,125      Bidvest Group Ltd. (The) (Industrials)     1,158,273   
  247,279      Brait SE (Financials)*     1,957,844   
  222,798      Coronation Fund Managers Ltd. (Financials)     1,055,986   
  239,248      Exxaro Resources Ltd. (Energy)     1,223,219   
  722,994      FirstRand Ltd. (Financials)     2,165,422   
  95,129      Foschini Group Ltd (The) (Consumer Discretionary)     845,058   
  270,605      Gold Fields Ltd. (Materials)     1,381,333   
  773,967      Growthpoint Properties Ltd. REIT (Real Estate)     1,337,623   
  97,007      Imperial Holdings Ltd. (Consumer Discretionary)     1,039,812   
  137,662      Liberty Holdings Ltd. (Financials)     1,055,049   
  385,498      Life Healthcare Group Holdings Ltd. (Health Care)     1,008,667   
  151,691      Massmart Holdings Ltd. (Consumer Staples)     1,334,113   
  59,397      Mondi Ltd. (Materials)     1,198,908   
  135,839      Mr Price Group Ltd. (Consumer Discretionary)     1,703,002   
  141,420      MTN Group Ltd. (Telecommunication Services)     1,155,261   
  56,963      Naspers Ltd., Class N (Consumer Discretionary)     9,314,366   
  595,086      Netcare Ltd. (Health Care)     1,328,556   
  495,298      Pick n Pay Stores Ltd. (Consumer Staples)     2,480,504   
  93,787      Pioneer Foods Group Ltd. (Consumer Staples)     1,083,568   
  1,417,729      Redefine Properties Ltd. REIT (Real Estate)     1,061,792   
  185,514      Resilient REIT Ltd. REIT (Real Estate)     1,487,728   
  219,463      Sanlam Ltd. (Financials)     931,895   
  366,430      Sappi Ltd. (Materials)*     1,803,244   
  126,000      Shoprite Holdings Ltd. (Consumer Staples)     1,614,160   
  271,450      Sibanye Gold Ltd. (Materials)     1,052,102   
  81,884      SPAR Group Ltd (The) (Consumer Staples)     1,068,477   
  196,818      Standard Bank Group Ltd. (Financials)     1,780,894   

 

 

 

 

38   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  South Africa – (continued)  
  374,282      Telkom SA SOC Ltd. (Telecommunication Services)   $ 1,546,562   
  40,890      Tiger Brands Ltd. (Consumer Staples)     1,060,228   
  220,643      Vodacom Group Ltd. (Telecommunication Services)     2,293,230   
  288,352      Woolworths Holdings Ltd. (Consumer Discretionary)     1,580,295   
   

 

 

 
      53,182,832  

 

 

 
  South Korea – 15.0%  
  10,031      Amorepacific Corp. (Consumer Staples)     3,472,615   
  19,435      AMOREPACIFIC Group (Consumer Staples)     2,527,422   
  13,521      BGF Retail Co. Ltd. (Consumer Staples)     2,455,608   
  118,561      BNK Financial Group, Inc. (Financials)     941,045   
  14,452      Celltrion, Inc. (Health Care)*     1,384,281   
  5,405      CJ CheilJedang Corp (Consumer Staples)     1,888,114   
  29,741      Coway Co. Ltd. (Consumer Discretionary)     2,224,573   
  151,969      DGB Financial Group, Inc. (Financials)     1,245,737   
  30,564      Dongbu Insurance Co. Ltd. (Financials)     1,850,287   
  7,769      E-MART, Inc. (Consumer Staples)     1,097,415   
  19,119      GS Holdings Corp. (Energy)     847,066   
  21,503      GS Retail Co. Ltd. (Consumer Staples)     908,333   
  68,874      Hana Financial Group, Inc. (Financials)     1,809,873   
  32,667      Hankook Tire Co. Ltd. (Consumer Discretionary)     1,634,815   
  4,067      Hanmi Pharm Co. Ltd. (Health Care)     2,166,635   
  12,496      Hanssem Co. Ltd. (Consumer Discretionary)     1,647,455   
  54,258      Hanwha Chemical Corp. (Materials)     1,245,744   
  30,989      Hanwha Corp. (Industrials)     1,018,607   
  173,281      Hanwha Life Insurance Co. Ltd. (Financials)     881,169   
  20,924      Hotel Shilla Co. Ltd. (Consumer Discretionary)     1,272,329   
  8,717      Hyosung Corp. (Materials)     1,031,968   
  37,155      Hyundai Engineering & Construction Co. Ltd. (Industrials)     1,284,597   
  38,406      Hyundai Marine & Fire Insurance Co. Ltd. (Financials)     1,164,236   
  11,586      Hyundai Mobis Co. Ltd. (Consumer Discretionary)     2,706,864   
  10,799      Hyundai Motor Co. (Consumer Discretionary)     1,288,132   
  22,880      Hyundai Steel Co. (Materials)     1,052,685   
  83,237      Industrial Bank of Korea (Financials)     877,161   

 

 

 
  Common Stocks – (continued)   
  South Korea – (continued)  
  33,256      Kangwon Land, Inc. (Consumer Discretionary)   1,176,636   
  77,968      KB Financial Group, Inc. (Financials)     2,720,139   
  48,319      Kia Motors Corp. (Consumer Discretionary)     1,817,921   
  59,287      Korea Electric Power Corp. (Utilities)     3,083,987   
  52,792      Korea Gas Corp. (Utilities)     2,009,884   
  3,161      Korea Zinc Co. Ltd. (Materials)     1,356,537   
  77,775      KT Corp. (Telecommunication Services)     2,204,206   
  19,637      KT&G Corp. (Consumer Staples)     2,060,564   
  4,857      LG Chem Ltd. (Materials)     1,178,313   
  23,846      LG Corp. (Industrials)     1,409,373   
  45,967      LG Display Co. Ltd. (Information Technology)     1,238,842   
  37,679      LG Electronics, Inc. (Consumer Discretionary)     1,740,331   
  4,525      LG Household & Health Care Ltd. (Consumer Staples)     3,859,439   
  298,714      LG Uplus Corp. (Telecommunication Services)     3,121,092   
  6,437      Lotte Chemical Corp. (Materials)     1,547,189   
  6,804      NAVER Corp (Information Technology)     5,156,395   
  5,115      NCSoft Corp. (Information Technology)     1,238,610   
  1,485      Orion Corp. (Consumer Staples)     989,556   
  13,381      POSCO (Materials)     2,772,207   
  24,944      S-1 Corp. (Industrials)     2,304,244   
  20,589      Samsung Electronics Co. Ltd. (Information Technology)     29,914,063   
  3,956      Samsung Fire & Marine Insurance Co. Ltd. (Financials)     957,955   
  14,299      Samsung Life Insurance Co. Ltd. (Financials)     1,320,894   
  8,049      Samsung SDI Co. Ltd. (Information Technology)     833,775   
  57,079      Shinhan Financial Group Co. Ltd. (Financials)     2,098,869   
  5,622      SK Holdings Co. Ltd. (Industrials)     1,068,936   
  102,359      SK Hynix, Inc. (Information Technology)     3,346,175   
  10,643      SK Innovation Co. Ltd. (Energy)     1,388,840   
  11,801      SK Telecom Co. Ltd. (Telecommunication Services)     2,312,573   
  163,417      Woori Bank (Financials)     1,553,561   
   

 

 

 
      129,705,872  

 

 

 
  Taiwan – 11.4%  
  769,794      Advanced Semiconductor Engineering, Inc. (Information Technology)     946,155   
  221,563      Advantech Co. Ltd. (Information Technology)     1,811,998   
  1,268,373      Asia Cement Corp. (Materials)     1,133,243   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   39


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Taiwan – (continued)  
  113,736      Asustek Computer, Inc. (Information Technology)   $ 962,421   
  1,556,580      Cathay Financial Holding Co. Ltd. (Financials)     1,967,156   
  1,914,978      Chang Hwa Commercial Bank Ltd. (Financials)     962,604   
  475,002      Cheng Shin Rubber Industry Co. Ltd. (Consumer Discretionary)     1,008,970   
  3,374,072      China Development Financial Holding Corp. (Financials)     852,809   
  1,481,184      China Life Insurance Co. Ltd./Taiwan (Financials)     1,311,712   
  2,392,585      China Steel Corp. (Materials)     1,658,873   
  856,206      Chunghwa Telecom Co. Ltd. (Telecommunication Services)     3,076,141   
  3,102,617      CTBC Financial Holding Co. Ltd. (Financials)     1,794,268   
  1,796,047      E.Sun Financial Holding Co. Ltd. (Financials)     1,010,367   
  494,563      Far EasTone Telecommunications Co. Ltd. (Telecommunication Services)     1,151,832   
  460,038      Feng TAY Enterprise Co. Ltd. (Consumer Discretionary)     2,189,242   
  2,233,881      First Financial Holding Co. Ltd. (Financials)     1,147,548   
  510,061      Formosa Chemicals & Fibre Corp. (Materials)     1,324,563   
  474,705      Formosa Petrochemical Corp. (Energy)     1,388,337   
  590,007      Formosa Plastics Corp. (Materials)     1,455,935   
  1,000,717      Formosa Taffeta Co. Ltd. (Consumer Discretionary)     966,640   
  1,698,100      Fubon Financial Holding Co. Ltd. (Financials)     2,402,883   
  2,491,416      Hon Hai Precision Industry Co. Ltd. (Information Technology)     6,909,586   
  312,291      HTC Corp. (Information Technology)*     836,568   
  1,874,345      Hua Nan Financial Holdings Co. Ltd. (Financials)     965,807   
  1,162,505      Inventec Corp. (Information Technology)     862,797   
  17,420      Largan Precision Co. Ltd. (Information Technology)     1,954,435   
  748,523      Lite-On Technology Corp. (Information Technology)     1,132,321   
  122,068      MediaTek, Inc. (Information Technology)     959,833   
  1,658,563      Mega Financial Holding Co. Ltd. (Financials)     1,129,039   
  447,054      Nan Ya Plastics Corp. (Materials)     853,799   
  127,150      Nien Made Enterprise Co. Ltd. (Consumer Discretionary)     1,442,587   
  63,742      OBI Pharma, Inc. (Health Care)*     797,516   
  884,255      Pou Chen Corp. (Consumer Discretionary)     1,281,913   

 

 

 
  Common Stocks – (continued)   
  Taiwan – (continued)  
  438,932      Powertech Technology, Inc. (Information Technology)   1,145,383   
  550,169      President Chain Store Corp. (Consumer Staples)     4,378,049   
  213,959      Realtek Semiconductor Corp. (Information Technology)     856,362   
  3,377,721      SinoPac Financial Holdings Co Ltd. (Financials)     987,859   
  815,623      Standard Foods Corp. (Consumer Staples)     2,012,678   
  5,352,812      Taiwan Business Bank (Financials)*     1,430,543   
  2,094,817      Taiwan Cooperative Financial Holding Co. Ltd. (Financials)     920,965   
  463,636      Taiwan Mobile Co. Ltd. (Telecommunication Services)     1,629,202   
  5,192,237      Taiwan Semiconductor Manufacturing Co. Ltd. (Information Technology)     28,799,852   
  1,726,251      Uni-President Enterprises Corp. (Consumer Staples)     3,264,211   
  463,595      Vanguard International Semiconductor Corp. (Information Technology)     869,318   
  1,691,317      Wistron Corp. (Information Technology)     1,241,950   
  732,145      WPG Holdings Ltd. (Information Technology)     871,038   
   

 

 

 
      98,057,308  

 

 

 
  Thailand – 2.2%  
  231,516      Advanced Info Service PCL NVDR (Telecommunication Services)     1,106,900   
  115,432      Airports of Thailand PCL NVDR (Industrials)     1,340,546   
  2,035,100      Bangkok Dusit Medical Services PCL NVDR (Health Care)     1,381,602   
  1,716,292      BEC World PCL NVDR (Consumer Discretionary)     1,110,628   
  3,615,666      BTS Group Holdings PCL NVDR (Industrials)     945,292   
  185,797      Bumrungrad Hospital PCL NVDR (Health Care)     912,467   
  759,300      Central Pattana PCL NVDR (Real Estate)     1,321,599   
  882,400      Charoen Pokphand Foods PCL NVDR (Consumer Staples)     828,473   
  728,977      CP ALL PCL NVDR (Consumer Staples)     1,310,939   
  245,800      Electricity Generating PCL NVDR (Utilities)     1,402,421   
  4,050,300      Home Product Center PCL NVDR (Consumer Discretionary)     1,275,390   
  170,257      PTT PCL NVDR (Energy)     1,716,563   
  552,500      Robinson Department Store PCL NVDR (Consumer Discretionary)     1,021,508   
  244,579      Siam Commercial Bank PCL (The) NVDR (Financials)     1,130,495   

 

 

 

 

40   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EMERGING MARKETS EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Thailand – (continued)  
  460,700      Thai Oil PCL NVDR (Energy)   $ 941,617   
  1,755,490      Thai Union Group PCL NVDR (Consumer Staples)     1,090,351   
   

 

 

 
      18,836,791  

 

 

 
  Turkey – 1.2%   
  145,330      Arcelik As (Consumer Discretionary)     1,039,229   
  144,760      BIM Birlesik Magazalar AS (Consumer Staples)     2,480,258   
  379,306      Haci Omer Sabanci Holding AS (Financials)     1,170,310   
  211,739      KOC Holding AS (Industrials)     918,769   
  819,877      Petkim Petrokimya Holding As (Materials)     1,271,750   
  44,709      Tupras Turkiye Petrol Rafinerileri AS (Energy)     874,810   
  482,311      Turk Telekomunikasyon AS (Telecommunication Services)     973,065   
  371,386      Turkiye Garanti Bankasi AS (Financials)     957,614   
  567,084      Turkiye Is Bankasi, Class C (Financials)     921,792   
   

 

 

 
      10,607,597  

 

 

 
  United Arab Emirates – 0.6%   
  1,320,988      Aldar Properties PJSC (Real Estate)     992,602   
  664,020      Dubai Islamic Bank PJSC (Financials)     987,054   
  542,137      Emaar Properties PJSC (Real Estate)     1,047,936   
  350,783      Emirates Telecommunications Group Co. PJSC (Telecommunication Services)     1,886,136   
   

 

 

 
      4,913,728  

 

 

 
  TOTAL COMMON STOCKS   
  (Cost $668,944,048)   $ 748,617,232  

 

 

 
   
  Exchange-Traded Funds – 9.0%   
  United States – 9.0%   
  626,510      iShares India 50 ETF   $ 18,839,156   
  1,337,948      iShares MSCI India ETF     39,549,743   
  558,209      PowerShares India Portfolio     11,538,180   
  361,526      WisdomTree India Earnings Fund     7,837,883   

 

 

 
  TOTAL EXCHANGE-TRADED FUNDS  
  (Cost $67,353,598)   $ 77,764,962  

 

 

 
   
  Preferred Stocks – 4.2%   
  Brazil – 2.7%  
  501,016      Banco Bradesco SA (Financials)   $ 4,502,296   
  211,363      Braskem SA, Class A (Materials)     1,575,843   
  271,854      Centrais Eletricas Brasileiras SA, Class B (Utilities)*     2,395,893   
  113,253      Cia Brasileira de Distribuicao (Consumer Staples)     1,763,690   

 

 

 
  Preferred Stocks – (continued)   
  Brazil – (continued)  
  801,634      Gerdau SA (Materials)   2,250,862   
  590,631      Itau Unibanco Holding SA (Financials)     6,547,753   
  526,010      Itausa – Investimentos Itau SA (Financials)     1,398,876   
  265,505      Petroleo Brasileiro SA (Energy)*     1,055,025   
  106,654      Telefonica Brasil SA (Telecommunication Services)     1,605,845   
   

 

 

 
      23,096,083  

 

 

 
  Chile – 0.1%   
  367,127      Embotelladora Andina SA, Class B (Consumer Staples)     1,318,268  

 

 

 
  Russia – 0.1%   
  373      Transneft PJSC (Energy)     884,228  

 

 

 
  South Korea – 1.3%   
  20,067      Amorepacific Corp. (Consumer Staples)     3,959,408   
  4,926      LG Household & Health Care Ltd. (Consumer Staples)     2,513,807   
  3,681      Samsung Electronics Co. Ltd. (Information Technology)     4,370,981   
   

 

 

 
      10,844,196  

 

 

 
  TOTAL PREFERRED STOCKS   
  (Cost $26,568,174)   $ 36,142,775  

 

 

 
  TOTAL INVESTMENTS – 99.9%   
  (Cost $762,865,820)   $ 862,524,969  

 

 

 
 
 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.1%
    863,092  

 

 

 
  NET ASSETS – 100.0%   $ 863,388,061  

 

 

 

 

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

 

 

Investment Abbreviations:

ADR

 

—American Depositary Receipt

GDR

 

—Global Depositary Receipt

NVDR

 

—Non-Voting Depository Receipt

PLC

 

—Public Limited Company

REIT

 

—Real Estate Investment Trust

 

 

The accompanying notes are an integral part of these financial statements.   41


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

Schedule of Investments

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – 99.4%   
  Australia – 0.0%   
  624      BHP Billiton PLC (Materials)   $ 8,090  

 

 

 
  Austria – 0.5%   
  707      ANDRITZ AG (Industrials)     36,021   
  624      Erste Group Bank AG (Financials)*     17,503   
  1,934      OMV AG (Energy)     54,108   
  3,859      Raiffeisen Bank International AG (Financials)*     54,756   
   

 

 

 
      162,388  

 

 

 
  Belgium – 1.8%   
  668      Ageas (Financials)     23,041   
  2,221      Anheuser-Busch InBev SA/NV (Consumer Staples)     274,697   
  1,836      Colruyt SA (Consumer Staples)     100,617   
  501      Groupe Bruxelles Lambert SA (Financials)     43,897   
  598      Proximus SADP (Telecommunication Services)     18,269   
  78      Solvay SA (Materials)     8,549   
  1,190      Telenet Group Holding NV (Consumer Discretionary)*     55,725   
  382      UCB SA (Health Care)     31,317   
  749      Umicore SA (Materials)     44,163   
   

 

 

 
      600,275  

 

 

 
  Denmark – 3.4%   
  1,220      Carlsberg A/S, Class B (Consumer Staples)     114,194   
  910      Chr Hansen Holding A/S (Materials)     55,096   
  962      Coloplast A/S, Class B (Health Care)     73,058   
  953      Danske Bank A/S (Financials)     27,923   
  1,174      DSV A/S (Industrials)     58,132   
  325      Genmab A/S (Health Care)*     51,843   
  1,924      ISS A/S (Industrials)     77,794   
  8,231      Novo Nordisk A/S, Class B (Health Care)     385,154   
  234      Novozymes A/S, Class B (Materials)     10,130   
  811      Pandora A/S (Consumer Discretionary)     100,729   
  9,730      TDC A/S (Telecommunication Services)*     53,698   
  936      Tryg A/S (Financials)     18,643   
  868      Vestas Wind Systems A/S (Industrials)     71,894   
  1,769      William Demant Holding A/S (Health Care)*     36,902   
   

 

 

 
      1,135,190  

 

 

 
  Finland – 1.4%   
  806      Elisa OYJ (Telecommunication Services)     28,313   
  494      Fortum OYJ (Utilities)     7,615   
  976      Kone OYJ, Class B (Industrials)     48,970   
  1,615      Neste OYJ (Energy)     67,164   
  3,659      Nokia OYJ (Information Technology)     20,539   
  546      Nokian Renkaat OYJ (Consumer Discretionary)     19,684   
  2,807      Orion OYJ, Class B (Health Care)     106,106   
  919      Sampo OYJ, Class A (Financials)     39,396   
  5,910      UPM-Kymmene OYJ (Materials)     118,546   
  514      Wartsila OYJ Abp (Industrials)     21,113   
   

 

 

 
      477,446  

 

 

 
  Common Stocks – (continued)   
  France – 17.0%   
  3,146      Accor SA (Consumer Discretionary)   $ 118,588   
  208      Aeroports de Paris (Industrials)     21,428   
  661      Air Liquide SA (Materials)     72,390   
  696      Airbus Group SE (Industrials)     40,534   
  714      Alstom SA (Industrials)*     18,859   
  241      Arkema SA (Materials)     21,481   
  3,500      Atos SE (Information Technology)     343,854   
  7,113      AXA SA (Financials)     149,094   
  3,949      BNP Paribas SA (Financials)     200,580   
  3,224      Bollore SA (Industrials)     11,627   
  296      Bouygues SA (Industrials)     9,372   
  1,374      Bureau Veritas SA (Industrials)     29,412   
  1,271      Capgemini SA (Information Technology)     123,636   
  3,579      Carrefour SA (Consumer Staples)     89,966   
  343      Casino Guichard Perrachon SA (Consumer Staples)     16,940   
  1,150      Christian Dior SE (Consumer Discretionary)     198,526   
  884      Cie de Saint-Gobain (Industrials)     38,713   
  676      Cie Generale des Etablissements Michelin (Consumer Discretionary)     71,751   
  3,900      CNP Assurances (Financials)     62,678   
  7,665      Credit Agricole SA (Financials)     72,478   
  3,332      Danone SA (Consumer Staples)     252,757   
  1,068      Dassault Systemes (Information Technology)     89,830   
  1,803      Eiffage SA (Industrials)     140,968   
  1,742      Engie SA (Utilities)     27,725   
  976      Essilor International SA (Health Care)     123,757   
  645      Eurazeo SA (Financials)     39,072   
  1,222      Eutelsat Communications SA (Consumer Discretionary)     23,715   
  353      Fonciere Des Regions REIT (Real Estate)     32,930   
  359      Gecina SA REIT (Real Estate)     56,077   
  562      Hermes International (Consumer Discretionary)     236,976   
  260      ICADE REIT (Real Estate)     20,033   
  58      Iliad SA (Telecommunication Services)     11,941   
  338      Imerys SA (Materials)     23,780   
  234      Ingenico Group SA (Information Technology)     25,160   
  520      JCDecaux SA (Consumer Discretionary)     17,838   
  36      Kering (Consumer Discretionary)     6,814   
  875      Klepierre REIT (Real Estate)     40,940   
  1,248      Lagardere SCA (Consumer Discretionary)     30,392   
  1,222      Legrand SA (Industrials)     73,099   
  1,351      L’Oreal SA (Consumer Staples)     254,817   
  1,027      LVMH Moet Hennessy Louis Vuitton SE (Consumer Discretionary)     173,518   
  5,170      Natixis SA (Financials)     22,837   
  3,671      Orange SA (Telecommunication Services)     55,972   
  669      Pernod Ricard SA (Consumer Staples)     76,671   
  8,108      Peugeot SA (Consumer Discretionary)*     119,425   
  1,023      Publicis Groupe SA (Consumer Discretionary)     75,825   

 

 

 

 

42   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  France – (continued)   
  506      Remy Cointreau SA (Consumer Staples)   $ 44,087   
  1,354      Renault SA (Consumer Discretionary)     110,553   
  10,051      Rexel SA (Industrials)     161,254   
  286      Safran SA (Industrials)     19,966   
  4,734      Sanofi (Health Care)     364,171   
  1,790      Schneider Electric SE (Industrials)     121,790   
  2,184      SCOR SE (Financials)     64,155   
  505      Societe BIC SA (Industrials)     73,596   
  2,915      Societe Generale SA (Financials)     105,985   
  512      Sodexo SA (Consumer Discretionary)     59,219   
  2,118      Suez (Utilities)     31,999   
  1,164      Technip SA (Energy)     68,671   
  832      Thales SA (Industrials)     71,935   
  6,383      TOTAL SA (Energy)     303,912   
  364      Unibail-Rodamco SE REIT (Real Estate)     99,730   
  479      Valeo SA (Consumer Discretionary)     24,748   
  2,245      Veolia Environnement SA (Utilities)     47,669   
  2,276      Vinci SA (Industrials)     172,347   
  1,852      Vivendi SA (Consumer Discretionary)     35,849   
  199      Wendel SA (Financials)     22,596   
   

 

 

 
      5,769,008  

 

 

 
  Germany – 12.4%   
  1,788      adidas AG (Consumer Discretionary)     296,617   
  1,464      Allianz SE (Financials)     217,757   
  468      Axel Springer SE (Consumer Discretionary)     23,799   
  2,404      BASF SE (Materials)     195,186   
  3,167      Bayer AG (Health Care)     338,510   
  217      Bayerische Motoren Werke AG (Consumer Discretionary)     18,854   
  1,586      Beiersdorf AG (Consumer Staples)     147,336   
  442      Brenntag AG (Industrials)     24,018   
  996      Commerzbank AG (Financials)     6,995   
  182      Continental AG (Consumer Discretionary)     38,088   
  1,801      Covestro AG (Materials)(a)     93,634   
  1,140      Daimler AG (Consumer Discretionary)     78,821   
  927      Deutsche Boerse AG (Financials)*     79,085   
  7,784      Deutsche Lufthansa AG (Industrials)     90,552   
  7,401      Deutsche Post AG (Industrials)     234,097   
  11,059      Deutsche Telekom AG (Telecommunication Services)     184,385   
  1,818      Deutsche Wohnen AG (Real Estate)     68,235   
  9,704      E.ON SE (Utilities)     89,240   
  572      Evonik Industries AG (Materials)     19,198   
  501      Fraport AG Frankfurt Airport Services Worldwide (Industrials)     27,905   
  869      Fresenius Medical Care AG & Co KGaA (Health Care)     76,789   
  1,492      Fresenius SE & Co KGaA (Health Care)     108,709   
  782      GEA Group AG (Industrials)     41,906   
  308      Hannover Rueck SE (Financials)     31,422   
  469      HeidelbergCement AG (Materials)     43,496   
  364      Henkel AG & Co KGaA (Consumer Staples)     40,804   
  365      HOCHTIEF AG (Industrials)     49,006   

 

 

 
  Common Stocks – (continued)   
  Germany – (continued)   
  2,553      HUGO BOSS AG (Consumer Discretionary)   155,676   
  3,016      Infineon Technologies AG (Information Technology)     50,705   
  962      LANXESS AG (Materials)     51,257   
  189      Linde AG (Materials)     32,322   
  390      MAN SE (Industrials)     40,509   
  910      Merck KGaA (Health Care)     95,615   
  1,026      METRO AG (Consumer Staples)     30,396   
  628      Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Financials)     113,344   
  754      OSRAM Licht AG (Industrials)     39,419   
  1,222      ProSiebenSat.1 Media SE (Consumer Discretionary)     52,480   
  3,931      SAP SE (Information Technology)     344,823   
  1,942      Siemens AG (Industrials)     231,538   
  624      Symrise AG (Materials)     45,876   
  5,122      Telefonica Deutschland Holding AG (Telecommunication Services)     21,016   
  3,098      TUI AG (Consumer Discretionary)     43,131   
  1,066      United Internet AG (Information Technology)     43,763   
  1,214      Vonovia SE (Real Estate)     47,168   
  3,049      Zalando SE (Consumer Discretionary)*(a)     116,426   
   

 

 

 
      4,219,908  

 

 

 
  Ireland – 0.8%  
  1,408      CRH PLC (Materials)     47,593   
  3,668      Experian PLC (Industrials)     72,732   
  1,328      Kerry Group PLC, Class A (Consumer Staples)     112,675   
  345      Paddy Power Betfair PLC (Consumer Discretionary)     41,172   
   

 

 

 
      274,172  

 

 

 
  Italy – 3.6%  
  4,219      Assicurazioni Generali SpA (Financials)     53,568   
  1,489      Atlantia SpA (Industrials)     38,242   
  36,713      Enel SpA (Utilities)     161,839   
  4,186      Eni SpA (Energy)     63,126   
  3,247      EXOR SpA (Financials)     133,262   
  182      Ferrari NV (Consumer Discretionary)     8,757   
  6,810      Intesa Sanpaolo SpA (Financials)     16,155   
  2,944      Luxottica Group SpA (Consumer Discretionary)     141,811   
  5,727      Prysmian SpA (Industrials)     141,091   
  15,600      Snam SpA (Utilities)     86,351   
  109,575      Telecom Italia SpA (Telecommunication Services)*     99,279   
  128,538      Telecom Italia SpA-RSP (Telecommunication Services)*     94,055   
  16,224      Terna Rete Elettrica Nazionale SpA (Utilities)     83,698   
  22,616      UniCredit SpA (Financials)     58,085   
  33,852      UnipolSai SpA (Financials)     56,441   
   

 

 

 
      1,235,760  

 

 

 

 

The accompanying notes are an integral part of these financial statements.   43


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Jersey Island – 0.1%  
  461      Randgold Resources Ltd. (Materials)   $ 43,170  

 

 

 
  Luxembourg – 0.4%  
  896      Millicom International Cellular SA (Telecommunication Services)     45,814   
  884      RTL Group SA (Consumer Discretionary)     74,285   
  801      SES SA (Consumer Discretionary)     18,368   
  676      Tenaris SA (Energy)     9,276   
   

 

 

 
      147,743  

 

 

 
  Mexico – 0.1%  
  1,776      Fresnillo PLC (Materials)     37,356  

 

 

 
  Netherlands – 5.6%  
  663      ABN AMRO Group NV (Financials)(a)     13,605   
  364      Akzo Nobel NV (Materials)     24,559   
  667      ASML Holding NV (Information Technology)     70,847   
  2,850      Boskalis Westminster (Industrials)     101,733   
  473      Gemalto NV (Information Technology)     32,899   
  1,745      Heineken Holding NV (Consumer Staples)     140,048   
  1,273      Heineken NV (Consumer Staples)     113,566   
  6,162      ING Groep NV (Financials)     77,002   
  15,702      Koninklijke Ahold Delhaize NV (Consumer Staples)     375,382   
  651      Koninklijke DSM NV (Materials)     45,309   
  10,398      Koninklijke KPN NV (Telecommunication Services)     33,897   
  2,023      Koninklijke Philips NV (Industrials)     58,671   
  440      Koninklijke Vopak NV (Energy)     22,278   
  3,625      NN Group NV (Financials)     107,696   
  541      NXP Semiconductors NV (Information Technology)*     47,619   
  2,880      Randstad Holding NV (Industrials)     135,601   
  9,213      Royal Dutch Shell PLC, Class A (Energy)     224,493   
  7,975      Royal Dutch Shell PLC, Class B (Energy)     202,839   
  1,830      Wolters Kluwer NV (Industrials)     76,686   
   

 

 

 
      1,904,730  

 

 

 
  Norway – 1.6%  
  780      DNB ASA (Financials)     9,473   
  2,337      Gjensidige Forsikring ASA (Financials)     40,093   
  3,434      Marine Harvest ASA (Consumer Staples)*     53,027   
  26,844      Norsk Hydro ASA (Materials)     113,992   
  7,826      Orkla ASA (Consumer Staples)     71,588   
  3,242      Schibsted ASA, Class A (Consumer Discretionary)     102,844   
  3,733      Schibsted ASA, Class B (Consumer Discretionary)     107,858   
  1,700      Telenor ASA (Telecommunication Services)     29,654   
  338      Yara International ASA (Materials)     11,986   
   

 

 

 
      540,515  

 

 

 
  Common Stocks – (continued)   
  Portugal – 0.3%  
  8,776      EDP – Energias de Portugal SA (Utilities)   29,372   
  2,021      Galp Energia SGPS SA (Energy)     29,329   
  3,094      Jeronimo Martins SGPS SA (Consumer Staples)     49,845   
   

 

 

 
      108,546  

 

 

 
  South Africa – 0.4%  
  1,134      Investec PLC (Financials)     6,695   
  8,764      Mediclinic International PLC (Health Care)     117,307   
  980      Mondi PLC (Materials)     19,882   
   

 

 

 
      143,884  

 

 

 
  Spain – 4.7%  
  1,534      Abertis Infraestructuras SA (Industrials)     23,722   
  6,449      ACS Actividades de Construccion y Servicios SA (Industrials)     182,473   
  447      Aena SA (Industrials)(a)     63,102   
  1,898      Amadeus IT Group SA (Information Technology)     87,082   
  3,071      Banco Bilbao Vizcaya Argentaria SA (Financials)     19,079   
  5,055      Banco de Sabadell SA (Financials)     6,840   
  37,503      Banco Santander SA (Financials)     167,911   
  1,924      Bankinter SA (Financials)     14,091   
  20,460      Distribuidora Internacional de Alimentacion SA (Consumer Staples)     124,761   
  1,690      Enagas SA (Utilities)     49,550   
  2,412      Endesa SA (Utilities)     49,053   
  1,365      Ferrovial SA (Industrials)     26,856   
  2,826      Gas Natural SDG SA (Utilities)     58,244   
  1,508      Grifols SA (Health Care)     31,894   
  25,982      Iberdrola SA (Utilities)     170,731   
  5,674      Industria de Diseno Textil SA (Consumer Discretionary)     200,736   
  21,711      Mapfre SA (Financials)     58,590   
  2,288      Red Electrica Corp. SA (Utilities)     49,194   
  10,480      Repsol SA (Energy)     140,532   
  4,992      Telefonica SA (Telecommunication Services)     50,205   
  962      Zardoya Otis SA (Industrials)     9,054   
   

 

 

 
      1,583,700  

 

 

 
  Sweden – 3.5%  
  4,076      Assa Abloy AB, Class B (Industrials)     82,414   
  1,560      Atlas Copco AB, Class A (Industrials)     44,166   
  1,144      Atlas Copco AB, Class B (Industrials)     29,361   
  2,463      Boliden AB (Materials)     52,069   
  1,482      Electrolux AB, Series B (Consumer Discretionary)     38,536   
  2,141      Getinge AB, Class B (Health Care)     41,692   
  7,306      Hennes & Mauritz AB, Class B (Consumer Discretionary)     222,352   
  1,168      Hexagon AB, Class B (Information Technology)     47,478   
  3,770      Husqvarna AB, Class B (Consumer Discretionary)     32,553   

 

 

 

 

44   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Sweden – (continued)  
  1,628      ICA Gruppen AB (Consumer Staples)   $ 55,603   
  988      Industrivarden AB, Class C (Financials)     17,972   
  858      Investor AB, Class B (Financials)     30,214   
  468      Kinnevik AB, Class B (Financials)     11,504   
  3,254      Nordea Bank AB (Financials)     31,759   
  702      Sandvik AB (Industrials)     7,609   
  3,146      Securitas AB, Class B (Industrials)     54,623   
  1,638      Skandinaviska Enskilda Banken AB, Class A (Financials)     15,987   
  1,507      Skanska AB, Class B (Industrials)     32,984   
  2,008      Svenska Cellulosa AB SCA, Class B (Consumer Staples)     61,603   
  1,664      Svenska Handelsbanken AB, Class A (Financials)     21,440   
  1,274      Swedbank AB, Class A (Financials)     29,251   
  3,467      Swedish Match AB (Consumer Staples)     123,384   
  1,768      Tele2 AB, Class B (Telecommunication Services)     14,689   
  6,526      Telefonaktiebolaget LM Ericsson, Class B (Information Technology)     46,457   
  7,696      Telia Co. AB (Telecommunication Services)     34,702   
   

 

 

 
      1,180,402  

 

 

 
  Switzerland – 15.5%  
  4,826      ABB Ltd. (Industrials)*     104,669   
  1,370      Actelion Ltd. (Health Care)*     228,252   
  676      Adecco Group AG (Industrials)     38,941   
  871      Aryzta AG (Consumer Staples)*     34,732   
  302      Baloise Holding AG (Financials)     35,961   
  48      Barry Callebaut AG (Consumer Staples)*     61,750   
  10      Chocoladefabriken Lindt & Spruengli AG (Consumer Staples)     57,961   
  668      Cie Financiere Richemont SA (Consumer Discretionary)     38,514   
  5,694      Coca-Cola HBC AG (Consumer Staples)*     124,837   
  654      Credit Suisse Group AG (Financials)*     8,527   
  69      Dufry AG (Consumer Discretionary)*     8,076   
  125      EMS-Chemie Holding AG (Materials)     66,600   
  40      Galenica AG (Health Care)     46,450   
  202      Geberit AG (Industrials)     88,197   
  34      Givaudan SA (Materials)     70,350   
  117,067      Glencore PLC (Materials)*     266,858   
  319      Julius Baer Group Ltd. (Financials)*     13,386   
  1,283      Kuehne + Nagel International AG (Industrials)     179,284   
  159      LafargeHolcim Ltd. (Materials)*     8,439   
  748      Lonza Group AG (Health Care)*     141,903   
  12,516      Nestle SA (Consumer Staples)     997,408   
  7,828      Novartis AG (Health Care)     616,648   
  830      Pargesa Holding SA (Financials)     57,273   
  398      Partners Group Holding AG (Financials)     182,686   
  2,789      Roche Holding AG (Health Care)     680,680   
  294      Schindler Holding AG (Industrials)     55,595   
  340      Schindler Holding AG Participation Certificates (Industrials)     64,052   

 

 

 
  Common Stocks – (continued)   
  Switzerland – (continued)  
  32      SGS SA (Industrials)   70,380   
  15      Sika AG (Materials)     71,538   
  624      Sonova Holding AG (Health Care)     86,435   
  7,903      STMicroelectronics NV (Information Technology)     59,000   
  166      Swatch Group AG (The) – Bearer (Consumer Discretionary)     42,761   
  676      Swatch Group AG (The) – Registered (Consumer Discretionary)     34,366   
  414      Swiss Life Holding AG (Financials)*     103,653   
  664      Swiss Prime Site AG (Real Estate)*     58,456   
  1,277      Swiss Re AG (Financials)     107,873   
  78      Swisscom AG (Telecommunication Services)     37,303   
  161      Syngenta AG (Materials)     70,181   
  7,694      UBS Group AG (Financials)     111,352   
  1,638      Wolseley PLC (Industrials)     93,964   
  161      Zurich Insurance Group AG (Financials)*     41,194   
   

 

 

 
      5,266,485  

 

 

 
  United Kingdom – 25.5%   
  5,826      3i Group PLC (Financials)     46,888   
  8,164      Admiral Group PLC (Financials)     219,194   
  6,719      Aggreko PLC (Industrials)     89,671   
  656      Anglo American PLC (Materials)*     6,700   
  3,276      ARM Holdings PLC (Information Technology)     72,768   
  744      Ashtead Group PLC (Industrials)     12,326   
  1,196      Associated British Foods PLC (Consumer Staples)     47,634   
  4,487      AstraZeneca PLC (Health Care)     288,483   
  28,968      Auto Trader Group PLC (Information Technology)(a)     141,552   
  3,590      Aviva PLC (Financials)     20,143   
  1,213      Babcock International Group PLC (Industrials)     16,617   
  9,895      BAE Systems PLC (Industrials)     69,787   
  9,178      Barclays PLC (Financials)     20,705   
  5,850      Barratt Developments PLC (Consumer Discretionary)     37,849   
  43,171      BP PLC (Energy)     241,939   
  7,186      British American Tobacco PLC (Consumer Staples)     444,693   
  5,316      British Land Co. PLC (The) REIT (Real Estate)     46,160   
  25,919      BT Group PLC (Telecommunication Services)     131,151   
  2,341      Bunzl PLC (Industrials)     72,296   
  8,981      Burberry Group PLC (Consumer Discretionary)     153,382   
  1,689      Capita PLC (Industrials)     22,895   
  23,273      Centrica PLC (Utilities)     70,898   
  17,403      CNH Industrial NV (Industrials)     126,956   
  233      Coca-Cola European Partners PLC (Consumer Staples)*     8,927   
  8,294      Compass Group PLC (Consumer Discretionary)     156,639   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   45


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  United Kingdom – (continued)   
  1,004      Croda International PLC (Materials)   $ 43,524   
  589      DCC PLC (Industrials)     53,459   
  8,196      Diageo PLC (Consumer Staples)     226,333   
  12,343      Direct Line Insurance Group PLC (Financials)     59,651   
  6,484      Dixons Carphone PLC (Consumer Discretionary)     31,480   
  5,400      Fiat Chrysler Automobiles NV (Consumer Discretionary)     37,258   
  3,906      G4S PLC (Industrials)     11,797   
  18,008      GlaxoSmithKline PLC (Health Care)     386,559   
  5,429      Hammerson PLC REIT (Real Estate)     41,240   
  10,997      Hargreaves Lansdown PLC (Financials)     190,404   
  63,325      HSBC Holdings PLC (Financials)     468,012   
  3,042      ICAP PLC (Financials)     19,056   
  869      IMI PLC (Industrials)     12,030   
  3,818      Imperial Brands PLC (Consumer Staples)     199,692   
  1,972      Inmarsat PLC (Telecommunication Services)     19,913   
  503      InterContinental Hotels Group PLC (Consumer Discretionary)     21,483   
  14,097      International Consolidated Airlines Group SA (Industrials)     70,841   
  1,233      Intertek Group PLC (Industrials)     56,375   
  5,876      Intu Properties PLC REIT (Real Estate)     24,319   
  9,352      ITV PLC (Consumer Discretionary)     24,582   
  7,956      J Sainsbury PLC (Consumer Staples)     25,039   
  770      Johnson Matthey PLC (Materials)     33,663   
  13,000      Kingfisher PLC (Consumer Discretionary)     63,184   
  4,273      Land Securities Group PLC REIT (Real Estate)     61,224   
  10,946      Legal & General Group PLC (Financials)     30,149   
  48,389      Lloyds Banking Group PLC (Financials)     37,613   
  32,112      Marks & Spencer Group PLC (Consumer Discretionary)     144,971   
  3,250      Meggitt PLC (Industrials)     19,933   
  5,852      Merlin Entertainments PLC (Consumer Discretionary)(a)     36,797   
  11,433      National Grid PLC (Utilities)     156,701   
  1,789      Next PLC (Consumer Discretionary)     129,454   
  5,260      Old Mutual PLC (Financials)     13,372   
  1,586      Persimmon PLC (Consumer Discretionary)     37,888   
  2,467      Petrofac Ltd. (Energy)     26,866   
  2,730      Provident Financial PLC (Financials)     107,479   
  5,694      Prudential PLC (Financials)     101,682   
  2,366      Reckitt Benckiser Group PLC (Consumer Staples)     227,882   
  4,238      RELX NV (Industrials)     75,049   
  6,214      RELX PLC (Industrials)     117,601   
  1,619      Rio Tinto PLC (Materials)     48,790   
  2,021      Rolls-Royce Holdings PLC (Industrials)*     20,381   
  26,290      Royal Mail PLC (Industrials)     176,980   
  2,849      RSA Insurance Group PLC (Financials)     18,504   
  19,630      Sage Group PLC (The) (Information Technology)     186,393   

 

 

 
  Common Stocks – (continued)   
  United Kingdom – (continued)   
  312      Schroders PLC (Financials)   11,376   
  11,409      Segro PLC REIT (Real Estate)     67,719   
  2,392      Severn Trent PLC (Utilities)     74,592   
  8,515      Sky PLC (Consumer Discretionary)     94,681   
  6,096      Smith & Nephew PLC (Health Care)     98,123   
  397      Smiths Group PLC (Industrials)     6,973   
  3,068      SSE PLC (Utilities)     60,433   
  1,794      St James’s Place PLC (Financials)     23,073   
  2,782      Standard Life PLC (Financials)     13,281   
  7,214      Tate & Lyle PLC (Consumer Staples)     69,302   
  11,363      Taylor Wimpey PLC (Consumer Discretionary)     24,005   
  76,054      Tesco PLC (Consumer Staples)*     165,698   
  5,660      Unilever NV (Consumer Staples)     259,182   
  6,073      Unilever PLC (Consumer Staples)     280,690   
  5,232      United Utilities Group PLC (Utilities)     66,570   
  69,306      Vodafone Group PLC (Telecommunication Services)     208,635   
  2,112      Whitbread PLC (Consumer Discretionary)     115,401   
  30,783      William Hill PLC (Consumer Discretionary)     128,287   
  77,182      Wm Morrison Supermarkets PLC (Consumer Staples)     199,138   
  10,504      Worldpay Group PLC (Information Technology)*(a)     41,106   
  7,410      WPP PLC (Consumer Discretionary)     170,417   
   

 

 

 
      8,640,538  

 

 

 
  United States – 0.8%   
  1,454      Carnival PLC (Consumer Discretionary)     69,583   
  2,210      QIAGEN NV (Health Care)*     58,434   
  2,236      Shire PLC (Health Care)     139,425   
   

 

 

 
      267,442  

 

 

 
  TOTAL COMMON STOCKS   
  (Cost $32,652,261)   $ 33,746,748  

 

 

 
   
  Preferred Stocks – 0.5%   
  Germany – 0.5%   
  2,143      FUCHS PETROLUB SE (Materials)   $ 97,332   
  611      Henkel AG & Co KGaA (Consumer Staples)     80,061   

 

 

 
  TOTAL PREFERRED STOCKS   
  (Cost $153,447)   $ 177,393  

 

 

 
  TOTAL INVESTMENTS – 99.9%   
  (Cost $32,805,708)   $ 33,924,141  

 

 

 
 
 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.1%
    35,345  

 

 

 
  NET ASSETS – 100.0%   $ 33,959,486  

 

 

 

 

46   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® EUROPE EQUITY ETF

 

 

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. Under procedures approved by the Board of Trustees, such securities may be deemed liquid by the Investment Adviser and may be resold, normally to qualified institutional buyers in transactions exempt from registration. Total market value of Rule 144A securities amounts to $506,222, which represents approximately 1.5% of net assets as of August 31, 2016.

 

 

Investment Abbreviations:

PLC

 

—Public Limited Company

REIT

 

—Real Estate Investment Trust

 

 

The accompanying notes are an integral part of these financial statements.   47


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – 99.2%   
  Australia – 6.4%   
  11,779      AGL Energy Ltd. (Utilities)   $ 164,214   
  12,674      Amcor Ltd. (Materials)     152,402   
  37,666      AMP Ltd. (Financials)     148,899   
  12,060      APA Group (Utilities)     83,748   
  40,129      Aristocrat Leisure Ltd. (Consumer Discretionary)     455,400   
  7,885      ASX Ltd. (Financials)     303,114   
  99,341      AusNet Services (Utilities)     128,415   
  35,707      Australia & New Zealand Banking Group Ltd. (Financials)     721,878   
  12,444      Bank of Queensland Ltd. (Financials)     98,667   
  43,347      Bendigo & Adelaide Bank Ltd. (Financials)     357,700   
  11,952      Boral Ltd. (Materials)     59,374   
  20,389      Brambles Ltd. (Industrials)     188,784   
  8,825      Caltex Australia Ltd. (Energy)     225,171   
  22,348      Challenger Ltd. (Financials)     154,352   
  15,519      CIMIC Group Ltd. (Industrials)     345,351   
  10,075      Cochlear Ltd. (Health Care)     1,066,876   
  28,931      Commonwealth Bank of Australia (Financials)     1,561,372   
  9,325      CSL Ltd. (Health Care)     757,587   
  19,573      Dexus Property Group REIT (Real Estate)     142,982   
  2,867      Domino’s Pizza Enterprises Ltd. (Consumer Discretionary)     163,089   
  79,670      DUET Group (Utilities)     157,474   
  18,366      Flight Centre Travel Group Ltd. (Consumer Discretionary)     508,640   
  217,160      Fortescue Metals Group Ltd. (Materials)     799,713   
  27,812      Goodman Group REIT (Real Estate)     158,647   
  39,455      GPT Group (The) REIT (Real Estate)     158,047   
  35,752      Harvey Norman Holdings Ltd. (Consumer Discretionary)     144,557   
  43,689      Insurance Australia Group Ltd. (Financials)     182,560   
  12,486      LendLease Group (Real Estate)     129,685   
  5,618      Macquarie Group Ltd. (Financials)     340,732   
  82,034      Medibank Pvt Ltd. (Financials)     165,846   
  62,465      Mirvac Group REIT (Real Estate)     108,914   
  16,762      National Australia Bank Ltd. (Financials)     344,415   
  14,192      Newcrest Mining Ltd. (Materials)*     236,679   
  30,376      Origin Energy Ltd. (Energy)     120,081   
  99,555      Platinum Asset Management Ltd. (Financials)     402,535   
  73,737      Qantas Airways Ltd. (Industrials)*     179,551   
  12,666      QBE Insurance Group Ltd. (Financials)     94,430   
  8,056      Ramsay Health Care Ltd. (Health Care)     502,341   
  10,950      REA Group Ltd. (Consumer Discretionary)     482,330   
  96,644      Scentre Group REIT (Real Estate)     360,985   
  4,959      SEEK Ltd. (Industrials)     59,892   
  5,379      Sonic Healthcare Ltd. (Health Care)     92,980   
  333,288      South32 Ltd. (Materials)*     480,927   
  43,030      Stockland REIT (Real Estate)     156,845   
  24,647      Suncorp Group Ltd. (Financials)     235,433   

 

 

 
  Common Stocks – (continued)   
  Australia – (continued)   
  56,319      Sydney Airport (Industrials)   308,137   
  25,619      Tabcorp Holdings Ltd. (Consumer Discretionary)     95,692   
  58,928      Tatts Group Ltd. (Consumer Discretionary)     168,735   
  121,772      Telstra Corp. Ltd. (Telecommunication Services)     481,384   
  7,984      TPG Telecom Ltd. (Telecommunication Services)     73,145   
  52,485      Transurban Group (Industrials)     452,041   
  10,623      Treasury Wine Estates Ltd. (Consumer Staples)     89,657   
  64,510      Vicinity Centres REIT (Real Estate)     160,477   
  22,729      Vocus Communications Ltd. (Telecommunication Services)     131,360   
  13,329      Wesfarmers Ltd. (Consumer Staples)     425,139   
  41,523      Westfield Corp. REIT (Real Estate)     318,932   
  44,245      Westpac Banking Corp. (Financials)     979,614   
  33,875      Woolworths Ltd. (Consumer Staples)     603,627   
   

 

 

 
      18,171,554  

 

 

 
  Austria – 0.2%   
  2,366      ANDRITZ AG (Industrials)     120,544   
  4,112      OMV AG (Energy)     115,043   
  26,872      Raiffeisen Bank International AG (Financials)*     381,291   
   

 

 

 
      616,878  

 

 

 
  Belgium – 1.0%   
  2,866      Ageas (Financials)     98,856   
  9,678      Anheuser-Busch InBev SA/NV (Consumer Staples)     1,196,994   
  7,228      Colruyt SA (Consumer Staples)     396,109   
  2,665      Groupe Bruxelles Lambert SA (Financials)     233,504   
  3,239      Proximus SADP (Telecommunication Services)     98,952   
  2,010      Solvay SA (Materials)     220,304   
  5,434      Telenet Group Holding NV (Consumer Discretionary)*     254,461   
  1,642      UCB SA (Health Care)     134,616   
  2,476      Umicore SA (Materials)     145,990   
   

 

 

 
      2,779,786  

 

 

 
  Canada – 9.1%   
  3,387      Agnico Eagle Mines Ltd. (Materials)     171,589   
  1,380      Agrium, Inc. (Materials)     132,904   
  22,283      Alimentation Couche-Tard, Inc., Class B (Consumer Staples)     1,148,584   
  2,821      Atco Ltd., Class I (Utilities)     103,440   
  7,823      Bank of Montreal (Financials)     518,612   
  14,970      Bank of Nova Scotia (The) (Financials)     796,506   
  15,718      Barrick Gold Corp. (Materials)     267,028   
  4,694      BCE, Inc. (Telecommunication Services)     219,200   
  15,260      Brookfield Asset Management, Inc., Class A (Financials)     514,656   
  7,800      CAE, Inc. (Industrials)     111,170   

 

 

 

 

48   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Canada – (continued)   
  5,761      Canadian Imperial Bank of Commerce (Financials)   $ 457,086   
  6,369      Canadian National Railway Co. (Industrials)     409,066   
  5,869      Canadian Natural Resources Ltd. (Energy)     182,192   
  512      Canadian Pacific Railway Ltd. (Industrials)     78,378   
  995      Canadian Tire Corp. Ltd., Class A (Consumer Discretionary)     101,870   
  3,679      Canadian Utilities Ltd., Class A (Utilities)     105,431   
  881      CCL Industries, Inc., Class B (Materials)     168,035   
  21,660      Cenovus Energy, Inc. (Energy)     312,836   
  5,756      CGI Group, Inc., Class A (Information Technology)*     280,024   
  26,491      CI Financial Corp. (Financials)     518,291   
  2,558      Constellation Software, Inc. (Information Technology)     1,115,534   
  12,250      Crescent Point Energy Corp. (Energy)     184,863   
  14,992      Dollarama, Inc. (Consumer Discretionary)     1,107,218   
  63,164      Empire Co. Ltd. (Consumer Staples)     1,038,411   
  4,899      Enbridge, Inc. (Energy)     193,115   
  19,106      Encana Corp. (Energy)     182,316   
  359      Fairfax Financial Holdings Ltd. (Financials)     203,085   
  22,027      Finning International, Inc. (Industrials)     390,494   
  9,055      First Capital Realty, Inc. (Real Estate)     153,142   
  4,815      Fortis, Inc. (Utilities)     151,380   
  2,134      Franco-Nevada Corp. (Materials)     149,033   
  11,104      George Weston Ltd. (Consumer Staples)     955,483   
  3,401      Gildan Activewear, Inc. (Consumer Discretionary)     100,082   
  5,501      Goldcorp, Inc. (Materials)     83,686   
  17,130      Great-West Lifeco, Inc. (Financials)     408,911   
  7,481      H&R Real Estate Investment Trust REIT (Real Estate)     132,965   
  12,042      Husky Energy, Inc. (Energy)*     147,949   
  5,287      IGM Financial, Inc. (Financials)     149,497   
  1,845      Imperial Oil Ltd. (Energy)     56,262   
  14,448      Industrial Alliance Insurance & Financial Services, Inc. (Financials)     514,690   
  3,642      Intact Financial Corp. (Financials)     264,202   
  20,112      Jean Coutu Group PJC, Inc. (The), Class A (Consumer Staples)     297,530   
  126,729      Kinross Gold Corp. (Materials)*     506,124   
  7,247      Linamar Corp. (Consumer Discretionary)     298,927   
  12,158      Loblaw Cos. Ltd. (Consumer Staples)     661,159   
  28,769      Manulife Financial Corp. (Financials)     392,270   
  23,105      Metro, Inc. (Consumer Staples)     784,342   
  7,309      National Bank of Canada (Financials)     256,752   
  11,453      Onex Corp. (Financials)     699,113   
  2,470      Open Text Corp. (Information Technology)     155,273   

 

 

 
  Common Stocks – (continued)   
  Canada – (continued)   
  29,556      Power Corp. of Canada (Financials)   624,437   
  18,499      Power Financial Corp. (Financials)     425,940   
  1,330      Restaurant Brands International, Inc. (Consumer Discretionary)     63,426   
  6,261      RioCan Real Estate Investment Trust REIT (Real Estate)     131,419   
  5,872      Rogers Communications, Inc., Class B (Telecommunication Services)     251,341   
  23,927      Royal Bank of Canada (Financials)     1,486,809   
  15,541      Saputo, Inc. (Consumer Staples)     516,434   
  5,591      Seven Generations Energy Ltd., Class A (Energy)*     128,690   
  5,494      Shaw Communications, Inc., Class B (Consumer Discretionary)     109,834   
  6,488      Silver Wheaton Corp. (Materials)     164,369   
  6,160      Smart Real Estate Investment Trust REIT (Real Estate)     166,389   
  3,487      SNC-Lavalin Group, Inc. (Industrials)     148,564   
  9,137      Sun Life Financial, Inc. (Financials)     288,167   
  20,350      Suncor Energy, Inc. (Energy)     551,538   
  5,479      Teck Resources Ltd., Class B (Materials)     88,738   
  3,265      TELUS Corp. (Telecommunication Services)     107,054   
  25,168      Toronto-Dominion Bank (The) (Financials)     1,122,542   
  8,338      TransCanada Corp. (Energy)     377,928   
  128,915      Turquoise Hill Resources Ltd. (Materials)*     396,949   
  30,629      Veresen, Inc. (Energy)     301,610   
  28,043      Yamana Gold, Inc. (Materials)     113,493   
   

 

 

 
      25,896,377  

 

 

 
  China – 0.1%   
  556,150      Yangzijiang Shipbuilding Holdings Ltd. (Industrials)     312,180  

 

 

 
  Denmark – 2.1%   
  6,845      Carlsberg A/S, Class B (Consumer Staples)     640,701   
  2,977      Chr Hansen Holding A/S (Materials)     180,243   
  6,812      Coloplast A/S, Class B (Health Care)     517,327   
  4,705      Danske Bank A/S (Financials)     137,856   
  4,583      DSV A/S (Industrials)     226,935   
  892      Genmab A/S (Health Care)*     142,291   
  6,607      ISS A/S (Industrials)     267,143   
  40,779      Novo Nordisk A/S, Class B (Health Care)     1,908,178   
  1,353      Novozymes A/S, Class B (Materials)     58,574   
  5,803      Pandora A/S (Consumer Discretionary)     720,751   
  44,061      TDC A/S (Telecommunication Services)*     243,164   
  6,229      Tryg A/S (Financials)     124,066   
  4,284      Vestas Wind Systems A/S (Industrials)     354,831   
  22,200      William Demant Holding A/S (Health Care)*     463,095   
   

 

 

 
      5,985,155  

 

 

 

 

The accompanying notes are an integral part of these financial statements.   49


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Finland – 0.9%   
  5,789      Elisa OYJ (Telecommunication Services)   $ 203,354   
  5,014      Fortum OYJ (Utilities)     77,287   
  4,212      Kone OYJ, Class B (Industrials)     211,334   
  6,376      Neste OYJ (Energy)     265,161   
  10,062      Nokia OYJ (Information Technology)     56,481   
  1,582      Nokian Renkaat OYJ (Consumer Discretionary)     57,034   
  12,663      Orion OYJ, Class B (Health Care)     478,670   
  7,445      Sampo OYJ, Class A (Financials)     319,154   
  41,098      UPM-Kymmene OYJ (Materials)     824,370   
  1,421      Wartsila OYJ Abp (Industrials)     58,368   
   

 

 

 
      2,551,213  

 

 

 
  France – 9.4%   
  10,892      Accor SA (Consumer Discretionary)     410,572   
  953      Aeroports de Paris (Industrials)     98,180   
  2,064      Air Liquide SA (Materials)     226,039   
  2,623      Airbus Group SE (Industrials)     152,758   
  3,311      Alstom SA (Industrials)*     87,452   
  1,008      Arkema SA (Materials)     89,846   
  18,421      Atos SE (Information Technology)     1,809,750   
  27,301      AXA SA (Financials)     572,250   
  16,590      BNP Paribas SA (Financials)     842,648   
  6,733      Bureau Veritas SA (Industrials)     144,128   
  7,009      Capgemini SA (Information Technology)     681,799   
  18,214      Carrefour SA (Consumer Staples)     457,851   
  4,266      Casino Guichard Perrachon SA (Consumer Staples)     210,695   
  5,284      Christian Dior SE (Consumer Discretionary)     912,183   
  3,653      Cie de Saint-Gobain (Industrials)     159,974   
  2,712      Cie Generale des Etablissements Michelin (Consumer Discretionary)     287,853   
  23,193      CNP Assurances (Financials)     372,744   
  39,296      Credit Agricole SA (Financials)     371,573   
  14,002      Danone SA (Consumer Staples)     1,062,156   
  6,621      Dassault Systemes (Information Technology)     556,895   
  4,668      Eiffage SA (Industrials)     364,969   
  7,019      Engie SA (Utilities)     111,711   
  4,972      Essilor International SA (Health Care)     630,452   
  3,994      Eurazeo SA (Financials)     241,944   
  8,742      Eutelsat Communications SA (Consumer Discretionary)     169,657   
  1,282      Fonciere Des Regions REIT (Real Estate)     119,595   
  1,940      Gecina SA REIT (Real Estate)     303,034   
  2,598      Hermes International (Consumer Discretionary)     1,095,487   
  1,380      ICADE REIT (Real Estate)     106,328   
  1,265      Imerys SA (Materials)     89,000   
  606      Ingenico Group SA (Information Technology)     65,158   
  2,761      JCDecaux SA (Consumer Discretionary)     94,712   
  357      Kering (Consumer Discretionary)     67,574   

 

 

 
  Common Stocks – (continued)   
  France – (continued)   
  4,028      Klepierre REIT (Real Estate)   188,465   
  5,447      Lagardere SCA (Consumer Discretionary)     132,646   
  3,378      Legrand SA (Industrials)     202,070   
  7,970      L’Oreal SA (Consumer Staples)     1,503,249   
  5,069      LVMH Moet Hennessy Louis Vuitton SE (Consumer Discretionary)     856,437   
  18,026      Natixis SA (Financials)     79,623   
  17,086      Orange SA (Telecommunication Services)     260,514   
  3,135      Pernod Ricard SA (Consumer Staples)     359,286   
  47,956      Peugeot SA (Consumer Discretionary)*     706,360   
  5,510      Publicis Groupe SA (Consumer Discretionary)     408,401   
  1,700      Remy Cointreau SA (Consumer Staples)     148,119   
  6,269      Renault SA (Consumer Discretionary)     511,858   
  48,802      Rexel SA (Industrials)     782,958   
  5,349      Safran SA (Industrials)     373,413   
  20,759      Sanofi (Health Care)     1,596,921   
  6,949      Schneider Electric SE (Industrials)     472,803   
  13,382      SCOR SE (Financials)     393,098   
  3,124      Societe BIC SA (Industrials)     455,273   
  14,632      Societe Generale SA (Financials)     531,995   
  2,630      Sodexo SA (Consumer Discretionary)     304,193   
  6,308      Suez (Utilities)     95,301   
  4,945      Technip SA (Energy)     291,732   
  2,765      Thales SA (Industrials)     239,063   
  21,213      TOTAL SA (Energy)     1,010,010   
  1,231      Unibail-Rodamco SE REIT (Real Estate)     337,272   
  3,589      Valeo SA (Consumer Discretionary)     185,432   
  13,261      Veolia Environnement SA (Utilities)     281,579   
  8,981      Vinci SA (Industrials)     680,076   
  8,203      Vivendi SA (Consumer Discretionary)     158,785   
  757      Wendel SA (Financials)     85,955   
   

 

 

 
      26,599,854  

 

 

 
  Germany – 7.1%  
  8,851      adidas AG (Consumer Discretionary)     1,468,319   
  7,894      Allianz SE (Financials)     1,174,163   
  1,725      Axel Springer SE (Consumer Discretionary)     87,723   
  7,197      BASF SE (Materials)     584,341   
  13,059      Bayer AG (Health Care)     1,395,832   
  1,054      Bayerische Motoren Werke AG (Consumer Discretionary)     91,575   
  8,834      Beiersdorf AG (Consumer Staples)     820,659   
  3,066      Brenntag AG (Industrials)     166,606   
  1,139      Continental AG (Consumer Discretionary)     238,363   
  1,628      Covestro AG (Materials)(a)     84,639   
  4,845      Daimler AG (Consumer Discretionary)     334,991   
  7,760      Deutsche Boerse AG (Financials)*     662,031   
  34,124      Deutsche Lufthansa AG (Industrials)     396,968   
  31,291      Deutsche Post AG (Industrials)     989,750   
  55,701      Deutsche Telekom AG (Telecommunication Services)     928,693   

 

 

 

 

50   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Germany – (continued)   
  13,596      Deutsche Wohnen AG (Real Estate)   $ 510,303   
  57,349      E.ON SE (Utilities)     527,394   
  3,192      Evonik Industries AG (Materials)     107,133   
  3,554      Fraport AG Frankfurt Airport Services Worldwide (Industrials)     197,953   
  4,610      Fresenius Medical Care AG & Co KGaA (Health Care)     407,362   
  7,745      Fresenius SE & Co KGaA (Health Care)     564,312   
  3,146      GEA Group AG (Industrials)     168,588   
  3,259      Hannover Rueck SE (Financials)     332,482   
  6,778      HeidelbergCement AG (Materials)     628,605   
  2,990      Henkel AG & Co KGaA (Consumer Staples)     335,176   
  1,600      HOCHTIEF AG (Industrials)     214,820   
  7,976      HUGO BOSS AG (Consumer Discretionary)     486,359   
  12,748      Infineon Technologies AG (Information Technology)     214,320   
  2,098      LANXESS AG (Materials)     111,785   
  1,397      Linde AG (Materials)     238,910   
  1,737      MAN SE (Industrials)     180,419   
  5,528      Merck KGaA (Health Care)     580,833   
  10,774      METRO AG (Consumer Staples)     319,188   
  3,439      Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Financials)     620,681   
  4,852      OSRAM Licht AG (Industrials)     253,660   
  7,982      ProSiebenSat.1 Media SE (Consumer Discretionary)     342,796   
  13,693      SAP SE (Information Technology)     1,201,135   
  7,414      Siemens AG (Industrials)     883,948   
  5,076      Symrise AG (Materials)     373,180   
  36,960      Telefonica Deutschland Holding AG (Telecommunication Services)     151,649   
  12,266      TUI AG (Consumer Discretionary)     170,768   
  2,997      United Internet AG (Information Technology)     123,035   
  5,286      Vonovia SE (Real Estate)     205,378   
  10,669      Zalando SE (Consumer Discretionary)*(a)     407,395   
   

 

 

 
      20,284,220  

 

 

 
  Hong Kong – 2.8%  
  150,069      AIA Group Ltd. (Financials)     948,965   
  47,523      Bank of East Asia Ltd. (The) (Financials)     192,071   
  88,158      BOC Hong Kong Holdings Ltd. (Financials)     308,569   
  24,734      Cheung Kong Infrastructure Holdings Ltd. (Utilities)     207,744   
  9,885      CK Hutchison Holdings Ltd. (Industrials)     127,055   
  26,252      CLP Holdings Ltd. (Utilities)     269,229   
  77,465      First Pacific Co. Ltd. (Financials)     58,023   
  16,269      Hang Seng Bank Ltd. (Financials)     285,456   
  14,274      Henderson Land Development Co. Ltd. (Real Estate)     83,453   

 

 

 
  Common Stocks – (continued)   
  Hong Kong – (continued)  
  283,737      HK Electric Investments & HK Electric Investments Ltd. (Utilities)(a)   266,298   
  119,352      HKT Trust & HKT Ltd. (Telecommunication Services)     164,639   
  56,476      Hong Kong & China Gas Co. Ltd. (Utilities)     107,757   
  26,971      Hong Kong Exchanges and Clearing Ltd. (Financials)     659,606   
  13,683      Hysan Development Co. Ltd. (Real Estate)     66,062   
  2,271      Jardine Matheson Holdings Ltd. (Industrials)     135,919   
  25,848      Kerry Properties Ltd. (Real Estate)     75,144   
  63,756      Link REIT (Real Estate)     463,575   
  33,617      MTR Corp. Ltd. (Industrials)     183,758   
  231,158      New World Development Co. Ltd. (Real Estate)     289,963   
  184,122      NWS Holdings Ltd. (Industrials)     328,995   
  356,599      PCCW Ltd. (Telecommunication Services)     226,186   
  12,920      Power Assets Holdings Ltd. (Utilities)     123,591   
  32,782      Sino Land Co. Ltd. (Real Estate)     56,125   
  828,639      SJM Holdings Ltd. (Consumer Discretionary)     521,321   
  22,091      Sun Hung Kai Properties Ltd. (Real Estate)     310,998   
  12,863      Swire Pacific Ltd., Class A (Real Estate)     142,116   
  38,337      Techtronic Industries Co. Ltd. (Consumer Discretionary)     155,439   
  813,368      WH Group Ltd. (Consumer Staples)(a)     639,642   
  26,346      Wharf Holdings Ltd. (The) (Real Estate)     186,130   
  84,614      Wheelock & Co. Ltd. (Real Estate)     484,335   
   

 

 

 
      8,068,164  

 

 

 
  Ireland – 0.5%  
  8,841      CRH PLC (Materials)     298,846   
  14,542      Experian PLC (Industrials)     288,351   
  10,166      James Hardie Industries PLC CDI (Materials)     165,717   
  3,555      Kerry Group PLC, Class A (Consumer Staples)     301,626   
  2,338      Paddy Power Betfair PLC (Consumer Discretionary)     279,013   
   

 

 

 
      1,333,553  

 

 

 
  Israel – 0.9%  
  2,527      Azrieli Group Ltd. (Real Estate)     110,222   
  37,207      Bank Hapoalim BM (Financials)     199,272   
  63,676      Bank Leumi Le-Israel BM (Financials)*     238,016   
  150,500      Bezeq The Israeli Telecommunication Corp. Ltd. (Telecommunication Services)     301,609   
  998      Check Point Software Technologies Ltd. (Information Technology)*     76,587   
  9,673      Mizrahi Tefahot Bank Ltd. (Financials)     116,474   
  7,111      Nice Ltd. (Information Technology)     484,800   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   51


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Israel – (continued)  
  21,388      Teva Pharmaceutical Industries Ltd. (Health Care)   $ 1,083,860   
   

 

 

 
      2,610,840  

 

 

 
  Italy – 2.0%  
  9,790      Assicurazioni Generali SpA (Financials)     124,301   
  8,410      Atlantia SpA (Industrials)     215,994   
  228,477      Enel SpA (Utilities)     1,007,177   
  14,520      Eni SpA (Energy)     218,964   
  13,342      EXOR SpA (Financials)     547,578   
  26,157      Intesa Sanpaolo SpA (Financials)     62,052   
  5,177      Leonardo-Finmeccanica SpA (Industrials)*     58,985   
  15,461      Luxottica Group SpA (Consumer Discretionary)     744,751   
  27,923      Prysmian SpA (Industrials)     687,915   
  60,744      Snam SpA (Utilities)     336,238   
  631,148      Telecom Italia SpA (Telecommunication Services)*     571,842   
  768,640      Telecom Italia SpA-RSP (Telecommunication Services)*     562,440   
  53,306      Terna Rete Elettrica Nazionale SpA (Utilities)     275,000   
  68,265      UniCredit SpA (Financials)     175,325   
  133,517      UnipolSai SpA (Financials)     222,611   
   

 

 

 
      5,811,173  

 

 

 
  Japan – 20.8%  
  3,581      ABC-Mart, Inc. (Consumer Discretionary)     225,035   
  9,037      Aeon Co. Ltd. (Consumer Staples)     124,282   
  14,592      Ajinomoto Co., Inc. (Consumer Staples)     309,376   
  14,100      Alfresa Holdings Corp. (Health Care)     263,229   
  41,845      ANA Holdings, Inc. (Industrials)     113,801   
  43,474      Aozora Bank Ltd. (Financials)     153,831   
  9,708      Asahi Group Holdings Ltd. (Consumer Staples)     317,797   
  8,426      Asics Corp. (Consumer Discretionary)     170,825   
  57,974      Astellas Pharma, Inc. (Health Care)     885,850   
  15,149      Bandai Namco Holdings, Inc. (Consumer Discretionary)     413,894   
  14,897      Benesse Holdings, Inc. (Consumer Discretionary)     343,638   
  9,135      Bridgestone Corp. (Consumer Discretionary)     313,965   
  28,963      Brother Industries Ltd. (Information Technology)     486,100   
  18,181      Calbee, Inc. (Consumer Staples)     660,025   
  22,363      Canon, Inc. (Information Technology)     640,827   
  6,688      Casio Computer Co. Ltd. (Consumer Discretionary)     94,467   
  1,433      Central Japan Railway Co. (Industrials)     235,381   
  27,107      Chubu Electric Power Co., Inc. (Utilities)     366,633   
  5,081      Chugoku Electric Power Co., Inc. (The) (Utilities)     61,010   
  13,809      Concordia Financial Group Ltd. (Financials)*     71,238   

 

 

 
  Common Stocks – (continued)   
  Japan – (continued)  
  9,747      CYBERDYNE, Inc. (Health Care)*   153,506   
  9,541      Dai Nippon Printing Co. Ltd. (Industrials)     97,038   
  12,339      Daiichi Sankyo Co. Ltd. (Health Care)     283,260   
  3,216      Daikin Industries Ltd. (Industrials)     298,141   
  3,268      Daito Trust Construction Co. Ltd. (Real Estate)     481,346   
  10,850      Daiwa House Industry Co. Ltd. (Real Estate)     280,232   
  12,878      Daiwa Securities Group, Inc. (Financials)     75,250   
  2,271      Denso Corp. (Consumer Discretionary)     93,795   
  2,122      Dentsu, Inc. (Consumer Discretionary)     116,732   
  2,061      East Japan Railway Co. (Industrials)     176,540   
  4,830      Eisai Co. Ltd. (Health Care)     281,577   
  6,251      FamilyMart Co. Ltd. (Consumer Staples)     447,817   
  493      FANUC Corp. (Industrials)     84,030   
  2,116      Fast Retailing Co. Ltd. (Consumer Discretionary)     743,418   
  5,997      Fuji Heavy Industries Ltd. (Consumer Discretionary)     237,596   
  15,230      FUJIFILM Holdings Corp. (Information Technology)     572,331   
  77,843      Fujitsu Ltd. (Information Technology)     395,254   
  159,652      GungHo Online Entertainment, Inc. (Information Technology)     379,701   
  4,123      Hankyu Hanshin Holdings, Inc. (Industrials)     133,135   
  8,116      Hikari Tsushin, Inc. (Consumer Discretionary)     729,722   
  3,979      Hisamitsu Pharmaceutical Co., Inc. (Health Care)     178,110   
  2,768      Hitachi Chemical Co. Ltd. (Materials)     59,676   
  20,904      Hitachi Construction Machinery Co. Ltd. (Industrials)     391,666   
  3,520      Hitachi High-Technologies Corp. (Information Technology)     130,509   
  23,308      Hitachi Ltd. (Information Technology)     111,768   
  9,744      Hokuriku Electric Power Co. (Utilities)     116,436   
  27,216      Honda Motor Co. Ltd. (Consumer Discretionary)     834,096   
  1,523      Hoshizaki Corp. (Industrials)     121,769   
  14,914      Hoya Corp. (Health Care)     578,046   
  16,631      Idemitsu Kosan Co. Ltd. (Energy)     303,405   
  13,921      Iida Group Holdings Co. Ltd. (Consumer Discretionary)     260,830   
  19,085      Isetan Mitsukoshi Holdings Ltd. (Consumer Discretionary)     173,810   
  43,545      ITOCHU Corp. (Industrials)     514,028   
  2,174      Japan Airlines Co. Ltd. (Industrials)     66,144   
  2,884      Japan Airport Terminal Co. Ltd. (Industrials)     113,760   
  8,062      Japan Exchange Group, Inc. (Financials)     125,955   
  73      Japan Retail Fund Investment Corp. REIT (Real Estate)     163,947   
  9,600      Japan Tobacco, Inc. (Consumer Staples)     371,990   

 

 

 

 

52   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Japan – (continued)  
  107,783      JX Holdings, Inc. (Energy)   $ 403,164   
  19,181      Kajima Corp. (Industrials)     128,881   
  41,921      Kakaku.com, Inc. (Information Technology)     701,149   
  12,300      Kamigumi Co. Ltd. (Industrials)     106,548   
  10,146      Kansai Electric Power Co., Inc. (The) (Utilities)*     86,977   
  2,621      Kansai Paint Co. Ltd. (Materials)     57,749   
  21,441      Kao Corp. (Consumer Staples)     1,114,596   
  20,916      KDDI Corp. (Telecommunication Services)     613,922   
  19,421      Keihan Holdings Co. Ltd. (Industrials)     125,987   
  11,844      Keikyu Corp. (Industrials)     109,697   
  11,458      Keio Corp. (Industrials)     95,931   
  10,787      Keisei Electric Railway Co. Ltd. (Industrials)     129,734   
  577      Keyence Corp. (Information Technology)     404,600   
  4,001      Kikkoman Corp. (Consumer Staples)     125,908   
  33,334      Kintetsu Group Holdings Co. Ltd. (Industrials)     126,974   
  15,441      Kirin Holdings Co. Ltd. (Consumer Staples)     251,764   
  1,864      Koito Manufacturing Co. Ltd. (Consumer Discretionary)     88,753   
  5,511      Komatsu Ltd. (Industrials)     120,492   
  3,300      Konami Holdings Corp. (Information Technology)     116,610   
  58,924      Konica Minolta, Inc. (Information Technology)     530,934   
  6,352      Kose Corp. (Consumer Staples)     569,890   
  4,152      Kubota Corp. (Industrials)     60,894   
  7,510      Kuraray Co. Ltd. (Materials)     107,312   
  4,204      Kurita Water Industries Ltd. (Industrials)     95,879   
  2,895      Kyocera Corp. (Information Technology)     137,592   
  6,028      Kyowa Hakko Kirin Co. Ltd. (Health Care)     85,552   
  7,973      Lawson, Inc. (Consumer Staples)     559,617   
  16,148      M3, Inc. (Health Care)     483,183   
  908      Makita Corp. (Industrials)     65,224   
  15,889      Marubeni Corp. (Industrials)     79,218   
  5,213      Marui Group Co. Ltd. (Consumer Discretionary)     63,553   
  5,448      Maruichi Steel Tube Ltd. (Materials)     188,035   
  17,137      Mazda Motor Corp. (Consumer Discretionary)     282,565   
  6,633      McDonald’s Holdings Co. Japan Ltd. (Consumer Discretionary)     183,147   
  6,555      Medipal Holdings Corp. (Health Care)     103,678   
  9,543      MEIJI Holdings Co. Ltd. (Consumer Staples)     858,948   
  5,218      Miraca Holdings, Inc. (Health Care)     247,443   
  73,090      Mitsubishi Chemical Holdings Corp. (Materials)     461,286   
  24,305      Mitsubishi Corp. (Industrials)     506,496   

 

 

 
  Common Stocks – (continued)   
  Japan – (continued)  
  14,508      Mitsubishi Electric Corp. (Industrials)   189,424   
  5,802      Mitsubishi Estate Co. Ltd. (Real Estate)     109,774   
  45,041      Mitsubishi Gas Chemical Co., Inc. (Materials)     304,816   
  16,000      Mitsubishi Heavy Industries Ltd. (Industrials)     69,671   
  26,097      Mitsubishi Materials Corp. (Materials)     73,673   
  70,665      Mitsubishi Motors Corp. (Consumer Discretionary)     323,145   
  12,891      Mitsubishi Tanabe Pharma Corp. (Health Care)     239,288   
  144,053      Mitsubishi UFJ Financial Group, Inc. (Financials)     785,617   
  67,741      Mitsubishi UFJ Lease & Finance Co. Ltd. (Financials)     317,633   
  31,877      Mitsui & Co. Ltd. (Industrials)     424,369   
  20,320      Mitsui Chemicals, Inc. (Materials)     97,244   
  3,093      Mitsui Fudosan Co. Ltd. (Real Estate)     66,623   
  173,159      Mitsui OSK Lines Ltd. (Industrials)     400,106   
  14,995      Mixi, Inc. (Information Technology)     532,766   
  374,441      Mizuho Financial Group, Inc. (Financials)     650,525   
  1,810      Murata Manufacturing Co. Ltd. (Information Technology)     243,322   
  87,483      Nagoya Railroad Co. Ltd. (Industrials)     428,809   
  5,637      Nexon Co. Ltd. (Information Technology)     77,224   
  2,875      NH Foods Ltd. (Consumer Staples)     62,956   
  29,091      NHK Spring Co. Ltd. (Consumer Discretionary)     273,937   
  1,794      Nidec Corp. (Industrials)     161,683   
  22,626      Nikon Corp. (Consumer Discretionary)     332,275   
  16,600      Nippon Express Co. Ltd. (Industrials)     78,639   
  1,696      Nippon Paint Holdings Co. Ltd. (Materials)     60,750   
  73      Nippon Prologis REIT, Inc. REIT (Real Estate)     175,240   
  18,395      Nippon Steel & Sumitomo Metal Corp. (Materials)     390,539   
  14,761      Nippon Telegraph & Telephone Corp. (Telecommunication Services)     648,750   
  33,181      Nippon Yusen KK (Industrials)     60,309   
  12,182      Nissan Motor Co. Ltd. (Consumer Discretionary)     119,541   
  8,767      Nisshin Seifun Group, Inc. (Consumer Staples)     124,002   
  1,975      Nissin Foods Holdings Co. Ltd. (Consumer Staples)     109,600   
  8,349      Nitori Holdings Co. Ltd. (Consumer Discretionary)     846,725   
  950      Nitto Denko Corp. (Materials)     64,879   
  5,147      Nomura Real Estate Holdings, Inc. (Real Estate)     83,897   
  2,995      Nomura Research Institute Ltd. (Information Technology)     101,344   
  5,426      NTT Data Corp. (Information Technology)     282,749   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   53


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Japan – (continued)  
  20,499      NTT DOCOMO, Inc. (Telecommunication Services)   $ 515,869   
  11,205      Obayashi Corp. (Industrials)     103,454   
  2,187      Obic Co. Ltd. (Information Technology)     112,062   
  11,001      Odakyu Electric Railway Co. Ltd. (Industrials)     112,951   
  27,306      Oji Holdings Corp. (Materials)     109,821   
  6,095      Olympus Corp. (Health Care)     199,464   
  7,652      Omron Corp. (Information Technology)     259,666   
  4,509      Ono Pharmaceutical Co. Ltd. (Health Care)     117,569   
  5,718      Oracle Corp. Japan (Information Technology)     332,792   
  1,462      Oriental Land Co. Ltd. (Consumer Discretionary)     85,641   
  19,337      ORIX Corp. (Financials)     278,086   
  50,859      Osaka Gas Co. Ltd. (Utilities)     200,269   
  13,597      Otsuka Holdings Co. Ltd. (Health Care)     589,311   
  38,186      Panasonic Corp. (Consumer Discretionary)     391,699   
  10,404      Park24 Co. Ltd. (Industrials)     304,269   
  6,049      Pola Orbis Holdings, Inc. (Consumer Staples)     483,054   
  12,950      Recruit Holdings Co. Ltd. (Industrials)     492,660   
  50,470      Resona Holdings, Inc. (Financials)     230,893   
  14,104      Ricoh Co. Ltd. (Information Technology)     127,220   
  1,018      Rinnai Corp. (Consumer Discretionary)     95,467   
  2,341      Ryohin Keikaku Co. Ltd. (Consumer Discretionary)     422,324   
  2,653      Sankyo Co. Ltd. (Consumer Discretionary)     92,080   
  17,367      SBI Holdings, Inc. (Financials)     206,184   
  4,047      Secom Co. Ltd. (Industrials)     307,218   
  5,381      Sega Sammy Holdings, Inc. (Consumer Discretionary)     73,509   
  10,452      Sekisui Chemical Co. Ltd. (Consumer Discretionary)     146,117   
  8,890      Sekisui House Ltd. (Consumer Discretionary)     143,189   
  11,617      Seven & i Holdings Co. Ltd. (Consumer Staples)     489,793   
  20,145      Seven Bank Ltd. (Financials)     71,282   
  8,817      Shimadzu Corp. (Information Technology)     138,007   
  2,235      Shimamura Co. Ltd. (Consumer Discretionary)     258,645   
  1,905      Shimano, Inc. (Consumer Discretionary)     276,997   
  10,167      Shimizu Corp. (Industrials)     90,725   
  2,512      Shin-Etsu Chemical Co. Ltd. (Materials)     184,426   
  79,620      Shinsei Bank Ltd. (Financials)     127,010   
  5,495      Shionogi & Co. Ltd. (Health Care)     245,385   
  24,791      Shiseido Co. Ltd. (Consumer Staples)     623,400   
  15,230      Showa Shell Sekiyu KK (Energy)     129,868   
  3,230      SoftBank Group Corp. (Telecommunication Services)     210,972   

 

 

 
  Common Stocks – (continued)   
  Japan – (continued)  
  1,491      Sohgo Security Services Co. Ltd. (Industrials)   74,525   
  3,133      Sompo Japan Nipponkoa Holdings, Inc. (Financials)     100,440   
  16,455      Sony Corp. (Consumer Discretionary)     528,959   
  2,362      Stanley Electric Co. Ltd. (Consumer Discretionary)     60,355   
  12,915      Start Today Co. Ltd. (Consumer Discretionary)     599,957   
  36,466      Sumitomo Chemical Co. Ltd. (Materials)     167,109   
  27,020      Sumitomo Corp. (Industrials)     293,097   
  13,795      Sumitomo Dainippon Pharma Co. Ltd. (Health Care)     230,995   
  6,758      Sumitomo Electric Industries Ltd. (Consumer Discretionary)     100,192   
  19,759      Sumitomo Mitsui Financial Group, Inc. (Financials)     691,713   
  10,652      Sumitomo Rubber Industries Ltd. (Consumer Discretionary)     157,975   
  3,647      Sundrug Co. Ltd. (Consumer Staples)     264,441   
  7,857      Suntory Beverage & Food Ltd. (Consumer Staples)     311,819   
  13,138      Suzuken Co. Ltd. (Health Care)     380,924   
  11,256      Sysmex Corp. (Health Care)     725,843   
  27,840      Taiheiyo Cement Corp. (Materials)     84,514   
  19,811      Taisei Corp. (Industrials)     149,011   
  2,411      Taisho Pharmaceutical Holdings Co. Ltd. (Health Care)     220,972   
  10,035      Takashimaya Co. Ltd. (Consumer Discretionary)     73,442   
  7,613      Takeda Pharmaceutical Co. Ltd. (Health Care)     335,624   
  43,418      Teijin Ltd. (Materials)     162,028   
  6,403      Terumo Corp. (Health Care)     249,162   
  26,986      Tobu Railway Co. Ltd. (Industrials)     130,971   
  3,298      Toho Co. Ltd. (Consumer Discretionary)     96,133   
  20,811      Toho Gas Co. Ltd. (Utilities)     176,854   
  16,266      Tohoku Electric Power Co., Inc. (Utilities)     203,964   
  4,155      Tokio Marine Holdings, Inc. (Financials)     163,252   
  63,486      Tokyo Electric Power Co. Holdings, Inc. (Utilities)*     255,945   
  3,141      Tokyo Electron Ltd. (Information Technology)     288,728   
  36,671      Tokyo Gas Co. Ltd. (Utilities)     157,235   
  5,105      Tokyo Tatemono Co. Ltd. (Real Estate)     59,966   
  27,299      Tokyu Corp. (Industrials)     203,749   
  13,790      TonenGeneral Sekiyu KK (Energy)     127,321   
  14,950      Toppan Printing Co. Ltd. (Industrials)     133,261   
  17,420      Toray Industries, Inc. (Materials)     167,809   
  3,000      TOTO Ltd. (Industrials)     113,985   
  5,411      Toyo Seikan Group Holdings Ltd. (Materials)     100,336   
  3,528      Toyo Suisan Kaisha Ltd. (Consumer Staples)     144,449   

 

 

 

 

54   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Japan – (continued)  
  7,870      Toyoda Gosei Co. Ltd. (Consumer Discretionary)   $ 181,238   
  20,703      Toyota Motor Corp. (Consumer Discretionary)     1,248,565   
  7,874      Toyota Tsusho Corp. (Industrials)     180,112   
  2,220      Trend Micro, Inc. (Information Technology)     78,768   
  2,348      Tsuruha Holdings, Inc. (Consumer Staples)     230,181   
  17,630      Unicharm Corp. (Consumer Staples)     428,329   
  145      United Urban Investment Corp. REIT (Real Estate)     258,360   
  1,224      West Japan Railway Co. (Industrials)     70,078   
  1,901      Yakult Honsha Co. Ltd. (Consumer Staples)     83,899   
  30,716      Yamada Denki Co. Ltd. (Consumer Discretionary)     143,728   
  5,950      Yamaguchi Financial Group, Inc. (Financials)     62,816   
  5,053      Yamaha Corp. (Consumer Discretionary)     163,898   
  47,378      Yamazaki Baking Co. Ltd. (Consumer Staples)     1,076,866   
  7,146      Yokohama Rubber Co. Ltd. (The) (Consumer Discretionary)     116,135   
   

 

 

 
      59,008,672  

 

 

 
  Jersey Island – 0.1%   
  1,661     Randgold Resources Ltd. (Materials)     155,542  

 

 

 
  Luxembourg – 0.4%   
  6,746      Millicom International Cellular SA (Telecommunication Services)     344,934   
  5,501      RTL Group SA (Consumer Discretionary)     462,262   
  4,653      SES SA (Consumer Discretionary)     106,703   
  6,811      Tenaris SA (Energy)     93,457   
   

 

 

 
      1,007,356  

 

 

 
  Mexico – 0.1%   
  9,677     Fresnillo PLC (Materials)     203,544  

 

 

 
  Netherlands – 3.1%   
  1,976      Akzo Nobel NV (Materials)     133,323   
  3,384      ASML Holding NV (Information Technology)     359,442   
  8,721      Boskalis Westminster (Industrials)     311,302   
  2,091      Gemalto NV (Information Technology)     145,437   
  12,248      Heineken Holding NV (Consumer Staples)     982,985   
  6,307      Heineken NV (Consumer Staples)     562,656   
  38,667      ING Groep NV (Financials)     483,193   
  81,395      Koninklijke Ahold Delhaize NV (Consumer Staples)     1,945,880   
  1,869      Koninklijke DSM NV (Materials)     130,079   
  47,882      Koninklijke KPN NV (Telecommunication Services)     156,093   
  9,498      Koninklijke Philips NV (Industrials)     275,461   
  2,447      Koninklijke Vopak NV (Energy)     123,894   

 

 

 
  Common Stocks – (continued)   
  Netherlands – (continued)  
  12,419      NN Group NV (Financials)   368,960   
  999      NXP Semiconductors NV (Information Technology)*     87,932   
  8,712      Randstad Holding NV (Industrials)     410,194   
  40,814      Royal Dutch Shell PLC, Class A (Energy)     994,513   
  31,436      Royal Dutch Shell PLC, Class B (Energy)     799,555   
  11,121      Wolters Kluwer NV (Industrials)     466,023   
   

 

 

 
      8,736,922  

 

 

 
  New Zealand – 0.2%   
  40,228      Auckland International Airport Ltd. (Industrials)     218,891   
  11,235      Fletcher Building Ltd. (Materials)     86,401   
  45,449      Meridian Energy Ltd. (Utilities)     95,622   
  8,832      Ryman Healthcare Ltd. (Health Care)     61,513   
  49,842      Spark New Zealand Ltd. (Telecommunication Services)     137,590   
   

 

 

 
      600,017  

 

 

 
  Norway – 0.8%   
  11,402      DNB ASA (Financials)     138,473   
  10,485      Gjensidige Forsikring ASA (Financials)     179,881   
  16,960      Marine Harvest ASA (Consumer Staples)*     261,890   
  162,629      Norsk Hydro ASA (Materials)     690,595   
  27,923      Orkla ASA (Consumer Staples)     255,425   
  9,703      Schibsted ASA, Class A (Consumer Discretionary)     307,802   
  10,663      Schibsted ASA, Class B (Consumer Discretionary)     308,087   
  7,443      Telenor ASA (Telecommunication Services)     129,834   
  4,085      Yara International ASA (Materials)     144,866   
   

 

 

 
      2,416,853  

 

 

 
  Portugal – 0.2%   
  30,702      EDP – Energias de Portugal SA (Utilities)     102,754   
  9,033      Galp Energia SGPS SA (Energy)     131,088   
  15,261      Jeronimo Martins SGPS SA (Consumer Staples)     245,861   
   

 

 

 
      479,703  

 

 

 
  Singapore – 1.4%   
  33,566      Ascendas Real Estate Investment Trust REIT (Real Estate)     60,342   
  50,178      CapitaLand Commercial Trust REIT (Real Estate)     56,884   
  25,009      CapitaLand Ltd. (Real Estate)     56,336   
  35,531      CapitaLand Mall Trust REIT (Real Estate)     56,314   
  42,278      DBS Group Holdings Ltd. (Financials)     465,016   
  477,941      Golden Agri-Resources Ltd. (Consumer Staples)     126,249   
  12,057      Jardine Cycle & Carriage Ltd. (Consumer Discretionary)     375,993   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   55


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Singapore – (continued)  
  96,775      Oversea-Chinese Banking Corp. Ltd. (Financials)   $ 609,970   
  7,296      Singapore Airlines Ltd. (Industrials)     56,212   
  102,586      Singapore Exchange Ltd. (Financials)     569,065   
  50,926      Singapore Telecommunications Ltd. (Telecommunication Services)     150,216   
  193,532      StarHub Ltd. (Telecommunication Services)     519,740   
  45,525      Suntec Real Estate Investment Trust REIT (Real Estate)     55,952   
  19,865      United Overseas Bank Ltd. (Financials)     262,515   
  198,787      Wilmar International Ltd. (Consumer Staples)     449,253   
   

 

 

 
      3,870,057  

 

 

 
  South Africa – 0.2%   
  13,207      Investec PLC (Financials)     77,976   
  33,811      Mediclinic International PLC (Health Care)     452,564   
  5,971      Mondi PLC (Materials)     121,135   
   

 

 

 
      651,675  

 

 

 
  Spain – 2.7%   
  7,746      Abertis Infraestructuras SA (Industrials)     119,788   
  26,732      ACS Actividades de Construccion y Servicios SA (Industrials)     756,377   
  1,993      Aena SA (Industrials)(a)     281,347   
  15,245      Amadeus IT Group SA (Information Technology)     699,455   
  16,121      Banco Bilbao Vizcaya Argentaria SA (Financials)     100,152   
  42,270      Banco de Sabadell SA (Financials)     57,200   
  172,862      Banco Santander SA (Financials)     773,950   
  95,166      Distribuidora Internacional de Alimentacion SA (Consumer Staples)     580,301   
  7,192      Enagas SA (Utilities)     210,865   
  11,181      Endesa SA (Utilities)     227,389   
  6,734      Ferrovial SA (Industrials)     132,487   
  5,230      Gas Natural SDG SA (Utilities)     107,790   
  7,056      Grifols SA (Health Care)     149,235   
  119,609      Iberdrola SA (Utilities)     785,965   
  25,262      Industria de Diseno Textil SA (Consumer Discretionary)     893,725   
  138,508      Mapfre SA (Financials)     373,780   
  6,232      Red Electrica Corp. SA (Utilities)     133,994   
  50,771      Repsol SA (Energy)     680,816   
  37,842      Telefonica SA (Telecommunication Services)     380,583   
  24,989      Zardoya Otis SA (Industrials)     235,176   
   

 

 

 
      7,680,375  

 

 

 
  Sweden – 2.3%   
  5,064      Alfa Laval AB (Industrials)     78,535   
  21,801      Assa Abloy AB, Class B (Industrials)     440,804   
  13,604      Atlas Copco AB, Class A (Industrials)     385,155   
  5,523      Atlas Copco AB, Class B (Industrials)     141,748   
  20,649      Boliden AB (Materials)     436,533   

 

 

 
  Common Stocks – (continued)   
  Sweden – (continued)  
  13,082      Electrolux AB, Series B (Consumer Discretionary)   340,173   
  11,277      Getinge AB, Class B (Health Care)     219,599   
  34,687      Hennes & Mauritz AB, Class B (Consumer Discretionary)     1,055,668   
  4,110      Hexagon AB, Class B (Information Technology)     167,067   
  15,269      Husqvarna AB, Class B (Consumer Discretionary)     131,843   
  8,748      ICA Gruppen AB (Consumer Staples)     298,778   
  5,851      Industrivarden AB, Class C (Financials)     106,433   
  3,801      Investor AB, Class B (Financials)     133,852   
  3,438      Kinnevik AB, Class B (Financials)     84,508   
  18,259      Nordea Bank AB (Financials)     178,206   
  5,281      Sandvik AB (Industrials)     57,238   
  30,103      Securitas AB, Class B (Industrials)     522,667   
  10,236      Skandinaviska Enskilda Banken AB, Class A (Financials)     99,902   
  7,108      Skanska AB, Class B (Industrials)     155,572   
  8,374      Svenska Cellulosa AB SCA, Class B (Consumer Staples)     256,906   
  19,536      Svenska Handelsbanken AB, Class A (Financials)     251,720   
  9,313      Swedbank AB, Class A (Financials)     213,824   
  10,537      Swedish Match AB (Consumer Staples)     374,992   
  18,749      Tele2 AB, Class B (Telecommunication Services)     155,770   
  19,972      Telefonaktiebolaget LM Ericsson, Class B (Information Technology)     142,176   
  53,117      Telia Co. AB (Telecommunication Services)     239,512   
   

 

 

 
      6,669,181  

 

 

 
  Switzerland – 9.3%   
  21,460      ABB Ltd. (Industrials)*     465,435   
  5,329      Actelion Ltd. (Health Care)*     887,850   
  3,720      Adecco Group AG (Industrials)     214,291   
  7,797      Aryzta AG (Consumer Staples)*     310,912   
  1,375      Baloise Holding AG (Financials)     163,732   
  211      Barry Callebaut AG (Consumer Staples)*     271,441   
  4,824      Cie Financiere Richemont SA (Consumer Discretionary)     278,133   
  21,808      Coca-Cola HBC AG (Consumer Staples)*     478,126   
  4,747      Credit Suisse Group AG (Financials)*     61,889   
  747      EMS-Chemie Holding AG (Materials)     397,999   
  185      Galenica AG (Health Care)     214,834   
  776      Geberit AG (Industrials)     338,816   
  244      Givaudan SA (Materials)     504,862   
  643,743      Glencore PLC (Materials)*     1,467,433   
  2,298      Julius Baer Group Ltd. (Financials)*     96,429   
  6,781      Kuehne + Nagel International AG (Industrials)     947,566   
  1,570      LafargeHolcim Ltd. (Materials)*     83,330   
  4,144      Lonza Group AG (Health Care)*     786,160   
  57,567      Nestle SA (Consumer Staples)     4,587,549   

 

 

 

 

56   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Switzerland – (continued)  
  38,964      Novartis AG (Health Care)   $ 3,069,374   
  4,990      Pargesa Holding SA (Financials)     344,330   
  2,117      Partners Group Holding AG (Financials)     971,724   
  12,722      Roche Holding AG (Health Care)     3,104,917   
  1,357      Schindler Holding AG (Industrials)     256,608   
  1,375      Schindler Holding AG Participation Certificates (Industrials)     259,033   
  158      SGS SA (Industrials)     347,502   
  64      Sika AG (Materials)     305,230   
  3,577      Sonova Holding AG (Health Care)     495,476   
  51,494      STMicroelectronics NV (Information Technology)     384,426   
  1,396      Swatch Group AG (The) – Bearer (Consumer Discretionary)     359,603   
  5,505      Swatch Group AG (The) – Registered (Consumer Discretionary)     279,858   
  1,626      Swiss Life Holding AG (Financials)*     407,100   
  2,494      Swiss Prime Site AG (Real Estate)*     219,562   
  8,011      Swiss Re AG (Financials)     676,722   
  345      Swisscom AG (Telecommunication Services)     164,995   
  791      Syngenta AG (Materials)     344,802   
  44,962      UBS Group AG (Financials)     650,715   
  15,258      Wolseley PLC (Industrials)     875,273   
  806      Zurich Insurance Group AG (Financials)*     206,227   
   

 

 

 
      26,280,264  

 

 

 
  United Kingdom – 14.3%   
  46,406      3i Group PLC (Financials)     373,480   
  20,033      Aberdeen Asset Management PLC (Financials)     84,117   
  38,400      Admiral Group PLC (Financials)     1,030,995   
  27,382      Aggreko PLC (Industrials)     365,436   
  20,309      ARM Holdings PLC (Information Technology)     451,114   
  3,430      Ashtead Group PLC (Industrials)     56,827   
  4,101      Associated British Foods PLC (Consumer Staples)     163,334   
  20,116      AstraZeneca PLC (Health Care)     1,293,321   
  104,860      Auto Trader Group PLC (Information Technology)(a)     512,397   
  24,173      Aviva PLC (Financials)     135,629   
  4,267      Babcock International Group PLC (Industrials)     58,455   
  42,477      BAE Systems PLC (Industrials)     299,579   
  36,562      Barclays PLC (Financials)     82,482   
  47,774      Barratt Developments PLC (Consumer Discretionary)     309,094   
  235,591      BP PLC (Energy)     1,320,300   
  26,043      British American Tobacco PLC (Consumer Staples)     1,611,627   
  28,655      British Land Co. PLC (The) REIT (Real Estate)     248,820   
  147,292      BT Group PLC (Telecommunication Services)     745,301   
  8,444      Bunzl PLC (Industrials)     260,774   

 

 

 
  Common Stocks – (continued)   
  United Kingdom – (continued)  
  39,637      Burberry Group PLC (Consumer Discretionary)   676,940   
  7,650      Capita PLC (Industrials)     103,699   
  57,480      Centrica PLC (Utilities)     175,105   
  63,999      CNH Industrial NV (Industrials)     466,876   
  1,508      Coca-Cola European Partners PLC (Consumer Staples)*     57,776   
  32,791      Compass Group PLC (Consumer Discretionary)     619,286   
  4,219      Croda International PLC (Materials)     182,898   
  2,000      DCC PLC (Industrials)     181,524   
  27,895      Diageo PLC (Consumer Staples)     770,321   
  98,037      Direct Line Insurance Group PLC (Financials)     473,792   
  35,660      Dixons Carphone PLC (Consumer Discretionary)     173,131   
  19,772      Fiat Chrysler Automobiles NV (Consumer Discretionary)     136,421   
  30,696      G4S PLC (Industrials)     92,707   
  65,665      GlaxoSmithKline PLC (Health Care)     1,409,563   
  21,870      Hammerson PLC REIT (Real Estate)     166,130   
  44,346      Hargreaves Lansdown PLC (Financials)     767,817   
  293,944      HSBC Holdings PLC (Financials)     2,172,432   
  17,489      ICAP PLC (Financials)     109,556   
  4,940      IMI PLC (Industrials)     68,387   
  19,733      Imperial Brands PLC (Consumer Staples)     1,032,092   
  14,430      Inmarsat PLC (Telecommunication Services)     145,711   
  6,060      InterContinental Hotels Group PLC (Consumer Discretionary)     258,818   
  57,777      International Consolidated Airlines Group SA (Industrials)     290,343   
  4,258      Intertek Group PLC (Industrials)     194,683   
  51,726      Intu Properties PLC REIT (Real Estate)     214,076   
  44,435      ITV PLC (Consumer Discretionary)     116,800   
  37,817      J Sainsbury PLC (Consumer Staples)     119,018   
  3,508      Johnson Matthey PLC (Materials)     153,362   
  97,940      Kingfisher PLC (Consumer Discretionary)     476,017   
  24,382      Land Securities Group PLC REIT (Real Estate)     349,348   
  136,064      Legal & General Group PLC (Financials)     374,761   
  172,106      Lloyds Banking Group PLC (Financials)     133,779   
  2,015      London Stock Exchange Group PLC (Financials)     72,706   
  91,897      Marks & Spencer Group PLC (Consumer Discretionary)     414,872   
  30,742      Meggitt PLC (Industrials)     188,551   
  31,866      Merlin Entertainments PLC (Consumer Discretionary)(a)     200,369   
  48,044      National Grid PLC (Utilities)     658,491   
  8,730      Next PLC (Consumer Discretionary)     631,711   
  58,585      Old Mutual PLC (Financials)     148,931   
  13,143      Persimmon PLC (Consumer Discretionary)     313,972   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   57


GOLDMAN SACHS ACTIVEBETA® INTERNATIONAL EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  United Kingdom – (continued)  
  11,388      Petrofac Ltd. (Energy)   $ 124,017   
  12,014      Provident Financial PLC (Financials)     472,986   
  38,301      Prudential PLC (Financials)     683,970   
  10,368      Reckitt Benckiser Group PLC (Consumer Staples)     998,597   
  26,388      RELX NV (Industrials)     467,295   
  18,416      RELX PLC (Industrials)     348,526   
  11,537      Rio Tinto PLC (Materials)     347,681   
  16,436      Rolls-Royce Holdings PLC (Industrials)*     165,752   
  145,224      Royal Mail PLC (Industrials)     977,627   
  16,575      RSA Insurance Group PLC (Financials)     107,651   
  88,910      Sage Group PLC (The) (Information Technology)     844,229   
  7,102      Schroders PLC (Financials)     258,953   
  57,584      Segro PLC REIT (Real Estate)     341,793   
  7,890      Severn Trent PLC (Utilities)     246,041   
  36,015      Sky PLC (Consumer Discretionary)     400,463   
  31,043      Smith & Nephew PLC (Health Care)     499,675   
  7,620      Smiths Group PLC (Industrials)     133,830   
  10,818      SSE PLC (Utilities)     213,092   
  7,969      St James’s Place PLC (Financials)     102,491   
  19,536      Standard Life PLC (Financials)     93,262   
  27,861      Tate & Lyle PLC (Consumer Staples)     267,651   
  67,117      Taylor Wimpey PLC (Consumer Discretionary)     141,788   
  345,315      Tesco PLC (Consumer Staples)*     752,333   
  26,694      Unilever NV (Consumer Staples)     1,222,366   
  26,549      Unilever PLC (Consumer Staples)     1,227,076   
  21,907      United Utilities Group PLC (Utilities)     278,739   
  286,273      Vodafone Group PLC (Telecommunication Services)     861,780   
  7,594      Whitbread PLC (Consumer Discretionary)     414,941   
  163,736      William Hill PLC (Consumer Discretionary)     682,364   
  412,081      Wm Morrison Supermarkets PLC (Consumer Staples)     1,063,213   
  37,591      Worldpay Group PLC (Information Technology)*(a)     147,108   
  43,422      WPP PLC (Consumer Discretionary)     998,633   
   

 

 

 
      40,581,777  

 

 

 
  United States – 0.8%  
  4,687      Carnival PLC (Consumer Discretionary)     224,303   
  18,832      QIAGEN NV (Health Care)*     497,926   
  11,314      Shire PLC (Health Care)     705,482   
  1,040      Taro Pharmaceutical Industries Ltd. (Health Care)*     131,664   
  8,837      Thomson Reuters Corp. (Financials)     365,792   
  7,185      Valeant Pharmaceuticals International, Inc. (Health Care)*     208,587   
   

 

 

 
      2,133,754  

 

 

 
  TOTAL COMMON STOCKS   
  (Cost $274,166,406)   $ 281,496,639  

 

 

 
  Preferred Stocks – 0.4%   
  Germany – 0.4%  
  823      Bayerische Motoren Werke AG (Consumer Discretionary)   61,587   
  12,370      FUCHS PETROLUB SE (Materials)     561,829   
  3,848      Henkel AG & Co KGaA (Consumer Staples)     504,214   

 

 

 
  TOTAL PREFERRED STOCKS  
  (Cost $1,024,050)   $ 1,127,630  

 

 

 
  TOTAL INVESTMENTS – 99.6%  
  (Cost $275,190,456)   $ 282,624,269  

 

 

 
 
 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.4%
    1,132,981  

 

 

 
  NET ASSETS – 100.0%   $ 283,757,250  

 

 

 

 

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. Under procedures approved by the Board of Trustees, such securities may be deemed liquid by the Investment Adviser and may be resold, normally to qualified institutional buyers in transactions exempt from registration. Total market value of Rule 144A securities amounts to $2,539,195, which represents approximately 0.9% of net assets as of August 31, 2016.

 

 

Investment Abbreviations:

PLC

 

—Public Limited Company

REIT

 

—Real Estate Investment Trust

 

 

58   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® JAPAN EQUITY ETF

 

Schedule of Investments

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – 99.7%   
  Consumer Discretionary – 21.4%  
  1,104      ABC-Mart, Inc.   $ 69,377   
  811      Aisin Seiki Co. Ltd.     38,302   
  3,000      Asics Corp.     60,821   
  6,882      Bandai Namco Holdings, Inc.     188,027   
  2,124      Benesse Holdings, Inc.     48,996   
  7,054      Bridgestone Corp.     242,442   
  4,017      Casio Computer Co. Ltd.     56,739   
  2,808      Denso Corp.     115,974   
  1,924      Dentsu, Inc.     105,840   
  783      Don Quijote Holdings Co. Ltd.     25,587   
  521      Fast Retailing Co. Ltd.     183,044   
  6,441      Fuji Heavy Industries Ltd.     255,187   
  2,820      Hakuhodo DY Holdings, Inc.     30,644   
  941      Hikari Tsushin, Inc.     84,607   
  20,628      Honda Motor Co. Ltd.     632,192   
  4,897      Iida Group Holdings Co. Ltd.     91,752   
  8,204      Isetan Mitsukoshi Holdings Ltd.     74,715   
  1,943      Isuzu Motors Ltd.     22,363   
  3,600      J Front Retailing Co. Ltd.     40,652   
  1,038      Koito Manufacturing Co. Ltd.     49,424   
  5,718      Marui Group Co. Ltd.     69,710   
  13,307      Mazda Motor Corp.     219,414   
  2,500      McDonald’s Holdings Co. Japan Ltd.     69,029   
  40,022      Mitsubishi Motors Corp.     183,017   
  686      NGK Spark Plug Co. Ltd.     12,833   
  3,266      NHK Spring Co. Ltd.     30,754   
  10,013      Nikon Corp.     147,046   
  14,737      Nissan Motor Co. Ltd.     144,613   
  1,546      Nitori Holdings Co. Ltd.     156,790   
  1,200      Oriental Land Co. Ltd.     70,293   
  20,582      Panasonic Corp.     211,123   
  4,679      Rakuten, Inc.     58,988   
  833      Rinnai Corp.     78,118   
  656      Ryohin Keikaku Co. Ltd.     118,345   
  854      Sankyo Co. Ltd.     29,640   
  2,081      Sega Sammy Holdings, Inc.     28,428   
  7,800      Sekisui Chemical Co. Ltd.     109,042   
  5,078      Sekisui House Ltd.     81,790   
  622      Shimamura Co. Ltd.     71,981   
  732      Shimano, Inc.     106,437   
  11,716      Sony Corp.     376,620   
  2,488      Start Today Co. Ltd.     115,578   
  4,074      Sumitomo Electric Industries Ltd.     60,400   
  2,675      Sumitomo Rubber Industries Ltd.     39,672   
  3,103      Suzuki Motor Corp.     102,868   
  7,730      Takashimaya Co. Ltd.     56,573   
  1,240      Toho Co. Ltd.     36,144   
  1,139      Toyoda Gosei Co. Ltd.     26,230   
  433      Toyota Industries Corp.     20,722   
  24,997      Toyota Motor Corp.     1,507,529   
  1,033      USS Co Ltd.     16,518   
  15,850      Yamada Denki Co. Ltd.     74,166   
  3,600      Yamaha Corp.     116,769   
  1,686      Yamaha Motor Co. Ltd.     34,556   
  1,593      Yokohama Rubber Co. Ltd. (The)     25,889   
   

 

 

 
      7,024,310   

 

 

 
  Common Stocks – (continued)   
  Consumer Staples – 12.0%  
  11,614      Aeon Co. Ltd.   159,723   
  8,116      Ajinomoto Co., Inc.     172,073   
  6,450      Asahi Group Holdings Ltd.     211,144   
  1,800      Calbee, Inc.     65,345   
  2,152      FamilyMart Co. Ltd.     154,168   
  11,621      Japan Tobacco, Inc.     450,302   
  6,499      Kao Corp.     337,846   
  2,484      Kikkoman Corp.     78,169   
  14,749      Kirin Holdings Co. Ltd.     240,481   
  1,482      Kose Corp.     132,962   
  2,227      Lawson, Inc.     156,311   
  1,981      MEIJI Holdings Co. Ltd.     178,306   
  2,178      NH Foods Ltd.     47,693   
  6,199      Nisshin Seifun Group, Inc.     87,680   
  1,092      Nissin Foods Holdings Co. Ltd.     60,599   
  1,360      Pola Orbis Holdings, Inc.     108,605   
  9,917      Seven & i Holdings Co. Ltd.     418,118   
  5,837      Shiseido Co. Ltd.     146,779   
  1,266      Sundrug Co. Ltd.     91,797   
  3,822      Suntory Beverage & Food Ltd.     151,683   
  2,324      Toyo Suisan Kaisha Ltd.     95,153   
  927      Tsuruha Holdings, Inc.     90,876   
  3,881      Unicharm Corp.     94,291   
  932      Yakult Honsha Co. Ltd.     41,133   
  7,642      Yamazaki Baking Co. Ltd.     173,697   
   

 

 

 
      3,944,934   

 

 

 
  Energy – 1.5%  
  9,363      Idemitsu Kosan Co. Ltd.     170,812   
  2,400      Inpex Corp.     20,846   
  64,367      JX Holdings, Inc.     240,766   
  3,748      Showa Shell Sekiyu KK     31,959   
  4,337      TonenGeneral Sekiyu KK     40,043   
   

 

 

 
      504,426   

 

 

 
  Financials – 11.0%  
  11,926      Acom Co. Ltd.*     57,073   
  1,546      AEON Financial Service Co. Ltd.     28,473   
  15,896      Aozora Bank Ltd.     56,247   
  1,062      Bank of Kyoto Ltd. (The)     7,680   
  3,321      Chiba Bank Ltd. (The)     19,682   
  1,708      Chugoku Bank Ltd. (The)     21,037   
  4,652      Concordia Financial Group Ltd.*     23,999   
  1,088      Credit Saison Co. Ltd.     18,734   
  11,696      Dai-ichi Life Insurance Co. Ltd. (The)     162,773   
  13,005      Daiwa Securities Group, Inc.     75,992   
  3,256      Fukuoka Financial Group, Inc.     13,788   
  3,827      Hachijuni Bank Ltd. (The)     20,238   
  2,465      Hiroshima Bank Ltd. (The)     10,271   
  1,715      Iyo Bank Ltd. (The)     11,059   
  6,841      Japan Exchange Group, Inc.     106,879   
  1,800      Japan Post Bank Co. Ltd.     21,161   
  2,125      Japan Post Holdings Co. Ltd.     27,837   
  6,354      Joyo Bank Ltd. (The)     25,248   
  9,321      Kyushu Financial Group, Inc.     55,240   
  111,685      Mitsubishi UFJ Financial Group, Inc.     609,093   
  36,000      Mitsubishi UFJ Lease & Finance Co. Ltd.     168,802   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   59


GOLDMAN SACHS ACTIVEBETA® JAPAN EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Financials – (continued)  
  208,200      Mizuho Financial Group, Inc.   $ 361,711   
  2,869      MS&AD Insurance Group Holdings, Inc.     81,894   
  16,779      Nomura Holdings, Inc.     79,049   
  15,616      ORIX Corp.     224,574   
  28,200      Resona Holdings, Inc.     129,011   
  2,524      SBI Holdings, Inc.     29,965   
  12,826      Seven Bank Ltd.     45,384   
  20,110      Shinsei Bank Ltd.     32,080   
  2,525      Shizuoka Bank Ltd. (The)     20,799   
  2,878      Sompo Japan Nipponkoa Holdings, Inc.     92,265   
  2,262      Sony Financial Holdings, Inc.     31,076   
  14,396      Sumitomo Mitsui Financial Group, Inc.     503,968   
  10,579      Sumitomo Mitsui Trust Holdings, Inc.     37,873   
  3,072      Suruga Bank Ltd.     73,091   
  6,307      T&D Holdings, Inc.     71,982   
  6,466      Tokio Marine Holdings, Inc.     254,051   
   

 

 

 
      3,610,079   

 

 

 
  Health Care – 10.2%  
  7,040      Alfresa Holdings Corp.     131,428   
  22,584      Astellas Pharma, Inc.     345,086   
  1,717      Chugai Pharmaceutical Co. Ltd.     53,866   
  2,859      CYBERDYNE, Inc.*     45,026   
  10,849      Daiichi Sankyo Co. Ltd.     249,054   
  2,464      Eisai Co. Ltd.     143,645   
  1,774      Hisamitsu Pharmaceutical Co., Inc.     79,408   
  5,541      Hoya Corp.     214,762   
  5,201      Kyowa Hakko Kirin Co. Ltd.     73,815   
  3,666      M3, Inc.     109,695   
  4,221      Medipal Holdings Corp.     66,762   
  2,285      Miraca Holdings, Inc.     108,357   
  4,011      Mitsubishi Tanabe Pharma Corp.     74,454   
  3,398      Olympus Corp.     111,202   
  4,029      Ono Pharmaceutical Co. Ltd.     105,054   
  7,458      Otsuka Holdings Co. Ltd.     323,239   
  3,776      Santen Pharmaceutical Co. Ltd.     47,531   
  3,953      Shionogi & Co. Ltd.     176,525   
  5,499      Sumitomo Dainippon Pharma Co. Ltd.     92,080   
  3,246      Suzuken Co. Ltd.     94,115   
  2,284      Sysmex Corp.     147,284   
  581      Taisho Pharmaceutical Holdings Co. Ltd.     53,250   
  7,530      Takeda Pharmaceutical Co. Ltd.     331,965   
  4,062      Terumo Corp.     158,066   
   

 

 

 
      3,335,669   

 

 

 
  Industrials – 17.0%  
  2,623      Amada Holdings Co. Ltd.     27,438   
  14,034      ANA Holdings, Inc.     38,167   
  3,559      Asahi Glass Co. Ltd.     22,641   
  1,482      Central Japan Railway Co.     243,430   
  3,381      Dai Nippon Printing Co. Ltd.     34,387   
  1,896      Daikin Industries Ltd.     175,770   
  2,937      East Japan Railway Co.     251,577   
  996      FANUC Corp.     169,763   
  1,617      Fuji Electric Co. Ltd.     7,379   
  1,373      Hankyu Hanshin Holdings, Inc.     44,335   
  1,307      Hino Motors Ltd.     14,481   

 

 

 
  Common Stocks – (continued)   
  Industrials – (continued)  
  8,697      Hitachi Construction Machinery Co. Ltd.   162,951   
  1,008      Hoshizaki Corp.     80,593   
  16,181      ITOCHU Corp.     191,009   
  2,086      Japan Airlines Co. Ltd.     63,466   
  1,038      Japan Airport Terminal Co. Ltd.     40,944   
  826      JGC Corp.     13,105   
  11,768      Kajima Corp.     79,071   
  3,438      Kamigumi Co. Ltd.     29,781   
  2,288      Kawasaki Heavy Industries Ltd.     6,702   
  10,636      Keihan Holdings Co. Ltd.     68,997   
  4,680      Keikyu Corp.     43,345   
  6,481      Keio Corp.     54,262   
  4,266      Keisei Electric Railway Co. Ltd.     51,307   
  26,194      Kintetsu Group Holdings Co. Ltd.     99,777   
  4,125      Komatsu Ltd.     90,189   
  5,734      Kubota Corp.     84,096   
  1,142      Kurita Water Industries Ltd.     26,045   
  1,858      LIXIL Group Corp.     37,489   
  1,500      Makita Corp.     107,749   
  41,606      Marubeni Corp.     207,437   
  18,600      Mitsubishi Corp.     387,609   
  12,289      Mitsubishi Electric Corp.     160,451   
  7,461      Mitsubishi Heavy Industries Ltd.     32,488   
  581      Mitsubishi Logistics Corp.     8,959   
  8,400      Mitsui & Co. Ltd.     111,827   
  116,238      Mitsui OSK Lines Ltd.     268,583   
  697      Nabtesco Corp.     17,985   
  18,459      Nagoya Railroad Co. Ltd.     90,479   
  1,249      NGK Insulators Ltd.     27,097   
  1,200      Nidec Corp.     108,149   
  11,319      Nippon Express Co. Ltd.     53,621   
  25,949      Nippon Yusen KK     47,164   
  1,200      NSK Ltd.     12,367   
  8,540      Obayashi Corp.     78,849   
  4,322      Odakyu Electric Railway Co. Ltd.     44,375   
  5,050      Park24 Co. Ltd.     147,689   
  3,048      Recruit Holdings Co. Ltd.     115,956   
  1,851      Secom Co. Ltd.     140,514   
  1,174      Seibu Holdings, Inc.     19,284   
  4,903      Shimizu Corp.     43,752   
  141      SMC Corp.     39,723   
  1,649      Sohgo Security Services Co. Ltd.     82,422   
  26,318      Sumitomo Corp.     285,482   
  10,619      Taisei Corp.     79,872   
  8,451      Tobu Railway Co. Ltd.     41,015   
  13,320      Tokyu Corp.     99,415   
  5,402      Toppan Printing Co. Ltd.     48,152   
  3,360      Toshiba Corp.*     10,629   
  2,724      TOTO Ltd.     103,498   
  8,722      Toyota Tsusho Corp.     199,509   
  1,084      West Japan Railway Co.     62,063   
  1,026      Yamato Holdings Co. Ltd.     24,218   
   

 

 

 
      5,560,879   

 

 

 
  Information Technology – 10.5%  
  2,313      Alps Electric Co. Ltd.     52,170   
  7,292      Brother Industries Ltd.     122,385   

 

 

 

 

60   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® JAPAN EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Information Technology – (continued)  
  10,024      Canon, Inc.   $ 287,244   
  6,000      FUJIFILM Holdings Corp.     225,475   
  27,268      Fujitsu Ltd.     138,456   
  20,860      GungHo Online Entertainment, Inc.     49,611   
  1,117      Hamamatsu Photonics KK     35,151   
  155      Hirose Electric Co. Ltd.     19,900   
  257      Hitachi High-Technologies Corp.     9,529   
  31,098      Hitachi Ltd.     149,124   
  4,931      Kakaku.com, Inc.     82,473   
  442      Keyence Corp.     309,936   
  3,000      Konami Holdings Corp.     106,009   
  12,636      Konica Minolta, Inc.     113,856   
  1,996      Kyocera Corp.     94,865   
  2,400      Mixi, Inc.     85,271   
  1,392      Murata Manufacturing Co. Ltd.     187,130   
  5,512      Nexon Co. Ltd.     75,511   
  608      Nintendo Co. Ltd.     133,286   
  1,977      Nomura Research Institute Ltd.     66,897   
  2,747      NTT Data Corp.     143,146   
  1,254      Obic Co. Ltd.     64,255   
  3,038      Omron Corp.     103,093   
  1,647      Oracle Corp. Japan     95,857   
  1,868      Otsuka Corp.     79,192   
  7,200      Ricoh Co. Ltd.     64,945   
  250      Rohm Co. Ltd.     12,496   
  3,735      Seiko Epson Corp.     71,569   
  5,667      Shimadzu Corp.     88,702   
  244      TDK Corp.     17,456   
  1,262      Tokyo Electron Ltd.     116,006   
  2,478      Trend Micro, Inc.     87,922   
  7,200      Yahoo Japan Corp.     29,375   
  2,737      Yaskawa Electric Corp.     40,327   
  5,663      Yokogawa Electric Corp.     72,543   
   

 

 

 
      3,431,163   

 

 

 
  Materials – 3.9%  
  1,032      Air Water, Inc.     19,077   
  3,662      Asahi Kasei Corp.     30,886   
  2,985      Daicel Corp.     38,065   
  1,200      JSR Corp.     17,553   
  9,708      Kaneka Corp.     79,121   
  2,400      Kuraray Co. Ltd.     34,294   
  1,925      Maruichi Steel Tube Ltd.     66,440   
  21,000      Mitsubishi Chemical Holdings Corp.     132,535   
  2,021      Mitsubishi Gas Chemical Co., Inc.     13,677   
  20,140      Mitsubishi Materials Corp.     56,856   
  30,783      Mitsui Chemicals, Inc.     147,316   
  4,259      Nippon Steel & Sumitomo Metal Corp.     90,422   
  816      Nitto Denko Corp.     55,728   
  20,069      Oji Holdings Corp.     80,714   
  1,652      Shin-Etsu Chemical Co. Ltd.     121,287   
  14,343      Sumitomo Chemical Co. Ltd.     65,728   
  10,548      Taiheiyo Cement Corp.     32,021   
  11,474      Teijin Ltd.     42,819   
  8,982      Toray Industries, Inc.     86,524   
  4,000      Toyo Seikan Group Holdings Ltd.     74,172   
   

 

 

 
      1,285,235   

 

 

 
  Common Stocks – (continued)   
  Real Estate – 4.6%  
  2,150      Aeon Mall Co. Ltd.   30,264   
  1,362      Daito Trust Construction Co. Ltd.     200,610   
  7,490      Daiwa House Industry Co. Ltd.     193,450   
  2,796      Hulic Co. Ltd.     26,491   
  18      Japan Prime Realty Investment Corp. REIT     79,615   
  16      Japan Real Estate Investment Corp. REIT     94,049   
  28      Japan Retail Fund Investment Corp. REIT     62,884   
  6,202      Mitsubishi Estate Co. Ltd.     117,342   
  6,605      Mitsui Fudosan Co. Ltd.     142,272   
  15      Nippon Building Fund, Inc. REIT     91,797   
  27      Nippon Prologis REIT, Inc. REIT     64,815   
  10,275      Nomura Real Estate Holdings, Inc.     167,484   
  18      Nomura Real Estate Master Fund, Inc. REIT     29,706   
  2,012      NTT Urban Development Corp.     18,460   
  2,714      Sumitomo Realty & Development Co. Ltd.     71,645   
  2,146      Tokyo Tatemono Co. Ltd.     25,208   
  8,110      Tokyu Fudosan Holdings Corp.     45,162   
  29      United Urban Investment Corp. REIT     51,672   
   

 

 

 
      1,512,926   

 

 

 
  Telecommunication Services – 4.6%  
  16,313      KDDI Corp.     478,816   
  7,125      Nippon Telegraph & Telephone Corp.     313,146   
  13,652      NTT DOCOMO, Inc.     343,560   
  5,740      SoftBank Group Corp.     374,916   
   

 

 

 
      1,510,438   

 

 

 
  Utilities – 3.0%   
  14,658      Chubu Electric Power Co., Inc.     198,255   
  3,233      Chugoku Electric Power Co., Inc. (The)     38,820   
  1,200      Electric Power Development Co. Ltd.     29,305   
  3,000      Hokuriku Electric Power Co.     35,849   
  15,743      Kansai Electric Power Co., Inc. (The)*     134,958   
  2,423      Kyushu Electric Power Co., Inc.*     22,559   
  15,306      Osaka Gas Co. Ltd.     60,271   
  1,997      Shikoku Electric Power Co., Inc.     19,037   
  13,466      Toho Gas Co. Ltd.     114,435   
  3,399      Tohoku Electric Power Co., Inc.     42,621   
  50,900      Tokyo Electric Power Co. Holdings, Inc.*     205,204   
  18,651      Tokyo Gas Co. Ltd.     79,970   
   

 

 

 
      981,284   

 

 

 
  TOTAL INVESTMENTS – 99.7%   
  (Cost $30,903,047)   $ 32,701,343   

 

 

 
 
 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.3%
    96,005   

 

 

 
  NET ASSETS – 100.0%   $ 32,797,348   

 

 

 

 

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

 

 

Investment Abbreviations:

REIT

 

—Real Estate Investment Trust

 

 

The accompanying notes are an integral part of these financial statements.   61


GOLDMAN SACHS ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Schedule of Investments

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – 99.6%   
  Consumer Discretionary – 15.5%   
  13,566      Advance Auto Parts, Inc.   $ 2,135,017   
  18,015      Amazon.com, Inc.*     13,856,417   
  9,697      Aramark     367,807   
  6,503      AutoZone, Inc.*     4,823,925   
  96,856      Bed Bath & Beyond, Inc.     4,491,213   
  103,597      Best Buy Co., Inc.     3,986,413   
  20,908      BorgWarner, Inc.     719,026   
  42,803      Carnival Corp.     2,045,983   
  2,601      Charter Communications, Inc., Class A*     669,003   
  2,096      Chipotle Mexican Grill, Inc.*     867,178   
  60,065      Coach, Inc.     2,293,282   
  90,240      Comcast Corp., Class A     5,889,062   
  29,596      Dollar General Corp.     2,172,642   
  12,849      Dollar Tree, Inc.*     1,062,612   
  10,596      DR Horton, Inc.     339,708   
  10,173      Expedia, Inc.     1,110,078   
  53,679      Foot Locker, Inc.     3,523,490   
  435,308      Ford Motor Co.     5,484,881   
  14,222      General Motors Co.     453,966   
  27,224      Genuine Parts Co.     2,799,172   
  12,278      Goodyear Tire & Rubber Co. (The)     360,359   
  47,512      Hanesbrands, Inc.     1,260,969   
  22,761      Hasbro, Inc.     1,860,484   
  26,328      Hilton Worldwide Holdings, Inc.     628,449   
  87,019      Home Depot, Inc. (The)     11,670,988   
  39,612      Interpublic Group of Cos., Inc. (The)     916,622   
  11,753      Johnson Controls, Inc.     515,722   
  93,787      Kohl’s Corp.     4,162,267   
  49,606      L Brands, Inc.     3,780,473   
  30,957      Lear Corp.     3,599,990   
  6,142      Lennar Corp., Class A     290,517   
  11,256      LKQ Corp.*     406,229   
  95,596      Lowe’s Cos., Inc.     7,318,830   
  65,517      Macy’s, Inc.     2,370,405   
  9,587      Marriott International, Inc., Class A     683,841   
  51,048      Mattel, Inc.     1,691,220   
  36,498      McDonald’s Corp.     4,221,359   
  46,871      Michael Kors Holdings Ltd.*     2,294,335   
  3,201      Mohawk Industries, Inc.*     681,109   
  27,859      Netflix, Inc.*     2,714,860   
  24,650      Newell Brands, Inc.     1,308,422   
  101,360      NIKE, Inc., Class B     5,842,390   
  27,505      Omnicom Group, Inc.     2,369,006   
  16,934      O’Reilly Automotive, Inc.*     4,740,673   
  2,477      Priceline Group, Inc. (The)*     3,509,240   
  39,562      PVH Corp.     4,263,201   
  72,798      Ross Stores, Inc.     4,530,948   
  10,912      Royal Caribbean Cruises Ltd.     775,952   
  4,791      Signet Jewelers Ltd.     392,766   
  178,286      Sirius XM Holdings, Inc.*     738,104   
  267,283      Staples, Inc.     2,287,943   
  89,714      Starbucks Corp.     5,044,618   
  64,965      Target Corp.     4,559,893   
  16,933      Tiffany & Co.     1,208,508   
  12,713      Time Warner, Inc.     996,826   
  59,602      TJX Cos., Inc. (The)     4,615,579   

 

 

 
  Common Stocks – (continued)   
  Consumer Discretionary – (continued)   
  31,005      Tractor Supply Co.   2,602,870   
  23,338      TripAdvisor, Inc.*     1,423,618   
  13,729      Twenty-First Century Fox, Inc., Class A     336,910   
  17,394      Ulta Salon Cosmetics & Fragrance, Inc.*     4,299,971   
  38,008      Under Armour, Inc., Class A*     1,506,257   
  45,783      VF Corp.     2,840,835   
  6,859      Viacom, Inc., Class B     276,692   
  56,764      Walt Disney Co. (The)     5,361,927   
  14,428      Wyndham Worldwide Corp.     1,021,358   
  27,950      Yum! Brands, Inc.     2,535,345   
   

 

 

 
      179,909,755   

 

 

 
  Consumer Staples – 13.6%   
  104,975      Altria Group, Inc.     6,937,798   
  67,709      Archer-Daniels-Midland Co.     2,962,946   
  51,530      Brown-Forman Corp., Class B     2,501,781   
  24,735      Bunge Ltd.     1,580,566   
  33,919      Campbell Soup Co.     2,059,562   
  30,947      Church & Dwight Co., Inc.     3,076,751   
  34,462      Clorox Co. (The)     4,515,900   
  161,068      Coca-Cola Co. (The)     6,995,183   
  19,450      Coca-Cola European Partners PLC     747,853   
  70,335      Colgate-Palmolive Co.     5,228,704   
  46,413      ConAgra Foods, Inc.     2,163,310   
  18,545      Constellation Brands, Inc., Class A     3,042,307   
  44,842      Costco Wholesale Corp.     7,268,440   
  78,711      CVS Health Corp.     7,351,607   
  45,513      Dr Pepper Snapple Group, Inc.     4,264,568   
  44,357      Estee Lauder Cos., Inc. (The), Class A     3,957,975   
  37,609      General Mills, Inc.     2,663,469   
  30,545      Hershey Co. (The)     3,051,140   
  40,596      Hormel Foods Corp.     1,553,203   
  21,816      JM Smucker Co. (The)     3,093,291   
  24,176      Kellogg Co.     1,987,509   
  30,910      Kimberly-Clark Corp.     3,958,335   
  27,553      Kraft Heinz Co. (The)     2,465,718   
  185,555      Kroger Co. (The)     5,935,904   
  22,125      McCormick & Co., Inc.     2,255,865   
  30,527      Mead Johnson Nutrition Co.     2,596,932   
  10,098      Molson Coors Brewing Co., Class B     1,033,227   
  58,047      Mondelez International, Inc., Class A     2,613,276   
  4,917      Monster Beverage Corp.*     756,677   
  85,660      PepsiCo, Inc.     9,144,205   
  80,240      Philip Morris International, Inc.     8,018,383   
  123,258      Procter & Gamble Co. (The)     10,761,656   
  58,347      Reynolds American, Inc.     2,892,261   
  256,690      Rite Aid Corp.*     1,932,876   
  75,348      Sysco Corp.     3,907,547   
  95,111      Tyson Foods, Inc., Class A     7,187,538   
  58,505      Walgreens Boots Alliance, Inc.     4,721,939   
  122,518      Wal-Mart Stores, Inc.     8,752,686   
  58,749      Whole Foods Market, Inc.     1,784,795   
   

 

 

 
      157,723,683   

 

 

 
  Energy – 3.4%   
  4,426      Apache Corp.     219,972   

 

 

 

 

62   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Energy – (continued)   
  63,196      Baker Hughes, Inc.   $ 3,104,820   
  46,592      Chevron Corp.     4,686,223   
  2,956      EOG Resources, Inc.     261,576   
  173,990      Exxon Mobil Corp.     15,161,489   
  5,390      Halliburton Co.     231,824   
  70,799      National Oilwell Varco, Inc.     2,374,599   
  13,375      Occidental Petroleum Corp.     1,027,869   
  5,262      ONEOK, Inc.     246,735   
  6,880      Phillips 66     539,736   
  2,187      Pioneer Natural Resources Co.     391,582   
  18,433      Schlumberger Ltd.     1,456,207   
  17,316      Spectra Energy Corp.     616,796   
  50,604      Tesoro Corp.     3,816,554   
  86,924      Valero Energy Corp.     4,811,243   
   

 

 

 
      38,947,225   

 

 

 
  Financials – 9.5%   
  23,830      Aflac, Inc.     1,767,709   
  1,402      Alleghany Corp.*     751,752   
  33,918      Allstate Corp. (The)     2,338,985   
  168,253      Ally Financial, Inc.     3,371,790   
  41,064      American Express Co.     2,692,977   
  19,363      American International Group, Inc.     1,158,488   
  4,595      Ameriprise Financial, Inc.     464,463   
  157,545      Annaly Capital Management, Inc. REIT     1,687,307   
  17,907      Aon PLC     1,993,944   
  16,268      Arthur J Gallagher & Co.     803,802   
  379,800      Bank of America Corp.     6,129,972   
  15,787      Bank of New York Mellon Corp. (The)     657,844   
  19,836      BB&T Corp.     763,686   
  35,757      Berkshire Hathaway, Inc., Class B*     5,381,071   
  2,647      BlackRock, Inc.     986,828   
  46,452      Capital One Financial Corp.     3,325,963   
  19,621      Chubb Ltd.     2,490,494   
  26,051      Cincinnati Financial Corp.     2,008,793   
  55,342      CIT Group, Inc.     2,041,013   
  129,959      Citigroup, Inc.     6,204,243   
  13,738      CME Group, Inc.     1,488,512   
  11,008      Discover Financial Services     660,480   
  5,252      Everest Re Group Ltd.     1,015,632   
  89,140      Fifth Third Bancorp     1,797,062   
  12,188      First Republic Bank     937,988   
  9,897      Franklin Resources, Inc.     361,241   
  41,071      Hartford Financial Services Group, Inc. (The)     1,686,786   
  2,688      Huntington Bancshares, Inc.     26,907   
  4,959      Intercontinental Exchange, Inc.     1,398,537   
  180,786      JPMorgan Chase & Co.     12,203,055   
  17,947      Lincoln National Corp.     861,994   
  22,274      Loews Corp.     932,390   
  5,238      M&T Bank Corp.     619,813   
  1,438      Markel Corp.*     1,338,936   
  44,163      Marsh & McLennan Cos., Inc.     2,986,744   
  42,683      MetLife, Inc.     1,852,442   
  4,892      Moody’s Corp.     531,711   

 

 

 
  Common Stocks – (continued)   
  Financials – (continued)   
  81,885      Morgan Stanley   2,625,233   
  42,358      New York Community Bancorp, Inc.     640,029   
  6,205      Northern Trust Corp.     438,011   
  14,907      PNC Financial Services Group, Inc. (The)     1,343,121   
  8,119      Principal Financial Group, Inc.     398,399   
  59,234      Progressive Corp. (The)     1,928,659   
  17,294      Prudential Financial, Inc.     1,372,798   
  141,241      Regions Financial Corp.     1,408,173   
  20,443      S&P Global, Inc.     2,525,528   
  10,582      SunTrust Banks, Inc.     466,349   
  9,117      Synchrony Financial     253,726   
  21,676      T Rowe Price Group, Inc.     1,507,349   
  8,610      TD Ameritrade Holding Corp.     282,968   
  33,387      Travelers Cos., Inc. (The)     3,963,371   
  15,270      Unum Group     543,765   
  37,012      US Bancorp     1,634,080   
  194,195      Wells Fargo & Co.     9,865,106   
  5,700      Willis Towers Watson PLC     706,857   
   

 

 

 
      109,624,876   

 

 

 
  Health Care – 15.0%   
  46,543      Abbott Laboratories     1,955,737   
  64,212      AbbVie, Inc.     4,115,989   
  48,404      Aetna, Inc.     5,669,077   
  39,029      Agilent Technologies, Inc.     1,833,582   
  15,795      Allergan PLC*     3,704,559   
  16,668      AmerisourceBergen Corp.     1,449,616   
  42,934      Amgen, Inc.     7,301,356   
  39,153      Anthem, Inc.     4,897,257   
  23,067      Baxter International, Inc.     1,077,921   
  9,560      Becton Dickinson and Co.     1,694,128   
  14,611      Biogen, Inc.*     4,465,560   
  53,625      Boston Scientific Corp.*     1,277,348   
  74,505      Bristol-Myers Squibb Co.     4,275,842   
  36,288      Cardinal Health, Inc.     2,891,065   
  27,427      Celgene Corp.*     2,927,558   
  21,241      Cerner Corp.*     1,370,894   
  19,706      Cigna Corp.     2,527,492   
  4,217      Cooper Cos., Inc. (The)     784,025   
  10,694      CR Bard, Inc.     2,361,663   
  36,274      Danaher Corp.     2,953,066   
  16,893      DaVita HealthCare Partners, Inc.*     1,091,795   
  17,903      DENTSPLY SIRONA, Inc.     1,100,318   
  33,912      Edwards Lifesciences Corp.*     3,905,306   
  53,215      Eli Lilly & Co.     4,137,466   
  54,673      Express Scripts Holding Co.*     3,974,727   
  111,321      Gilead Sciences, Inc.     8,725,340   
  10,964      HCA Holdings, Inc.*     828,330   
  18,277      Henry Schein, Inc.*     2,993,590   
  10,361      Hologic, Inc.*     398,070   
  10,347      Humana, Inc.     1,849,112   
  4,355      Illumina, Inc.*     733,121   
  2,669      Intuitive Surgical, Inc.*     1,832,055   
  1,628      Jazz Pharmaceuticals PLC*     201,595   
  139,702      Johnson & Johnson     16,672,037   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   63


GOLDMAN SACHS ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Health Care – (continued)   
  12,262      Laboratory Corp. of America Holdings*   $ 1,679,036   
  63,142      Mallinckrodt PLC*     4,706,605   
  6,661      McKesson Corp.     1,229,754   
  44,980      Medtronic PLC     3,914,609   
  115,670      Merck & Co., Inc.     7,262,919   
  11,163      Mettler-Toledo International, Inc.*     4,499,470   
  53,304      Mylan NV*     2,257,957   
  12,521      Perrigo Co. PLC     1,139,286   
  333,159      Pfizer, Inc.     11,593,933   
  14,392      Quest Diagnostics, Inc.     1,191,945   
  38,906      ResMed, Inc.     2,594,641   
  8,507      St Jude Medical, Inc.     662,865   
  21,032      Stryker Corp.     2,432,561   
  27,454      Thermo Fisher Scientific, Inc.     4,178,224   
  63,223      UnitedHealth Group, Inc.     8,601,489   
  5,209      Universal Health Services, Inc., Class B     627,841   
  9,350      Varian Medical Systems, Inc.*     898,816   
  11,693      Waters Corp.*     1,839,426   
  10,022      Zimmer Biomet Holdings, Inc.     1,298,951   
  50,298      Zoetis, Inc.     2,570,228   
   

 

 

 
      173,157,153   

 

 

 
  Industrials – 9.3%   
  36,366      3M Co.     6,518,242   
  6,903      Acuity Brands, Inc.     1,899,153   
  11,562      Alaska Air Group, Inc.     780,782   
  9,359      AMETEK, Inc.     456,251   
  19,547      Boeing Co. (The)     2,530,359   
  24,802      Caterpillar, Inc.     2,032,524   
  49,027      CH Robinson Worldwide, Inc.     3,403,454   
  24,413      Cintas Corp.     2,868,772   
  11,942      CSX Corp.     337,720   
  5,117      Cummins, Inc.     642,746   
  7,264      Deere & Co.     614,171   
  80,016      Delta Air Lines, Inc.     2,940,588   
  12,045      Dover Corp.     873,263   
  10,613      Eaton Corp. PLC     706,189   
  43,737      Emerson Electric Co.     2,304,065   
  20,231      Equifax, Inc.     2,668,469   
  10,485      Expeditors International of Washington, Inc.     531,065   
  67,175      Fastenal Co.     2,895,914   
  7,465      FedEx Corp.     1,231,202   
  18,082      Fortive Corp.     952,379   
  14,882      Fortune Brands Home & Security, Inc.     945,900   
  9,646      General Dynamics Corp.     1,468,314   
  330,082      General Electric Co.     10,311,762   
  22,135      Honeywell International, Inc.     2,583,376   
  18,851      Illinois Tool Works, Inc.     2,240,441   
  7,905      Ingersoll-Rand PLC     537,461   
  7,356      JB Hunt Transport Services, Inc.     583,993   
  38,464      L-3 Communications Holdings, Inc.     5,724,213   
  12,805      Lockheed Martin Corp.     3,111,231   
  30,259      Masco Corp.     1,073,589   
  21,203      Nielsen Holdings PLC     1,129,696   

 

 

 
  Common Stocks – (continued)   
  Industrials – (continued)   
  15,467      Northrop Grumman Corp.   3,280,087   
  5,861      PACCAR, Inc.     350,722   
  9,636      Parker-Hannifin Corp.     1,180,699   
  19,635      Raytheon Co.     2,751,453   
  57,963      Republic Services, Inc.     2,928,291   
  12,541      Rockwell Automation, Inc.     1,453,878   
  9,037      Rockwell Collins, Inc.     756,307   
  8,586      Roper Technologies, Inc.     1,524,444   
  8,581      Sensata Technologies Holding NV*     326,764   
  12,568      Snap-on, Inc.     1,926,549   
  39,419      Southwest Airlines Co.     1,453,773   
  13,507      Stanley Black & Decker, Inc.     1,671,491   
  3,237      Stericycle, Inc.*     278,317   
  56,912      Textron, Inc.     2,324,855   
  4,040      TransDigm Group, Inc.*     1,152,168   
  15,840      Tyco International PLC     691,891   
  8,879      Union Pacific Corp.     848,211   
  90,104      United Continental Holdings, Inc.*     4,542,143   
  22,256      United Parcel Service, Inc., Class B     2,430,800   
  22,306      United Technologies Corp.     2,374,028   
  12,227      Verisk Analytics, Inc.*     1,015,452   
  3,350      Wabtec Corp.     256,644   
  43,902      Waste Management, Inc.     2,807,094   
  13,305      WW Grainger, Inc.     3,068,931   
   

 

 

 
      108,292,276   

 

 

 
  Information Technology – 20.2%   
  50,552      Accenture PLC, Class A     5,813,480   
  37,920      Activision Blizzard, Inc.     1,568,750   
  23,638      Adobe Systems, Inc.*     2,418,404   
  11,673      Akamai Technologies, Inc.*     640,848   
  4,834      Alliance Data Systems Corp.*     988,940   
  13,522      Alphabet, Inc., Class A*     10,680,352   
  13,324      Alphabet, Inc., Class C*     10,220,174   
  47,396      Amdocs Ltd.     2,849,447   
  15,842      Amphenol Corp., Class A     987,115   
  4,179      Analog Devices, Inc.     261,438   
  14,631      ANSYS, Inc.*     1,391,262   
  279,081      Apple, Inc.     29,610,494   
  45,844      Applied Materials, Inc.     1,367,985   
  19,543      Autodesk, Inc.*     1,317,198   
  23,311      Automatic Data Processing, Inc.     2,093,561   
  34,194      CA, Inc.     1,159,519   
  16,931      CDK Global, Inc.     981,659   
  191,344      Cisco Systems, Inc.     6,015,855   
  33,943      Citrix Systems, Inc.*     2,959,830   
  27,338      Cognizant Technology Solutions Corp., Class A*     1,570,295   
  33,170      Corning, Inc.     752,627   
  123,405      eBay, Inc.*     3,968,705   
  47,657      Electronic Arts, Inc.*     3,871,178   
  112,817      EMC Corp.     3,270,565   
  92,369      Facebook, Inc., Class A*     11,649,578   
  29,428      Fidelity National Information Services, Inc.     2,334,523   
  35,163      Fiserv, Inc.*     3,623,547   
  1,731      FleetCor Technologies, Inc.*     284,230   

 

 

 

 

64   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Information Technology – (continued)   
  16,033      Global Payments, Inc.   $ 1,217,706   
  11,560      Harris Corp.     1,074,849   
  44,850      Hewlett Packard Enterprise Co.     963,378   
  296,552      HP, Inc.     4,261,452   
  263,847      Intel Corp.     9,469,469   
  50,045      International Business Machines Corp.     7,951,150   
  45,742      Intuit, Inc.     5,097,946   
  28,532      Juniper Networks, Inc.     658,519   
  14,208      KLA-Tencor Corp.     984,046   
  13,658      Lam Research Corp.     1,274,565   
  57,403      Linear Technology Corp.     3,343,151   
  3,692      LinkedIn Corp., Class A*     711,633   
  38,677      MasterCard, Inc., Class A     3,737,358   
  16,282      Maxim Integrated Products, Inc.     663,003   
  9,293      Microchip Technology, Inc.     575,330   
  392,869      Microsoft Corp.     22,574,253   
  18,033      Motorola Solutions, Inc.     1,388,361   
  62,439      NetApp, Inc.     2,159,765   
  29,161      NVIDIA Corp.     1,788,736   
  138,915      Oracle Corp.     5,726,076   
  9,878      Palo Alto Networks, Inc.*     1,315,453   
  44,722      Paychex, Inc.     2,713,284   
  37,395      PayPal Holdings, Inc.*     1,389,224   
  39,040      QUALCOMM, Inc.     2,462,253   
  20,027      Red Hat, Inc.*     1,461,570   
  25,728      salesforce.com, Inc.*     2,043,318   
  48,373      Seagate Technology PLC     1,632,105   
  9,940      ServiceNow, Inc.*     722,340   
  27,033      Skyworks Solutions, Inc.     2,023,690   
  56,457      Symantec Corp.     1,362,307   
  79,301      Texas Instruments, Inc.     5,514,592   
  27,933      Total System Services, Inc.     1,375,700   
  18,326      Vantiv, Inc., Class A*     984,839   
  16,515      VeriSign, Inc.*     1,229,542   
  56,920      Visa, Inc., Class A     4,604,828   
  71,602      Western Digital Corp.     3,341,665   
  92,107      Western Union Co. (The)     1,982,143   
  622,356      Xerox Corp.     6,130,207   
  8,892      Xilinx, Inc.     482,035   
  8,592      Yahoo!, Inc.*     367,308   
   

 

 

 
      233,410,708   

 

 

 
  Materials – 2.2%   
  3,623      Air Products & Chemicals, Inc.     563,811   
  6,260      Ashland, Inc.     732,921   
  5,596      Ball Corp.     443,147   
  6,010      Dow Chemical Co. (The)     322,377   
  38,450      Eastman Chemical Co.     2,610,371   
  9,619      Ecolab, Inc.     1,183,618   
  13,101      EI du Pont de Nemours & Co.     911,830   
  8,985      International Flavors & Fragrances, Inc.     1,245,141   
  14,592      International Paper Co.     707,566   
  5,171      LyondellBasell Industries NV, Class A     407,940   
  2,662      Martin Marietta Materials, Inc.     487,226   
  16,313      Monsanto Co.     1,737,335   
  13,728      Mosaic Co. (The)     412,801   

 

 

 
  Common Stocks – (continued)   
  Materials – (continued)   
  31,974      Newmont Mining Corp.   1,222,686   
  54,867      Nucor Corp.     2,661,598   
  10,417      PPG Industries, Inc.     1,102,952   
  8,305      Praxair, Inc.     1,013,542   
  19,191      Sealed Air Corp.     904,472   
  15,244      Sherwin-Williams Co. (The)     4,324,875   
  10,220      Vulcan Materials Co.     1,163,751   
  22,778      WestRock Co.     1,091,066   
   

 

 

 
      25,251,026   

 

 

 
  Real Estate – 4.3%   
  19,197      American Tower Corp. REIT     2,176,556   
  10,196      AvalonBay Communities, Inc. REIT     1,784,402   
  6,504      Boston Properties, Inc. REIT     911,406   
  55,350      CBRE Group, Inc., Class A*     1,654,411   
  25,107      Crown Castle International Corp. REIT     2,379,390   
  18,037      Digital Realty Trust, Inc. REIT     1,787,286   
  4,728      Equinix, Inc. REIT     1,742,977   
  54,321      Equity Residential REIT     3,523,803   
  4,779      Essex Property Trust, Inc. REIT     1,085,311   
  19,881      Extra Space Storage, Inc. REIT     1,601,415   
  8,391      Federal Realty Investment Trust REIT     1,334,169   
  55,827      General Growth Properties, Inc. REIT     1,626,799   
  90,587      Host Hotels & Resorts, Inc. REIT     1,614,260   
  67,605      Kimco Realty Corp. REIT     2,031,530   
  31,279      Macerich Co. (The) REIT     2,561,437   
  45,917      Prologis, Inc. REIT     2,438,652   
  15,101      Public Storage REIT     3,381,718   
  27,594      Realty Income Corp. REIT     1,813,754   
  27,633      Simon Property Group, Inc. REIT     5,954,083   
  5,843      SL Green Realty Corp. REIT     687,838   
  38,163      UDR, Inc. REIT     1,380,737   
  22,183      Ventas, Inc. REIT     1,612,039   
  100,010      VEREIT, Inc. REIT     1,045,104   
  9,448      Vornado Realty Trust REIT     976,073   
  25,898      Welltower, Inc. REIT     1,987,672   
  40,600      Weyerhaeuser Co. REIT     1,293,110   
   

 

 

 
      50,385,932   

 

 

 
  Telecommunication Services – 2.5%   
  272,536      AT&T, Inc.     11,141,272   
  145,680      CenturyLink, Inc.     4,049,904   
  6,861      Level 3 Communications, Inc.*     340,511   
  7,884      SBA Communications Corp., Class A*     899,959   
  32,184      T-Mobile US, Inc.*     1,491,406   
  203,606      Verizon Communications, Inc.     10,654,702   
   

 

 

 
      28,577,754   

 

 

 
  Utilities – 4.1%   
  34,447      Alliant Energy Corp.     1,307,264   
  33,792      Ameren Corp.     1,670,001   
  29,120      American Electric Power Co., Inc.     1,880,278   
  23,831      American Water Works Co., Inc.     1,763,256   
  54,402      CenterPoint Energy, Inc.     1,222,413   
  42,701      CMS Energy Corp.     1,792,161   
  25,978      Consolidated Edison, Inc.     1,954,844   

 

 

 

 

The accompanying notes are an integral part of these financial statements.   65


GOLDMAN SACHS ACTIVEBETA® U.S. LARGE CAP EQUITY ETF

 

Schedule of Investments (continued)

August 31, 2016

 

Shares     Description   Value  
  Common Stocks – (continued)   
  Utilities – (continued)   
  24,749      Dominion Resources, Inc.   $ 1,835,386   
  19,194      DTE Energy Co.     1,783,122   
  28,957      Duke Energy Corp.     2,306,715   
  28,824      Edison International     2,096,081   
  28,627      Entergy Corp.     2,238,631   
  27,261      Eversource Energy     1,471,276   
  40,969      Exelon Corp.     1,392,946   
  113,500      FirstEnergy Corp.     3,714,855   
  29,556      NextEra Energy, Inc.     3,574,503   
  31,044      PG&E Corp.     1,922,865   
  21,643      Pinnacle West Capital Corp.     1,624,091   
  46,805      PPL Corp.     1,627,878   
  24,821      Public Service Enterprise Group, Inc.     1,061,346   
  23,739      SCANA Corp.     1,677,160   
  11,622      Sempra Energy     1,216,010   
  50,103      Southern Co. (The)     2,571,787   
  31,808      WEC Energy Group, Inc.     1,904,663   
  48,383      Xcel Energy, Inc.     2,001,121   
   

 

 

 
      47,610,653   

 

 

 
  TOTAL INVESTMENTS – 99.6%   
  (Cost $1,113,732,645)   $ 1,152,891,041   

 

 

 
 
 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 0.4%
    4,315,040   

 

 

 
  NET ASSETS – 100.0%   $ 1,157,206,081   

 

 

 

 

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

 

 

Investment Abbreviations:

PLC

 

—Public Limited Company

REIT

 

—Real Estate Investment Trust

 

 

66   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Statements of Assets and Liabilities

August 31, 2016

 

        ActiveBeta®
Emerging Markets
Equity ETF
    ActiveBeta®
Europe Equity
ETF
    ActiveBeta®
International
Equity ETF
    ActiveBeta®
Japan Equity
ETF
    ActiveBeta®
U.S. Large Cap
Equity ETF
 
  Assets:          
 

Investments at value (cost $762,865,820, $32,805,708, $275,190,456, $30,903,047 and $1,113,732,645, respectively)

  $ 862,524,969      $ 33,924,141      $ 282,624,269      $ 32,701,343      $ 1,152,891,041   
 

Cash

    4,062,074        24,187        832,799        26,813        1,995,592   
 

Foreign currency, at value (cost $93,238, $1,241, $20,128, $360 and $—, respectively)

    93,208        1,242        20,136        360          
 

Deferred offering costs

    11,606                               
 

Receivables:

         
 

Investments sold

    55,475,458        1,690,334        12,321,116                 
 

Dividends

    1,084,385        61,007        540,442        50,440        2,280,088   
 

Foreign tax reclaims

    19,032        19,323        55,012        9,993          
 

Fund shares sold

                  148,474               16,805   
 

Reimbursement from advisor

    236,045        8,299        53,336        8,399        64,964   
 

Other assets

    20,747                               
  Total assets     923,527,524        35,728,533        296,595,584        32,797,348        1,157,248,490   
           
  Liabilities:          
 

Payables:

         
 

Investments purchased

    59,386,663        1,769,047        12,796,003                 
 

Foreign capital gains tax

    289,322                               
 

Management fees

    292,988               39,908               42,409   
 

Trustee fees

    25,705                               
 

Accrued expenses and other liabilities

    144,785               2,423                 
  Total liabilities     60,139,463        1,769,047        12,838,334               42,409   
           
  Net Assets:          
 

Paid-in capital

    773,425,205        32,844,724        276,873,924        30,940,606        1,118,301,823   
 

Undistributed net investment income

    5,548,952        126,865        863,433        69,454        3,312,092   
 

Accumulated net realized loss

    (14,954,314     (128,956     (1,409,516     (10,764     (3,566,230
 

Net unrealized gain

    99,368,218        1,116,853        7,429,409        1,798,052        39,158,396   
  NET ASSETS   $ 863,388,061      $ 33,959,486      $ 283,757,250      $ 32,797,348      $ 1,157,206,081   
 

SHARES ISSUED AND OUTSTANDING

         
 

Shares outstanding no par value (unlimited shares authorized):

    30,800,000        1,300,000        11,500,000        1,200,000        26,402,500   
 

Net asset value per share:

    $28.03        $26.12        $24.67        $27.33        $43.83   

 

The accompanying notes are an integral part of these financial statements.   67


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Statements of Operations

 

        ActiveBeta®
Emerging Markets
Equity ETF(1)
     ActiveBeta®
Europe Equity
ETF(2)
     ActiveBeta®
International
Equity ETF(3)
     ActiveBeta®
Japan Equity
ETF(2)
     ActiveBeta®
U.S. Large Cap
Equity ETF(4)
 
  Investment income:              
 

Dividends (net of foreign withholding taxes of $2,046,652, $111,780, $359,967, $42,975 and $1,492, respectively)

  $ 15,078,999       $ 799,519       $ 3,105,895       $ 325,039       $ 8,811,883   
  Total investment income     15,078,999         799,519         3,105,895         325,039         8,811,883   
               
  Expenses:              
 

Management fees

    2,036,659         33,150         238,023         31,572         340,656   
 

Custody, accounting and administrative services

    416,761         4,819         94,549         4,673         44,017   
 

Professional fees

    119,178         27,895         69,206         27,895         91,269   
 

Amortization of offering costs

    93,502         11,265         55,747         11,279         79,394   
 

Trustee fees

    87,537         15,160         51,548         15,161         67,954   
 

Printing and mailing cost

    37,745         3,416         30,571         3,416         45,516   
 

Registration fees

    15,106         4,842         13,363         4,842         24,015   
 

Other

    157,357         16,723         33,493         16,578         63,169   
  Total expenses     2,963,845         117,270         586,500         115,416         755,990   
 

Less — expense reductions

    (674,705      (75,953      (334,206      (75,847      (393,369
  Net expenses     2,289,140         41,317         252,294         39,569         362,621   
  NET INVESTMENT INCOME     12,789,859         758,202         2,853,601         285,470         8,449,262   
               
  Realized and unrealized gain (loss):              
 

Net realized gain (loss) from:

             
 

Investments (including the effects of the foreign capital gains tax liability of $11,436, $—, $—, $— and $—, respectively)

    (14,936,894      (127,433      (1,403,388      (10,531      (3,710,329
 

In-kind redemptions

                                    4,173,054   
 

Foreign currency transactions

    (117,403      (10,250      (4,609      17,484           
 

Unrealized gain (loss) on:

             
 

Investments (including the effects of the foreign capital gains tax liability of $278,623, $—, $—, $— and $—, respectively)

    99,380,526         1,118,433         7,433,813         1,798,296         39,158,396   
 

Foreign currency translations

    (12,308      (1,580      (4,404      (244        
  Net realized and unrealized gain     84,313,921         979,170         6,021,412         1,805,005         39,621,121   
  NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS     97,103,780         1,737,372         8,875,013         2,090,475         48,070,383   

 

  (1)   For the period September 25, 2015 (commencement of operations) through August 31, 2016.
  (2)   For the period March 2, 2016 (commencement of operations) through August 31, 2016.
  (3)   For the period November 6, 2015 (commencement of operations) through August 31, 2016.
  (4)   For the period September 17, 2015 (commencement of operations) through August 31, 2016.

 

68   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Statements of Changes in Net Assets

 

        ActiveBeta®
Emerging Markets
Equity ETF(1)
    ActiveBeta®
Europe Equity
ETF(2)
    ActiveBeta®
International
Equity ETF(3)
   

ActiveBeta®

Japan Equity
ETF(2)

    ActiveBeta®
U.S. Large Cap
Equity ETF(4)
 
  From operations:          
 

Net investment income

  $ 12,789,859      $ 758,202      $ 2,853,601      $ 285,470      $ 8,449,262   
 

Net realized gain (loss)

    (15,054,297     (137,683     (1,407,997     6,953        462,725   
 

Unrealized gain

    99,368,218        1,116,853        7,429,409        1,798,052        39,158,396   
  Net increase in net assets resulting from operations     97,103,780        1,737,372        8,875,013        2,090,475        48,070,383   
           
  Distributions to shareholders:          
 

From net investment income

    (7,161,211     (624,546     (1,996,958     (235,644     (5,154,092
  Total distributions to shareholders     (7,161,211     (624,546     (1,996,958     (235,644     (5,154,092
           
  From share transactions:          
 

Proceeds from sales of shares

    773,445,492        32,846,660        276,879,195        30,942,517        1,168,663,742   
 

Cost of shares redeemed

                                (54,473,952
  Net increase in net assets resulting from share transactions     773,445,492        32,846,660        276,879,195        30,942,517        1,114,189,790   
  TOTAL INCREASE     863,388,061        33,959,486        283,757,250        32,797,348        1,157,106,081   
           
  Net assets:          
 

Beginning of period

  $      $      $      $      $ 100,000   
 

End of period

  $ 863,388,061      $ 33,959,486      $ 283,757,250      $ 32,797,348      $ 1,157,206,081   
  Undistributed net investment income   $ 5,548,952      $ 126,865      $ 863,433      $ 69,454      $ 3,312,092   

 

  (1)   For the period September 25, 2015 (commencement of operations) through August 31, 2016.
  (2)   For the period March 2, 2016 (commencement of operations) through August 31, 2016.
  (3)   For the period November 6, 2015 (commencement of operations) through August 31, 2016.
  (4)   For the period September 17, 2015 (commencement of operations) through August 31, 2016.

 

The accompanying notes are an integral part of these financial statements.   69


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Financial Highlights

Selected Data for a Share Outstanding Throughout The Period

 

        ActiveBeta®
Emerging Markets Equity ETF
*
 
  Per Share Operating Performance:  
 

Net asset value, beginning of period

  $ 25.00   
 

Net investment income(a)

    0.60   
 

Net realized and unrealized gain

    2.70   
 

Total gain from investment operations

    3.30   
 

Distributions to shareholders from net investment income

    (0.27
 

Net asset value, end of period

  $ 28.03   
 

Market price, end of period

  $ 28.01   
  Total Return at Net Asset Value(b)     13.29
 

Net assets, end of period (in 000’s)

  $ 863,388   
 

Ratio of net expenses to average net assets

    0.45 %(c) 
 

Ratio of total expenses to average net assets

    0.58 %(c) 
 

Ratio of net investment income to average net assets

    2.52 %(c) 
 

Portfolio turnover rate(d)

    44

 

  *   For the period September 25, 2015 to August 31, 2016.
  (a)   Calculated based on the average shares outstanding methodology.
  (b)   Assumes investment at the net asset value at the beginning of the period, reinvestment of all distributions and a complete sale of the investment at the net asset value at the end of the period. Returns do not reflect the impact of taxes to shareholders relating to Fund distributions or the sale of Fund shares. Total returns for periods less than one full year are not annualized.
  (c)   Annualized.
  (d)   The Fund’s portfolio turnover rate is calculated in accordance with regulatory requirements and excludes portfolio securities received or delivered as a result of in-kind transactions. If such transactions were included, the Fund’s portfolio turnover rate may be higher.

 

70   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Financial Highlights

Selected Data for a Share Outstanding Throughout The Period

 

        ActiveBeta®
Europe Equity ETF
*
 
  Per Share Operating Performance:  
 

Net asset value, beginning of period

  $ 25.03   
 

Net investment income(a)

    0.60   
 

Net realized and unrealized gain

    0.97   
 

Total gain from investment operations

    1.57   
 

Distributions to shareholders from net investment income

    (0.48
 

Net asset value, end of period

  $ 26.12   
 

Market price, end of period

  $ 26.20   
  Total Return at Net Asset Value(b)     6.23
 

Net assets, end of period (in 000’s)

  $ 33,959   
 

Ratio of net expenses to average net assets

    0.25 %(c) 
 

Ratio of total expenses to average net assets

    0.71 %(c) 
 

Ratio of net investment income to average net assets

    4.61 %(c) 
 

Portfolio turnover rate(d)

    14

 

  *   For the period March 2, 2016 to August 31, 2016.
  (a)   Calculated based on the average shares outstanding methodology.
  (b)   Assumes investment at the net asset value at the beginning of the period, reinvestment of all distributions and a complete sale of the investment at the net asset value at the end of the period. Returns do not reflect the impact of taxes to shareholders relating to Fund distributions or the sale of Fund shares. Total returns for periods less than one full year are not annualized.
  (c)   Annualized.
  (d)   The Fund’s portfolio turnover rate is calculated in accordance with regulatory requirements and excludes portfolio securities received or delivered as a result of in-kind transactions. If such transactions were included, the Fund’s portfolio turnover rate may be higher.

 

The accompanying notes are an integral part of these financial statements.   71


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Financial Highlights

Selected Data for a Share Outstanding Throughout The Period

 

        ActiveBeta®
International Equity ETF
*
 
  Per Share Operating Performance:  
 

Net asset value, beginning of period

  $ 24.78   
 

Net investment income(a)

    0.59   
 

Net realized and unrealized loss

    (0.37
 

Total gain from investment operations

    0.22   
 

Distributions to shareholders from net investment income

    (0.33
 

Net asset value, end of period

  $ 24.67   
 

Market price, end of period

  $ 24.78   
  Total Return at Net Asset Value(b)     0.90
 

Net assets, end of period (in 000’s)

  $ 283,757   
 

Ratio of net expenses to average net assets

    0.27 %(c) 
 

Ratio of total expenses to average net assets

    0.62 %(c) 
 

Ratio of net investment income to average net assets

    3.02 %(c) 
 

Portfolio turnover rate(d)

    23

 

  *   For the period November 6, 2015 to August 31, 2016.
  (a)   Calculated based on the average shares outstanding methodology.
  (b)   Assumes investment at the net asset value at the beginning of the period, reinvestment of all distributions and a complete sale of the investment at the net asset value at the end of the period. Returns do not reflect the impact of taxes to shareholders relating to Fund distributions or the sale of Fund shares. Total returns for periods less than one full year are not annualized.
  (c)   Annualized.
  (d)   The Fund’s portfolio turnover rate is calculated in accordance with regulatory requirements and excludes portfolio securities received or delivered as a result of in-kind transactions. If such transactions were included, the Fund’s portfolio turnover rate may be higher.

 

72   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Financial Highlights

Selected Data for a Share Outstanding Throughout The Period

 

        ActiveBeta®
Japan Equity ETF
*
 
  Per Share Operating Performance:  
 

Net asset value, beginning of period

  $ 25.69   
 

Net investment income(a)

    0.24   
 

Net realized and unrealized gain

    1.60   
 

Total gain from investment operations

    1.84   
 

Distributions to shareholders from net investment income

    (0.20
 

Net asset value, end of period

  $ 27.33   
 

Market price, end of period

  $ 27.44   
  Total Return at Net Asset Value(b)     7.17
 

Net assets, end of period (in 000’s)

  $ 32,797   
 

Ratio of net expenses to average net assets

    0.25 %(c) 
 

Ratio of total expenses to average net assets

    0.73 %(c) 
 

Ratio of net investment income to average net assets

    1.81 %(c) 
 

Portfolio turnover rate(d)

    10

 

  *   For the period March 2, 2016 to August 31, 2016.
  (a)   Calculated based on the average shares outstanding methodology.
  (b)   Assumes investment at the net asset value at the beginning of the period, reinvestment of all distributions and a complete sale of the investment at the net asset value at the end of the period. Returns do not reflect the impact of taxes to shareholders relating to Fund distributions or the sale of Fund shares. Total returns for periods less than one full year are not annualized.
  (c)   Annualized.
  (d)   The Fund’s portfolio turnover rate is calculated in accordance with regulatory requirements and excludes portfolio securities received or delivered as a result of in-kind transactions. If such transactions were included, the Fund’s portfolio turnover rate may be higher.

 

The accompanying notes are an integral part of these financial statements.   73


GOLDMAN SACHS ACTIVEBETA® ETFS

 

Financial Highlights

Selected Data for a Share Outstanding Throughout The Period

 

        ActiveBeta®
U.S. Large Cap Equity ETF
*
 
  Per Share Operating Performance:  
 

Net asset value, beginning of period

  $ 40.70   
 

Net investment income(a)

    0.85   
 

Net realized and unrealized gain

    2.78   
 

Total gain from investment operations

    3.63   
 

Distributions to shareholders from net investment income

    (0.50
 

Net asset value, end of period

  $ 43.83   
 

Market price, end of period

  $ 43.82   
  Total Return at Net Asset Value(b)     8.97
 

Net assets, end of period (in 000’s)

  $ 1,157,206   
 

Ratio of net expenses to average net assets

    0.09 %(c) 
 

Ratio of total expenses to average net assets

    0.19 %(c) 
 

Ratio of net investment income to average net assets

    2.11 %(c) 
 

Portfolio turnover rate(d)

    18

 

  *   For the period September 17, 2015 to August 31, 2016.
  (a)   Calculated based on the average shares outstanding methodology.
  (b)   Assumes investment at the net asset value at the beginning of the period, reinvestment of all distributions and a complete sale of the investment at the net asset value at the end of the period. Returns do not reflect the impact of taxes to shareholders relating to Fund distributions or the sale of Fund shares. Total returns for periods less than one full year are not annualized.
  (c)   Annualized.
  (d)   The Fund’s portfolio turnover rate is calculated in accordance with regulatory requirements and excludes portfolio securities received or delivered as a result of in-kind transactions. If such transactions were included, the Fund’s portfolio turnover rate may be higher.

 

74   The accompanying notes are an integral part of these financial statements.


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements

August 31, 2016

 

1. ORGANIZATION

 

Goldman Sachs ETF Trust (the “Trust”) is an open-end management investment company, registered under the Investment Company Act of 1940, as amended (the “Act”), consisting of multiple series. The Trust was organized as a Delaware statutory trust on December 16, 2009. The following table lists those series of the Trust that are included in this report (collectively, the “Funds” or individually a “Fund”) along with their respective diversification status under the Act:

 

Fund      Diversification
Classification

Goldman Sachs ActiveBeta® Emerging Markets Equity ETF (“ActiveBeta® Emerging Markets Equity ETF”)

    

Diversified

Goldman Sachs ActiveBeta® Europe Equity ETF (“ActiveBeta® Europe Equity ETF”)

    

Diversified

Goldman Sachs ActiveBeta® International Equity ETF (“ActiveBeta® International Equity ETF”)

    

Diversified

Goldman Sachs ActiveBeta® Japan Equity ETF (“ActiveBeta® Japan Equity ETF”)

    

Diversified

Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF (“ActiveBeta® U.S. Large Cap Equity ETF”)

    

Diversified

The investment objective of each Fund is to provide investment results that closely correspond, before fees and expenses, to the performance of its respective Index.

Goldman Sachs Asset Management, L.P. (“GSAM”), an affiliate of Goldman, Sachs & Co., serves as investment adviser to the Funds pursuant to management agreements (each, an “Agreement”) with the Trust.

Each Fund is an exchange-traded fund (“ETF”). Shares of the Funds are listed and traded on the NYSE Arca, Inc. Market prices for the Funds’ shares may be different from their net asset value (“NAV”). The Funds issue and redeem shares at their respective NAV only in blocks of a specified number of shares, or multiples thereof, referred to as “Creation Units”. Creation Units are issued and redeemed principally in-kind for a basket of securities and a cash amount, with respect to the ActiveBeta® Europe Equity ETF, ActiveBeta® International Equity ETF, ActiveBeta® Japan Equity ETF and the ActiveBeta® U.S. Large Cap Equity ETF. The ActiveBeta® Emerging Markets Equity ETF issues and redeems Creation Units partially for cash and partially in-kind. Shares generally trade in the secondary market in quantities less than a Creation Unit at market prices that change throughout the day. Only those that have entered into an authorized participant agreement with ALPS Distributors, Inc. (the “Distributor”) may do business directly with the Funds.

 

2. SIGNIFICANT ACCOUNTING POLICIES

The financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”) and require management to make estimates and assumptions that may affect the reported amounts and disclosures. Actual results may differ from those estimates and assumptions.

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

B.  Investment Income and Investments — Investment income includes interest income, dividend income, net of any foreign withholding taxes less any amounts reclaimable and securities lending income. Interest income is accrued daily and adjusted for amortization of premiums and accretion of discounts. Dividend income is recognized on ex-dividend date or, for certain foreign securities, as soon as such information is obtained subsequent to the ex-dividend date. Investment transactions are reflected on trade date. Realized gains and losses are calculated using identified cost. Investment transactions are recorded on the following business day for daily NAV calculations. Any foreign capital gains tax is accrued daily based upon net unrealized gains, and is payable upon sale of such investments.

C.  Expenses — Expenses incurred directly by a Fund are charged to the Fund, and certain expenses incurred by the Trust are allocated across the applicable Funds on a straight-line and/or pro-rata basis, depending upon the nature of the expenses, and are accrued daily.

 

75


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

2. SIGNIFICANT ACCOUNTING POLICIES (continued)

 

D.  Offering and Organization Costs — Offering costs paid in connection with the initial offering of shares of the ActiveBeta® Emerging Markets Equity ETF are being amortized on a straight-line basis over 12 months from the date of commencement of operations. The offering costs of the ActiveBeta® Europe Equity ETF, the ActiveBeta® International Equity ETF, the ActiveBeta® Japan Equity ETF and the ActiveBeta® U.S. Large Cap Equity ETF were amortized on a straight-line basis prior to the transition of the Funds to a unitary fee structure on May 1, 2016. Organization costs paid in connection with the organization of the Funds were borne by GSAM.

E.  Federal Taxes and Distributions to Shareholders — It is each Fund’s policy to comply with the requirements of the Internal Revenue Code of 1986, as amended (the “Code”), applicable to regulated investment companies (mutual funds) and to distribute each year substantially all of its investment company taxable income and capital gains to its shareholders. Accordingly, the Funds are not required to make any provisions for the payment of federal income tax. Distributions to shareholders are recorded on the ex-dividend date. For all Funds, Income Distributions are declared and paid on a quarterly basis whereas Capital Gains Distributions are declared and paid on an annual basis.

Net capital losses are carried forward to future fiscal years and may be used to the extent allowed by the Code to offset any future capital gains. Utilization of capital loss carryforwards will reduce the requirement of future capital gains distributions.

The characterization of distributions to shareholders for financial reporting purposes is determined in accordance with federal income tax rules, which may differ from GAAP. The source of each Fund’s distributions may be shown in the accompanying financial statements as either from net investment income, net realized gain or capital. Certain components of the Funds’ net assets on the Statements of Assets and Liabilities reflect permanent GAAP/tax differences based on the appropriate tax character.

F.  Foreign Currency Translation — The accounting records and reporting currency of the Funds are maintained in U.S. dollars. Assets and liabilities denominated in foreign currencies are translated into U.S. dollars using the current exchange rates at the close of each business day. The effect of changes in foreign currency exchange rates on investments is included within net realized and unrealized gain (loss) on investments. Changes in the value of other assets and liabilities as a result of fluctuations in foreign exchange rates are included in the Statements of Operations within net change in unrealized gain (loss) on foreign currency translations. Transactions denominated in foreign currencies are translated into U.S. dollars on the date the transaction occurred, the effects of which are included within net realized gain (loss) on foreign currency transactions.

 

3. INVESTMENTS AND FAIR VALUE MEASUREMENTS   

The fair value of a financial instrument is 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). 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 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).

Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy. In accordance with the Funds’ policy, transfers between different levels of the fair value hierarchy resulting from such changes are deemed to have occurred as of the beginning of the reporting period.

 

76


GOLDMAN SACHS ETF TRUST

 

 

 

3. INVESTMENTS AND FAIR VALUE MEASUREMENTS (continued)

 

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 Funds’ portfolio 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.

A.  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 are valued at the last bid price for long positions and at the last ask price for short positions. 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.

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. These investments are generally classified as Level 2 of the fair value hierarchy.

Exchange Traded Funds — Investments in 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. 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.

B.  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. Significant events which could affect a large number of securities in a particular market may include, but are not limited to: significant fluctuations in U.S. or foreign markets; market dislocations; market disruptions; or unscheduled market closings. Significant events which could also affect a single issuer may include, but are not limited to: corporate actions such as reorganizations, mergers and buy-outs; ratings downgrades; and bankruptcies. At August 31, 2016 the Funds did not hold level 3 securities.

 

77


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

3. INVESTMENTS AND FAIR VALUE MEASUREMENTS (continued)

 

C.  Fair Value Hierarchy — The following is a summary of the Funds’ investments classified in the fair value hierarchy as of August 31, 2016:

ACTIVEBETA® EMERGING MARKETS EQUITY ETF   
Investment Type    Level 1        Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Africa

   $ 53,182,832         $ 4,580,920         $         —   

Asia

     567,673,756           19,683,832             

Europe

     16,349,688                       

North America

     112,256,039                       

South America

     64,383,551           24,414,351             
Total    $    813,845,866         $ 48,679,103         $   
ACTIVEBETA® EUROPE EQUITY ETF             
Investment Type    Level 1        Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Africa

   $ 143,884         $         $   

Europe

     33,244,162           223,207             

North America

     304,798                       

Oceania

     8,090                       
Total    $ 33,700,934         $ 223,207         $   
ACTIVEBETA® INTERNATIONAL EQUITY ETF             
Investment Type    Level 1        Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Africa

   $ 651,675         $         $   

Asia

     73,869,913                       

Europe

     159,624,871           1,472,564             

North America

     28,233,675                       

Oceania

     18,771,571                       
Total    $ 281,151,705         $ 1,472,564         $   

 

78


GOLDMAN SACHS ETF TRUST

 

 

 

3. INVESTMENTS AND FAIR VALUE MEASUREMENTS (continued)

 

ACTIVEBETA® JAPAN EQUITY ETF             
Investment Type    Level 1        Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Asia

   $ 32,701,343         $             —         $   
Total    $ 32,701,343         $         $   
ACTIVEBETA® U.S. LARGE CAP EQUITY ETF             
Investment Type    Level 1        Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

North America

   $ 1,152,891,041         $         $   
Total    $ 1,152,891,041         $         $         —   

 

(a)   Amounts are disclosed by continent to highlight the impact of time zone differences between local market close and the calculation of NAV. Security valuations are based on the principal exchange or system on which they are traded, which may differ from country of domicile noted in table.

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

 

4. AGREEMENTS AND AFFILIATED TRANSACTIONS

A.  Management Agreement — Under the Agreement, GSAM manages the Funds, subject to the general supervision of the Trustees.

As compensation for the services rendered pursuant to the Agreement, the assumption of the expenses related thereto and administration of the Funds’ business affairs, including providing facilities, GSAM is entitled to a management fee, accrued daily and paid monthly, equal to an annual percentage rate of each Fund’s average daily net assets.

For each Fund except the Goldman Sachs ActiveBeta® Emerging Markets Equity ETF, the Board of Trustees of Goldman Sachs ETF Trust approved a unitary management fee structure for the Fund and reduction of the Fund’s management fee rate then in effect under a prior management agreement. Under the unitary fee structure, GSAM is responsible for paying substantially all the expenses of each such Fund, excluding payments under the Fund’s 12b-1 plan (if any), interest expenses, taxes, acquired fund fees and expenses, brokerage fees, costs of holding shareholder meetings, litigation, indemnification and extraordinary expenses. Prior to May 1, 2016, each Fund except the Goldman Sachs ActiveBeta® Emerging Markets Equity ETF had a non-unitary management fee structure.

 

79


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

4. AGREEMENTS AND AFFILIATED TRANSACTIONS (continued)

 

For the fiscal year ended August 31, 2016, contractual and effective net management fees with GSAM were at the following rates for all Funds except the ActiveBeta® Emerging Markets Equity ETF:

 

Fund        

Contractual Management Fee

(Inception to April 30, 2016)

      

Contractual Unitary
Management Fee

(May 1, 2016 to
Present)

       Effective Net
Management
Fee
 

ActiveBeta® Europe Equity ETF

         0.30        0.25        0.17 %1 

ActiveBeta® International Equity ETF

         0.30        0.25        0.23 %1 

ActiveBeta® Japan Equity ETF

         0.30        0.25        0.17 %1 

ActiveBeta® U.S. Large Cap Equity ETF

         0.10        0.09        0.07 %2 

 

(1)   Effective March 2, 2016 through April 30, 2016, GSAM agreed to waive a portion of its management fees in order to achieve an effective net management fee rate of 0.20%.
(2)   Effective September 17, 2015 through April 30, 2016, GSAM agreed to waive a portion of its management fee in order to achieve an effective net management fee rate of 0.07%.

For the fiscal year ended August 31, 2016, contractual and effective net management fees with GSAM were at the following rates for the ActiveBeta® Emerging Markets Equity ETF:

 

Fund         Contractual Management
Fee
       Effective Net
Management
Fee
 

ActiveBeta® Emerging Markets Equity ETF

         0.40        0.40

B.  Distribution and Service Plans — The Trust, on behalf of the Funds, has adopted a Distribution and Service Plan (the “Plan”), pursuant to Rule 12b-1 under the Act. Under the Plan, the Funds are authorized to pay distribution fees in connection with the sale and distribution of their shares and pay service fees in connection with the provision of ongoing services to shareholders of each Fund and the maintenance of shareholder accounts in an amount up to 0.25% of its average daily net assets each year. No Rule 12b-1 fees are currently paid by any Fund, and there are no current plans to impose these fees.

C.  Other Expense Agreements and Affiliated Transactions — GSAM has agreed to limit certain “Other Expenses” of the ActiveBeta® Emerging Markets Equity ETF (excluding acquired fund fees and expenses, taxes, interest, brokerage fees, shareholder meeting, litigation, indemnification and extraordinary expenses) to the extent such expenses exceed, on an annual basis, a percentage rate of the average daily net assets of the Fund. Such Other Expense reimbursements, if any, are accrued daily and paid monthly. In addition, the Funds, including those funds which no longer apply an Other Expense limitation (ActiveBeta® Europe Equity ETF, ActiveBeta® International Equity ETF, ActiveBeta® Japan Equity ETF and ActiveBeta® U.S. Large Cap Equity ETF), are not obligated to reimburse GSAM for prior fiscal year’s expense reimbursements, if any. The Other Expense limitation as an annual percentage rate of average daily net assets for the ActiveBeta® Emerging Markets Equity ETF is 0.05%. This Other Expense limitation will remain in effect permanently and GSAM may not terminate the arrangement without the approval of the Trustees.

From the respective Funds’ inception dates until April 30, 2016 the Other Expense limitations as an annual percentage rate of average daily net assets for ActiveBeta® Europe Equity ETF, ActiveBeta® International Equity ETF, ActiveBeta® Japan Equity ETF and ActiveBeta® U.S. Large Cap Equity ETF were 0.05%, 0.05%, 0.05% and 0.02%, respectively.

 

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GOLDMAN SACHS ETF TRUST

 

 

 

4. AGREEMENTS AND AFFILIATED TRANSACTIONS (continued)

 

For the fiscal year ended August 31, 2016, these expense reductions, including any fee waivers and Other Expense reimbursements, were as follows:

 

           Management
Fee Waiver
       Other
Expense
Reimbursements
       Total
Expense
Reductions
 

ActiveBeta® Emerging Markets Equity ETF

   $         $ 674,705         $ 674,705   

ActiveBeta® Europe Equity ETF

     5,127           70,826           75,953   

ActiveBeta® International Equity ETF

     17,143           317,063           334,206   

ActiveBeta® Japan Equity ETF

     4,985           70,862           75,847   

ActiveBeta® U.S. Large Cap Equity ETF

     46,703           346,666           393,369   

 

5. CREATION AND REDEMPTION OF CREATION UNITS

The Trust issues and redeems shares of the Funds only in Creation Units on a continuous basis through the Distributor, without an initial sales load, at NAV next determined after receipt, on any Business Day (as defined in the Statement of Additional Information), of an order in proper form. Shares of the Funds may only be purchased or redeemed by certain financial institutions (each an “Authorized Participant”).

Authorized Participants transacting in Creation Units for cash may also pay a variable charge to compensate the relevant fund for certain transaction costs (e.g. taxes on currency or other financial transactions, and brokerage costs) and market impact expenses relating to investing in portfolio securities. Such variable charges, if any, are included in “Proceeds from sale of shares” in the Statements of Changes in Net Assets.

Share activity is as follows:

 

    ActiveBeta® Emerging Markets
Equity ETF(1)
     ActiveBeta® Europe
Equity  ETF(2)
 
    Shares      Dollars      Shares      Dollars  
 

 

 

 
Fund Share Activity           

Shares Sold

    30,800,000       $ 773,445,492         1,300,000       $ 32,846,660   

Shares Redeemed

                              

NET INCREASE IN SHARES

    30,800,000       $ 773,445,492         1,300,000       $ 32,846,660   
    ActiveBeta® International
Equity  ETF(3)
     ActiveBeta® Japan
Equity  ETF(2)
 
    Shares      Dollars      Shares      Dollars  
 

 

 

 
Fund Share Activity           

Shares Sold

    11,500,000       $ 276,879,195         1,200,000       $ 30,942,517   

Shares Redeemed

                              

NET INCREASE IN SHARES

    11,500,000       $ 276,879,195         1,200,000       $ 30,942,517   

 

81


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

5. CREATION AND REDEMPTION OF CREATION UNITS (continued)

 

    ActiveBeta® U.S. Large Cap
Equity ETF(4)
        
    Shares     Dollars                
 

 

 

       
Fund Share Activity          

Shares Sold

    27,750,000      $ 1,168,663,742         

Shares Redeemed

    (1,350,000     (54,473,952      

NET INCREASE IN SHARES

    26,400,000      $ 1,114,189,790         

 

(1)   For the period September 25, 2015 (commencement of operations) through August 31, 2016.
(2)   For the period March 2, 2016 (commencement of operations) through August 31, 2016.
(3)   For the period November 6, 2015 (commencement of operations) through August 31, 2016.
(4)   For the period September 17, 2015 (commencement of operations) through August 31, 2016.

 

6. PORTFOLIO SECURITIES TRANSACTIONS

The cost of purchases and proceeds from sales of long-term securities for the fiscal year ended August 31, 2016, were as follows:

 

Fund         Purchases        Sales  

ActiveBeta® Emerging Markets Equity  ETF

       $ 688,814,647         $ 217,319,104   

ActiveBeta® Europe Equity ETF

         4,665,870           4,562,403   

ActiveBeta® International Equity ETF

         29,435,229           27,233,692   

ActiveBeta® Japan Equity ETF

         2,971,016           2,977,139   

ActiveBeta® U.S. Large Cap Equity ETF

         80,841,317           75,317,381   

The purchases and sales from in-kind creation and redemption transactions for the fiscal year ended August 31, 2016, were as follows:

 

Fund         Purchases        Sales  

ActiveBeta® Emerging Markets Equity  ETF

       $ 306,298,353         $   

ActiveBeta® Europe Equity ETF

         32,831,376             

ActiveBeta® International Equity ETF

         274,406,285             

ActiveBeta® Japan Equity ETF

         30,919,701             

ActiveBeta® U.S. Large Cap Equity ETF

         1,162,145,744           54,195,418   

 

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GOLDMAN SACHS ETF TRUST

 

 

 

7. TAX INFORMATION

 

The tax character of distributions paid during the fiscal year ended August 31, 2016 was as follows:

 

      ActiveBeta®
Emerging
Markets Equity
ETF
       ActiveBeta®
Europe Equity
ETF
       ActiveBeta®
International
Equity ETF
       ActiveBeta®
Japan Equity
ETF
       ActiveBeta®
U.S. Large Cap
Equity ETF
 

Distributions paid from:

                      

Ordinary Income*

   $ 7,161,211         $ 624,546         $ 1,996,958         $ 235,644         $ 5,150,101   

Net long-term capital gains

                                             3,991   

Total taxable distributions

   $ 7,161,211         $ 624,546         $ 1,996,958         $ 235,644         $ 5,154,092   

 

*   For tax purposes short-term capital gain distributions are considered ordinary income distributions.

As of August 31, 2016, the components of accumulated earnings (losses) on a tax-basis were as follows:

 

      ActiveBeta®
Emerging
Markets Equity
ETF
       ActiveBeta®
Europe Equity
ETF
       ActiveBeta®
International
Equity ETF
       ActiveBeta®
Japan Equity
ETF
       ActiveBeta®
U.S. Large Cap
Equity ETF
 

Undistributed ordinary income — net

   $ 6,046,124         $ 146,674         $ 1,138,375         $ 111,932         $ 3,305,579   

Undistributed long-term capital gains

                                               

Total undistributed earnings

   $ 6,046,124         $ 146,674         $ 1,138,375         $ 111,932         $ 3,305,579   

Timing differences (Post-October Loss Deferral)

   $ (11,689,355      $ (120,230      $ (482,853      $ (10,081      $ (1,088,518

Unrealized gains (losses) — net

   $ 95,606,087         $ 1,088,318         $ 6,227,804         $ 1,754,891         $ 36,687,197   

Total accumulated earnings (losses) net

   $ 89,962,856         $ 1,114,762         $ 6,883,326         $ 1,856,742         $ 38,904,258   

As of August 31, 2016, the Funds’ aggregate security unrealized gains and losses based on cost for U.S. federal income tax purposes were as follows:

 

      ActiveBeta®
Emerging
Markets Equity
ETF
       ActiveBeta®
Europe Equity
ETF
       ActiveBeta®
International
Equity ETF
       ActiveBeta®
Japan Equity
ETF
      

ActiveBeta®

U.S. Large Cap
Equity ETF

 

Tax Cost

   $ 766,627,951         $ 32,834,243         $ 276,392,061         $ 30,946,208         $ 1,116,203,844   

Gross unrealized gain

     108,200,424           2,145,954           11,847,117           2,723,149           59,519,680   

Gross unrealized loss

     (12,303,406        (1,056,056        (5,614,909        (968,014        (22,832,483

Net unrealized gains (losses) on securities

   $ 95,897,018         $ 1,089,898         $ 6,232,208         $ 1,755,135         $ 36,687,197   

Net unrealized gain/(loss) on other investments

     (290,931        (1,580        (4,404        (244          

Net unrealized gain/(loss)

   $ 95,606,087         $ 1,088,318         $ 6,227,804         $ 1,754,891         $ 36,687,197   

The difference between GAAP-basis and tax-basis unrealized gains (losses) is attributable primarily to wash sales, and differences in tax treatment of underlying fund investments, partnership investments, and passive foreign investment company investments.

 

83


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

7. TAX INFORMATION (continued)

 

In order to present certain components of the Funds' capital accounts on a tax-basis, certain reclassifications have been recorded to the Funds' accounts. These reclassifications have no impact on the net asset value of the Funds and result primarily from certain non-deductible expenses, realized capital gains taxes, redemptions in kind, dividend redesignations, and from differences in the tax treatment of foreign currency transactions, partnership investments, underlying fund investments and passive foreign investment company investments.

 

Fund         Paid-in
Capital
       Accumulated
Net Realized
Gain (Loss)
       Accumulated
Undistributed
Net Investment
Income (Loss)
 

ActiveBeta® Emerging Markets Equity  ETF

       $ (20,287      $ 99,983         $ (79,696

ActiveBeta® Europe Equity ETF

         (1,936        8,727           (6,791

ActiveBeta® International Equity ETF

         (5,271        (1,519        6,790   

ActiveBeta® Japan Equity ETF

         (1,911        (17,717        19,628   

ActiveBeta® U.S. Large Cap Equity ETF

         4,012,033           (4,028,955        16,922   

GSAM has reviewed the Funds' tax positions for all open tax years (the current and prior three years, as applicable) and has concluded that no provision for income tax is required in the Funds' financial statements. Such open tax years remain subject to examination and adjustment by tax authorities.

 

8. OTHER RISKS

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

Foreign and Emerging Countries Risk — Investing in foreign markets may involve special risks and considerations not typically associated with investing in the United States. Foreign securities may be subject to risk of loss because of more or less foreign government regulation, less public information and less economic, political and social stability in the countries in which the Fund invests. Loss may also result from the imposition of exchange controls, confiscations and other government restrictions by the United States or other governments, or from problems in registration, settlement or custody. 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 emerging markets, these risks may be more pronounced.

Foreign Custody Risk — The Funds that invest in foreign securities 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.

 

84


GOLDMAN SACHS ETF TRUST

 

 

 

8. OTHER RISKS (continued)

 

Index Risk — GSAM (the “Index Provider”) constructs each Fund’s Index in accordance with a rules-based methodology. A Fund will be negatively affected by general declines in the securities and asset classes represented in its Index. In addition, because the Funds are not “actively” managed, unless a specific security is removed from an Index, a Fund generally would not sell a security because the security’s issuer was in financial trouble. Market disruptions and regulatory restrictions could have an adverse effect on a Fund’s ability to adjust its exposure to the required levels in order to track the Index. A Fund also does not attempt to take defensive positions under any market conditions, including declining markets. Therefore, a Fund’s performance could be lower than funds that may actively shift their portfolio assets to take advantage of market opportunities or to lessen the impact of a market decline or a decline in the value of one or more issuers. The Index Provider relies on third party data it believes to be reliable in constructing each Index, but it does not guarantee the accuracy or availability of such third party data. Each Index is new and has a limited performance history. Errors in index data, index computation or the construction of an Index in accordance with its methodology may occur from time to time and may not be identified and corrected by the Index Provider for a period of time or at all, which may have an adverse impact on the applicable Fund and its shareholders. In addition, neither a Fund, the Investment Adviser nor the Index Provider can guarantee the availability or timeliness of the production of the Index.

Investments in Other Investment Companies Risk — As a shareholder of another investment company, including an 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.

Market and Credit Risks — In the normal course of business, the Fund trades financial instruments and enters into financial transactions where risk of potential loss exists due to changes in the market (market risk). Additionally, the 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.

Market Trading Risk — Each Fund faces numerous market trading risks, including disruptions to creations and redemptions, the existence of extreme market volatility or potential lack of an active trading market for Shares. If a shareholder purchases Shares at a time when the market price is at a premium to the NAV or sells Shares at a time when the market price is at a discount to the NAV, the shareholder may sustain losses. The Investment Adviser cannot predict whether Shares will trade below, at or above their NAV. Price differences may be due, in large part, to the fact that supply and demand forces at work in the secondary trading market for Shares will be closely related to, but not identical to, the same forces influencing the prices of the securities of a Fund’s Index trading individually or in the aggregate at any point in time.

Tracking Error Risk — Tracking error is the divergence of a Fund’s performance from that of its Index. The performance of a Fund may diverge from that of its Index for a number of reasons. Tracking error may occur because of transaction costs, a Fund’s holding of cash, differences in accrual of dividends, changes to its Index or the need to meet new or existing regulatory requirements. Unlike a Fund, the returns of an Index are not reduced by investment and other operating expenses, including the trading costs associated with implementing changes to its portfolio of investments. Tracking error risk may be heightened during times of market volatility or other unusual market conditions.

 

85


GOLDMAN SACHS ETF TRUST

 

Notes to Financial Statements (continued)

August 31, 2016

 

9. INDEMNIFICATIONS

 

Under the Trust’s organizational documents, its Trustees, officers, employees and agents are indemnified, to the extent permitted by the Act and state law, against certain liabilities that may arise out of performance of their duties to the Funds. Additionally, in the course of business, the Funds enter into contracts that contain a variety of indemnification clauses. The Funds’ maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, GSAM believes the risk of loss under these arrangements to be remote.

 

10. SUBSEQUENT EVENTS

Subsequent events after the Statements of Assets and Liabilities date have been evaluated and GSAM has concluded that there is no impact requiring adjustment or disclosure in the financial statements.

 

86


Report of Independent Registered Public

Accounting Firm

 

To the Board of Trustees of Goldman Sachs ETF Trust and Shareholders of the Goldman Sachs ActiveBeta® ETFs:

In our opinion, the accompanying statements of assets and liabilities, including the schedules of investments, and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of the Goldman Sachs ActiveBeta® Emerging Markets Equity ETF, Goldman Sachs ActiveBeta® Europe Equity ETF, Goldman Sachs ActiveBeta® International Equity ETF, Goldman Sachs ActiveBeta® Japan Equity ETF, and Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF (collectively the “Funds”), funds of the Goldman Sachs ETF Trust, at August 31, 2016, and the results of each of their operations, the changes in each of their net assets and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at August 31, 2016 by correspondence with the custodian, brokers, and the application of alternative auditing procedures where securities purchased confirmations had not been received, provide a reasonable basis for our opinion.

PricewaterhouseCoopers LLP

Boston, Massachusetts

October 21, 2016

 

87


GOLDMAN SACHS ETF TRUST

 

Fund Expenses — Six Month Period Ended 8/31/2016 (Unaudited)

As a shareholder you incur ongoing costs, which may include management fees; distribution and service (12b-1) fees; and other Fund expenses. This Example is intended to help you understand your ongoing costs (in dollars) of investing in Shares of the Funds and to compare these costs with the ongoing costs of investing in other exchange-traded funds.

The Example is based on an investment of $1,000 invested at the beginning of the period from March 1, 2016 (or commencement of operations) and held for the six months ended August 31, 2016, which represents a period of 184 days of a 366 day year (or less where indicated).

Actual Expenses — The first line in the table below provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000=8.6), then multiply the result by the number in the first line under the heading entitled “Expenses Paid” to estimate the expenses you paid on your account during this period.

Hypothetical Example for Comparison Purposes — The second line in the table below provides information about hypothetical account values and hypothetical expenses based on the Funds’ actual net expense ratios and an assumed rate of return of 5% per year before expenses, which is not the Funds’ actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Funds and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as redemption fees, or exchange fees. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

     ActiveBeta® Emerging Markets Equity ETF     ActiveBeta® Europe Equity ETF(1)     ActiveBeta® International Equity ETF     ActiveBeta® Japan Equity ETF(1)     ActiveBeta® U.S. Large Cap Equity ETF  
     Beginning
Account
Value
    Ending
Account
Value
8/31/2016
    Expenses
Paid
*
    Beginning
Account
Value
    Ending
Account
Value
8/31/2016
    Expenses
Paid
*
    Beginning
Account
Value
    Ending
Account
Value
8/31/2016
    Expenses
Paid
*
    Beginning
Account
Value
    Ending
Account
Value
8/31/2016
    Expenses
Paid
*
    Beginning
Account
Value
    Ending
Account
Value
8/31/2016
    Expenses
Paid
*
 

Actual based on NAV

  $ 1,000      $ 1,212.59      $ 2.50      $ 1,000      $ 1,062.30      $ 1.29      $ 1,000      $ 1,098.55      $ 1.32      $ 1,000      $ 1,071.70      $ 1.29      $ 1,000      $ 1,115.93      $ 0.48   

Hypothetical 5% return

  $ 1,000      $ 1,022.87   $ 2.29      $ 1,000      $ 1,023.88   $ 1.27      $ 1,000      $ 1,023.88   $ 1.27      $ 1,000      $ 1,023.88   $ 1.27      $ 1,000      $ 1,024.68   $ 0.46   

 

*   Expenses for each Fund are calculated using each Fund’s annualized net expense ratio, which represents the ongoing expenses as a percentage of net assets for the six months ended August 31, 2016. Expenses are calculated by multiplying the annualized net expense ratio by the average account value for the period; then multiplying the result by the number of days in the most recent fiscal year; and then dividing that result by the number of days in the fiscal year.

 

    The annualized net expense ratios for the period were as follows:

 

Fund        

ActiveBeta® Emerging Markets Equity ETF

     0.45

ActiveBeta® Europe Equity ETF

     0.25  

ActiveBeta® International Equity ETF

     0.25  

ActiveBeta® Japan Equity ETF

     0.25  

ActiveBeta® U.S. Large Cap Equity ETF

     0.09  

 

+   Hypothetical expenses are based on each Fund’s actual annualized net expense ratios and an assumed rate of return of 5% per year before expenses.

 

(1)   Fund commenced operations on March 2, 2016. Expenses are calculated using the Fund’s annualized expense ratio, multiplied by the ending value for the period, multiplied by 183/366 (to reflect commencement of operation).

 

 

88


GOLDMAN SACHS ETF TRUST

 

Statement Regarding Basis for Initial Approval of Management Agreement for Goldman Sachs ActiveBeta® Europe Equity ETF and Goldman Sachs ActiveBeta® Japan Equity ETF (Unaudited)

 

Background

The Goldman Sachs ActiveBeta® Europe Equity ETF and Goldman Sachs ActiveBeta® Japan Equity ETF (each, a “Fund” and together, the “Funds”) are newly-organized investment portfolios of Goldman Sachs ETF Trust (the “Trust”) that commenced investment operations on March 2, 2016. At a meeting held on April 16, 2015 (the “Meeting”) in connection with each Fund’s organization, the Trustees, including all of the Trustees present who are not parties to the Fund’s investment management agreement (the “Management Agreement”) or “interested persons” (as defined in the Investment Company Act of 1940, as amended) of any party thereto (the “Independent Trustees”) approved the Management Agreement with Goldman Sachs Asset Management, L.P. (the “Investment Adviser”).

At the Meeting, the Trustees reviewed the Management Agreement with respect to each Fund, including information regarding the terms of the Management Agreement; the nature, extent, and quality of the Investment Adviser’s anticipated services; the fees and expenses to be paid by the Fund; a comparison of the Fund’s proposed management fees and anticipated expenses with those paid by other similar exchange-traded funds (“ETFs”); the Investment Adviser’s proposal to limit certain expenses of the Fund that exceed a specified level; potential benefits to be derived by the Investment Adviser and its affiliates from their relationships with the Fund; and potential benefits to be derived by the Fund from its relationship with the Investment Adviser. Various information was also provided at prior meetings at which the Funds were discussed.

In connection with the Meeting, the Trustees received written materials and oral presentations on the topics covered. The Independent Trustees were advised by their independent legal counsel regarding their responsibilities under applicable law. In evaluating the Management Agreement at the Meeting, the Trustees relied upon information included in a presentation made by the Investment Adviser at the Meeting and information received at prior Board meetings. The Trustees also drew on information they had received in their capacity as Trustees of other registered investment companies sponsored by the Investment Adviser.

Nature, Extent, and Quality of the Services to be Provided Under the Management Agreement

As part of their review, the Trustees considered the nature, extent, and quality of the services to be provided by the Investment Adviser. In this regard, the Trustees considered the investment advisory services that would be provided to the Funds by the Investment Adviser. The Trustees also considered information about each Fund’s structure, investment objective, strategies, and other characteristics. In particular, they noted that the Funds would operate as passively-managed ETFs, which would seek to track proprietary indices created by the Investment Adviser. The Trustees noted the experience and capabilities of the key Investment Adviser personnel who would be providing services to the Funds. The Trustees considered the Investment Adviser’s extensive experience in managing quantitative investment strategies and its expertise in developing “smart beta” products that it had obtained through its acquisition of another investment management firm. The Trustees concluded that the Investment Adviser would be able to commit substantial financial and other resources to the Funds. They also considered that although the Funds were new (and therefore had no performance data to evaluate) and would be among the first ETFs managed by the Investment Adviser, the Investment Adviser had extensive experience managing other types of registered investment companies. The Trustees concluded that the Investment Adviser’s management of the Funds likely would benefit the Funds and their shareholders.

Costs of Services to be Provided and Profitability

The Trustees considered the contractual fee rates payable by the Funds under the Management Agreement, and the net amount expected to be retained by the Investment Adviser. In this regard, the Trustees considered information on the services to be rendered by the Investment Adviser to the Funds, which include advisory and non-advisory services directed to the needs and operations of the Funds as ETFs. The Trustees noted that no license fees would be payable to the Investment Adviser by the Funds for use of the indices created by the Investment Adviser. The Trustees also reviewed the Funds’ projected total operating expense ratios (both gross and net of expense limitations). They compared the Funds’ projected fees and expenses to similar information for comparable ETFs advised by other, unaffiliated investment management firms, as well as the peer group and category medians. The comparisons of the Funds’ fee rates and total operating expense ratios were prepared by a third-party provider of mutual fund data. The Trustees concluded that this information was useful in evaluating the reasonableness of the management fees and total expenses expected to be paid by the Funds.

In addition, the Trustees considered the Investment Adviser’s undertaking to limit certain expenses of the Funds that exceed a specified level. The Trustees recognized that there was not yet profitability data to evaluate for the Funds, but considered the Investment Adviser’s representations that (i) such data would be provided after the Funds commenced operations, and (ii) the Funds were not expected to be profitable to the Investment Adviser and its affiliates initially.

 

89


GOLDMAN SACHS ETF TRUST

 

Statement Regarding Basis for Initial Approval of Management Agreement for Goldman Sachs ActiveBeta® Europe Equity ETF and Goldman Sachs ActiveBeta® Japan Equity ETF (Unaudited) (continued)

 

Economies of Scale

The Trustees noted that the Funds will not have management fee breakpoints. They considered the Funds’ projected asset levels and information comparing the fee rates charged by the Investment Adviser with fee rates charged to other ETFs in the peer groups, as well as the Investment Adviser’s undertaking to limit certain expenses of the Funds that exceed a specified level. The Trustees recognized that if the assets of the Funds increase over time, the Funds and their shareholders could realize economies of scale as certain Fund expenses, such as certain fixed fees, become a smaller percentage of overall assets.

Other Benefits to the Investment Adviser and Its Affiliates

The Trustees also considered the other benefits expected to be derived by the Investment Adviser and its affiliates from their relationships with the Fund, including: (a) the Investment Adviser’s ability to leverage the infrastructure designed to service the Funds on behalf of its other clients; (b) the Investment Adviser’s ability to cross-market other products and services to Fund shareholders; (c) the Investment Adviser’s ability to negotiate better pricing with custodians on behalf of its other clients, as a result of the relationship with the Funds; and (d) the possibility that the working relationship between the Investment Adviser and the Funds’ third-party service providers may cause those service providers to be open to doing business with other areas of Goldman, Sachs & Co. (“Goldman Sachs”).

Other Benefits to the Funds and Their Shareholders

The Trustees also noted that the Funds receive (or are expected to receive) certain potential benefits as a result of their relationships with the Investment Adviser, including: (a) improved servicing and pricing from vendors because of the volume of business generated by the Investment Adviser and its affiliates; (b) the Investment Adviser’s ability to hire and retain qualified personnel to provide services to the Funds because of the reputation of the Goldman Sachs organization; and (c) the Funds’ access to certain affiliated distribution channels.

Conclusion

In connection with their consideration of the Management Agreement for the Funds at the Meeting, the Trustees gave weight to various factors, but did not identify any particular factor as controlling their decision. After deliberation and consideration of the information provided, including the factors described above, the Trustees concluded, in the exercise of their business judgment, that the investment management fees were reasonable. The Trustees concluded that the engagement of the Investment Adviser likely would benefit the Funds and their shareholders and that the Management Agreement should be approved with respect to each Fund for a period of two years.

 

90


GOLDMAN SACHS ETF TRUST

 

Statement Regarding Basis for Approval of Management Agreement for All Funds except ActiveBeta® Emerging Markets Equity ETF (Unaudited)

 

Background

The Goldman Sachs ActiveBeta® Europe Equity ETF, Goldman Sachs ActiveBeta® International Equity ETF, Goldman Sachs ActiveBeta® Japan Equity ETF and Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF (each, a “Fund” and together, the “Funds”) are investment portfolios of Goldman Sachs ETF Trust (the “Trust”). The Board of Trustees oversees the management of the Trust and determines whether to approve changes to the Trust’s investment management agreement (the “Management Agreement”) with Goldman Sachs Asset Management, L.P. (the “Investment Adviser”) on behalf of the Funds. At a meeting held on April 12, 2016 (the “Meeting”) the Trustees, including all of the Trustees present who are not parties to the Management Agreement or “interested persons” (as defined in the Investment Company Act of 1940, as amended) of any party thereto (the “Independent Trustees”) approved the new Management Agreement with the Investment Adviser.

At the Meeting, the Trustees reviewed the new Management Agreement with respect to each Fund, including information regarding the terms of the Management Agreement; the nature, extent, and quality of the services provided to the Fund by the Investment Adviser; the unitary fee structure of the Fund; a comparison of the Fund’s proposed unitary fee with the fees and expenses paid by other similar exchange-traded funds (“ETFs”); potential benefits derived by the Investment Adviser and its affiliates from their relationships with the Fund; and potential benefits derived by the Fund from its relationship with the Investment Adviser.

In connection with the Meeting, the Trustees received written materials and oral presentations on the topics covered. The Independent Trustees were advised by their independent legal counsel regarding their responsibilities under applicable law. In evaluating the Management Agreement at the Meeting, the Trustees relied upon information included in a presentation made by the Investment Adviser at the Meeting and information received at prior Board meetings. The Trustees also drew on information they had received in their capacity as Trustees of other registered investment companies sponsored by the Investment Adviser.

Nature, Extent, and Quality of the Services Provided Under the Management Agreement

With regard to the nature, extent, and quality of the services provided by the Investment Adviser, the Trustees considered both the investment advisory services, and the other, non-advisory services that are provided to the Funds by the Investment Adviser and its affiliates. The Trustees considered that under the new Management Agreement, the Funds would pay a single fee to the Investment Adviser, and the Investment Adviser would pay all of the Funds’ ordinary operating expenses, including transfer agency, custody, administration, legal, and audit fees. They considered that the unitary fee rate for each Fund would be lower than its respective management fee rate under the previous management agreement. The Trustees also considered information about each Fund’s structure, investment objective, strategies, and other characteristics. In particular, they noted that the Funds are passively-managed ETFs that seek to track proprietary indices created by the Investment Adviser. The Trustees noted the experience and capabilities of the key Investment Adviser personnel who provide services to the Funds. In particular, the Trustees considered the Investment Adviser’s extensive experience in managing quantitative investment strategies and its expertise in developing “smart beta” products. The Trustees concluded that the Investment Adviser commits substantial financial and operational resources to the Funds and expressed confidence that the Investment Adviser would continue to do so in the future. The Trustees concluded that each Fund did not yet have a meaningful performance history.

Unitary Fee Structure and Profitability

The Trustees considered the contractual unitary fee rates which would be payable by the Funds under the Management Agreement. In this regard, the Trustees considered information on the services rendered by the Investment Adviser to the Funds, which include both advisory and administrative services directed to the needs and operations of the Funds as ETFs. The Trustees considered the new unitary fee structure, pursuant to which the Funds would pay a single fee to the Investment Adviser and the Investment Adviser would then pay all of the Funds’ ordinary operating expenses. They considered that the fee change would be favorable to each Fund’s shareholders, in that the unitary fee rate for each Fund would be lower than its respective management fee rate under the previous management agreement. The Trustees also considered information provided at previous Board meetings regarding fees and expenses of comparable ETFs advised by other, unaffiliated investment management firms, as well as the peer group and category medians. The Trustees concluded that this information was useful in evaluating the reasonableness of the unitary fee to be paid by the Funds. The Trustees recognized that they would evaluate profitability data for the Funds at a future meeting of the Board of Trustees.

Economies of Scale

The Trustees noted that the Funds would not have management fee breakpoints. They considered the Funds’ asset levels and information comparing the fee rates charged by the Investment Adviser with fee rates charged to other ETFs in the peer groups.

 

91


GOLDMAN SACHS ETF TRUST

 

Statement Regarding Basis for Approval of Management Agreement for All Funds except ActiveBeta® Emerging Markets Equity ETF (Unaudited) (continued)

 

The Trustees considered information previously provided regarding the amounts of assets in each Fund, the Funds’ recent creation and redemption activity, and the costs of the services provided by the Investment Adviser and its affiliates. The Trustees recognized that if the assets of a Fund increase over time, the Fund and its shareholders could realize economies of scale as certain Fund expenses, such as certain fixed fees, become a smaller percentage of overall assets.

Other Benefits to the Investment Adviser and Its Affiliates

The Trustees also considered the other benefits derived by the Investment Adviser and its affiliates from their relationships with the Funds, including: (a) the Investment Adviser’s ability to leverage the infrastructure designed to service the Funds on behalf of its other clients; (b) the Investment Adviser’s ability to cross-market other products and services to Fund shareholders; (c) the Investment Adviser’s ability to negotiate better pricing with custodians on behalf of its other clients, as a result of the relationship with the Funds; and (d) the possibility that the working relationship between the Investment Adviser and the Funds’ third party service providers may cause those service providers to be open to doing business with other areas of Goldman, Sachs & Co. (“Goldman Sachs”).

Other Benefits to the Funds and Their Shareholders

The Trustees observed that the Funds receive (or are expected to receive) certain potential benefits as a result of their relationship with the Investment Adviser, including: (a) improved servicing and pricing from vendors because of the volume of business generated by the Investment Adviser and its affiliates; (b) the Investment Adviser’s ability to hire and retain qualified personnel to provide services to the Funds because of the reputation of the Goldman Sachs organization; and (c) the Funds’ access to certain affiliated distribution channels.

Conclusion

In connection with their consideration of the Management Agreement, the Trustees gave weight to various factors, but did not identify any particular factor as controlling their decision. After deliberation and consideration of the information provided, including the factors described above, the Trustees concluded, in the exercise of their business judgment, that the unitary fee paid by each Fund was reasonable in light of the services provided to it by the Investment Adviser, its costs, and the Fund’s current and/or reasonably foreseeable asset levels, and that the Management Agreement would likely benefit each Fund and its shareholders and should be approved and continued with respect to the Fund until April 16, 2017.

 

92


GOLDMAN SACHS ETF TRUST

 

Trustees and Officers (Unaudited)

Independent Trustees

 

Name,

Address and Age1

 

Position(s) Held

with the Trust

 

Term of

Office and

Length of

Time Served2

 

Principal Occupation(s)

During Past 5 Years

 

Number of

Portfolios in

Fund Complex

Overseen by

Trustee3

 

Other

Directorships

Held by Trustee4

Ashok N. Bakhru

Age: 74

  Chairman of the Board of Trustees   Since 2014  

Mr. Bakhru is retired. He was formerly Director, Apollo Investment Corporation (a business development company) (2008-2013); President, ABN Associates (a management and financial consulting firm) (1994-1996 and 1998-2012); Trustee, Scholarship America (1998-2005); Trustee, Institute for Higher Education Policy (2003-2008); Director, Private Equity Investors — III and IV (1998-2007), and Equity-Linked Investors II (April 2002-2007).

 

Chairman of the Board of Trustees — Goldman Sachs ETF Trust; Goldman Sachs Trust; Goldman Sachs Variable Insurance Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.; Goldman Sachs Private Middle Market Credit LLC; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  141   None

John P. Coblentz, Jr.

Age: 75

  Trustee   Since 2014  

Mr. Coblentz is retired. Formerly, he was Partner, Deloitte & Touche LLP (a professional services firm) (1975-2003); Director, Emerging Markets Group, Ltd. (a consulting company) (2004-2006); and Director, Elderhostel, Inc. (a not-for-profit organization) (2006-2012). Previously, Mr. Coblentz served as Trustee of Goldman Sachs Trust and Goldman Sachs Variable Insurance Trust (2003-2015).

 

Trustee — Goldman Sachs ETF Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.; Goldman Sachs Private Middle Market Credit LLC; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  35   None

Linda A. Lang

Age: 58

  Trustee   Since 2016  

Ms. Lang is retired. She is Director, WD-40 Company (2004-Present); and was formerly Chairman and Chief Executive Officer (2005-2014); and Director, President and Chief Operating Officer, Jack in the Box, Inc. (a restaurant company) (2003-2005).

 

Trustee — Goldman Sachs ETF Trust; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  17   WD-40 Company (a global consumer products company)

Michael Latham

Age: 51

  Trustee   Since 2015  

Mr. Latham is retired. Formerly, he held senior management positions with the iShares exchange-traded fund business, including Chairman (2011-2014); Global Head (2010-2011); U.S. Head (2007-2010); and Chief Operating Officer (2003-2007).

 

Trustee — Goldman Sachs ETF Trust; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  17   None

Lawrence W. Stranghoener

Age: 62

  Trustee   Since 2015  

Mr. Stranghoener is retired. He is Chairman of the Board of Directors, Kennametal, Inc. (2003-Present); Director, Aleris Corporation and Aleris International, Inc. (2011-Present); and was formerly Interim Chief Executive Officer (2014); and Executive Vice President and Chief Financial Officer (2004-2014, Mosaic Company (a fertilizer manufacturing company).

 

Trustee — Goldman Sachs ETF Trust; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  17   Kennametal Inc. (a global manufacturer and distributor of tooling and industrial materials)
         

 

93


GOLDMAN SACHS ETF TRUST

 

Trustees and Officers (Unaudited) (continued)

Independent Trustees (continued)

 

Name,

Address and Age1

 

Position(s) Held

with the Trust

 

Term of

Office and

Length of

Time Served2

 

Principal Occupation(s)

During Past 5 Years

 

Number of

Portfolios in

Fund Complex

Overseen by

Trustee3

 

Other

Directorships

Held by Trustee4

Richard P. Strubel

Age: 77

  Trustee   Since 2014  

Mr. Strubel is retired. Formerly, he served as Chairman of the Board of Trustees, Northern Funds (a family of retail and institutional mutual funds managed by Northern Trust Investments, Inc.) (2008-2014) and Trustee (1982-2014); Director, Cardean Learning Group (provider of educational services via the internet) (2003-2008); and Director, Gildan Activewear Inc. (a clothing marketing and manufacturing company) (2000-2014). He serves as Trustee Emeritus, The University of Chicago (1987-Present). Previously, Mr. Strubel served as Trustee of Goldman Sachs Trust (1987-2015) and Goldman Sachs Variable Insurance Trust (1997-2015).

 

Trustee — Goldman Sachs ETF Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.; Goldman Sachs Private Middle Market Credit LLC; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  35   None
         

Interested Trustee*

 

Name,

Address and Age1

 

Position(s) Held

with the Trust

 

Term of

Office and

Length of

Time Served2

 

Principal Occupation(s)

During Past 5 Years

 

Number of

Portfolios in

Fund Complex

Overseen by

Trustee3

 

Other

Directorships

Held by Trustee4

James A. McNamara

Age: 54

  Trustee and President   Since 2014  

Managing Director, Goldman Sachs (December 1998-Present); Director of Institutional Fund Sales, GSAM (April 1998-December 2000); and Senior Vice President and Manager, Dreyfus Institutional Service Corporation (January 1993-April 1998).

 

President and Trustee — Goldman Sachs ETF Trust; Goldman Sachs Trust; Goldman Sachs Variable Insurance Trust; Goldman Sachs Trust II; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

  139   None
         
*   This person is considered to be an “Interested Trustee” because he holds a position with Goldman Sachs and own securities issued by The Goldman Sachs Group, Inc. The Interested Trustee holds comparable positions with certain other companies of which Goldman Sachs, GSAM or an affiliate thereof is the investment adviser, administrator and/or distributor.
1    Each Trustee may be contacted by writing to the Trustee, c/o Goldman Sachs, 200 West Street, New York, New York, 10282, Attn: Caroline L. Kraus. Information is provided as of August 31, 2016.
2    Each Trustee holds office for an indefinite term until the earliest of: (a) the election of his or her successor; (b) the date the Trustee resigns, retires or is removed by the Board of Trustees or shareholders, in accordance with the Trust’s Declaration of Trust; or (c) the termination of the Trust.
3    The Goldman Sachs Fund Complex includes certain other companies listed above for each respective Trustee. As of August 31, 2016, Goldman Sachs ETF Trust consisted of 15 portfolios (seven of which offered shares to the public); Goldman Sachs Trust consisted of 92 portfolios (91 of which offered shares to the public); Goldman Sachs Variable Insurance Trust consisted of 14 portfolios; Goldman Sachs Trust II consisted of 16 portfolios (15 of which offered shares to the public); and Goldman Sachs BDC, Inc., Goldman Sachs Private Middle Market Credit LLC, Goldman Sachs MLP Income Opportunities Fund, and Goldman Sachs MLP and Energy Renaissance Fund each consisted of one portfolio. Goldman Sachs Private Middle Market Credit LLC does not offer shares to the public.
4    This column includes only directorships of companies required to report to the Securities and Exchange Commission under the Securities Exchange Act of 1934 (i.e., “public companies”) or other investment companies registered under the Act.

Additional information about the Trustees is available in the Funds’ Statement of Additional Information, which can be obtained from Goldman Sachs free of charge by calling this toll-free number (in the United States of America): 1-800-526-7384.

 

94


GOLDMAN SACHS ETF TRUST

 

Trustees and Officers (Unaudited)(continued)

Officers of the Trust*

 

Name, Address and Age1  

Positions Held

with the Trust

 

Term of

Office and
Length of
Time Served2

  Principal Occupation(s) During Past 5 Years

James A. McNamara

200 West Street

New York, NY 10282

Age: 54

  Trustee and President   Since 2014  

Managing Director, Goldman Sachs (December 1998-Present); Director of Institutional Fund Sales, GSAM (April 1998-December 2000); and Senior Vice President and Manager, Dreyfus Institutional Service Corporation (January 1993-April 1998).

 

President and Trustee — Goldman Sachs ETF Trust; Goldman Sachs Trust; Goldman Sachs Variable Insurance Trust; Goldman Sachs Trust II; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

Caroline L. Kraus

200 West Street

New York, NY 10282

Age: 39

  Secretary   Since 2014  

Managing Director, Goldman Sachs (January 2016 – Present); Vice President, Goldman Sachs (August 2006-December 2015); Associate General Counsel, Goldman Sachs (2012-Present); Assistant General Counsel, Goldman Sachs (August 2006-December 2011); and Associate, Weil, Gotshal & Manges, LLP (2002-2006).

 

Secretary — Goldman Sachs ETF Trust; Goldman Sachs Trust (previously Assistant Secretary (2012)); Goldman Sachs Variable Insurance Trust (previously Assistant Secretary (2012)); Goldman Sachs Trust II; Goldman Sachs BDC, Inc.; Goldman Sachs Private Middle Market Credit LLC; Goldman Sachs Middle Market Lending LLC; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

Scott M. McHugh

200 West Street

New York, NY 10282

Age: 45

  Treasurer, Senior Vice President and Principal Financial Officer   Since 2014  

Managing Director, Goldman Sachs (January 2016-Present); Vice President, Goldman Sachs (February 2007-December 2015); Assistant Treasurer of certain mutual funds administered by DWS Scudder (2005-2007); and Director (2005-2007), Vice President (2000-2005), and Assistant Vice President (1998-2000), Deutsche Asset Management or its predecessor (1998-2007).

 

Treasurer, Senior Vice President and Principal Financial Officer — Goldman Sachs ETF Trust; Goldman Sachs Trust; Goldman Sachs Variable Insurance Trust; Goldman Sachs Trust II; Goldman Sachs MLP Income Opportunities Fund; and Goldman Sachs MLP and Energy Renaissance Fund.

     
*   Represents a partial list of officers of the Trust. Additional information about all the officers is available in the Funds’ Statement of Additional Information, which can be obtained from Goldman Sachs free of charge by calling this toll-free number (in the United States): 1-800-621-2550.
1    Information is provided as of August 31, 2016.
2    Officers hold office at the pleasure of the Board of Trustees or until their successors are duly elected and qualified. Each officer holds comparable positions with certain other companies of which Goldman Sachs, GSAM or an affiliate thereof is the investment adviser, administrator and/or distributor.

 

95


GOLDMAN SACHS ETF TRUST

 

 

 

Goldman Sachs ActiveBeta® ETFs — Tax Information (Unaudited)

From distributions paid during the year ended August 31, 2016, the total amount of income received by the ActiveBeta® Emerging Markets Equity ETF and ActiveBeta® International Equity ETF from sources within foreign countries and possessions of the United States was $0.0870 and $0.0152 per share, respectively, all of which is attributable to qualified passive income. The percentage of net investment income dividends paid from foreign sources by the ActiveBeta® Emerging Markets Equity ETF and ActiveBeta® International Equity ETF were 100% and 100%, respectively. The total amount of taxes paid by the ActiveBeta® Emerging Markets Equity ETF and ActiveBeta® International Equity ETF to such countries was $0.0122, and $0.0047 per share, respectively.

For the year ended August 31, 2016, 100% of the dividends paid from net investment company taxable income by the ActiveBeta® Emerging Markets Equity ETF, ActiveBeta® International Equity ETF, and ActiveBeta® U.S. Large Cap Equity ETF qualify for the reduced tax rate under the Jobs and Growth Tax Relief and Reconciliation Act of 2003.

For the year ended August 31, 2016, 87.19% of the dividends paid from net investment company taxable income by the ActiveBeta® U.S. Large Cap Equity ETF qualify for the dividends received deduction available to corporations.

Pursuant to Section 852 of the Internal Revenue Code, the ActiveBeta® U.S. Large Cap Equity ETF designates $3,991, or if different, the maximum amount allowable, as capital gain dividends paid during the fiscal year ended August 31, 2016.

During the year ended August 31, 2016, the ActiveBeta® Emerging Markets Equity ETF designates $1,581 as short-term capital gain dividends pursuant to Section 871(k) of the Internal Revenue Code.

 

 

96


FUNDS PROFILE

 

Goldman Sachs ETFs

 

LOGO

 

Goldman Sachs is a premier financial services firm, known since 1869 for creating thoughtful and customized investment solutions in complex global markets.

Today, the Investment Management Division of Goldman Sachs serves a diverse set of clients worldwide, including private institutions, public entities and individuals. With approximately $1.12 trillion in assets under supervision as of June 30, 2016, Goldman Sachs Asset Management (“GSAM”) has portfolio management teams located around the world and our investment professionals bring firsthand knowledge of local markets to every investment decision. Assets under supervision includes assets under management and other client assets for which Goldman Sachs does not have full discretion. GSAM leverages the resources of Goldman, Sachs & Co. subject to legal, internal and regulatory restrictions.

 

GOLDMAN SACHS EXCHANGE-TRADED FUNDS
Goldman Sachs ActiveBeta® Emerging Markets Equity ETF
Goldman Sachs ActiveBeta® Europe Equity ETF
Goldman Sachs ActiveBeta® International Equity ETF
Goldman Sachs ActiveBeta® Japan Equity ETF
Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF

INDEX DISCLAIMERS

The MSCI Emerging Markets Index, MSCI Europe Index, MSCI World ex USA Index and MSCI Japan Index (the “MSCI Indices”) were used by GSAM as the reference universe for selection of the companies included in the Goldman Sachs ActiveBeta® Emerging Markets Equity Index, Goldman Sachs ActiveBeta® Europe Equity Index, Goldman Sachs ActiveBeta® International Equity Index and Goldman Sachs ActiveBeta® Japan Equity Index (the “ActiveBeta® Indices”), respectively. MSCI Inc. does not in any way sponsor, support, promote or endorse the ActiveBeta® Indices or the Goldman Sachs ActiveBeta® Emerging Markets Equity ETF, Goldman Sachs ActiveBeta® Europe Equity ETF, Goldman Sachs ActiveBeta® International Equity ETF or Goldman Sachs ActiveBeta® Japan Equity ETF (the “ActiveBeta® ETFs” or the “Funds”). MSCI Inc. was not and is not involved in any way in the creation, calculation, maintenance or review of the ActiveBeta® Indices. The MSCI Indices were provided on an “as is” basis. MSCI Inc., its affiliates and any other person or entity involved in or related to compiling, computing or creating the MSCI Indices (collectively, the “MSCI Parties”) expressly disclaim all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non-infringement, merchantability and fitness for a particular purpose). Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including without limitation lost profits) or any other damages in connection with the MSCI Indices, the ActiveBeta® ETFs or the ActiveBeta® Indices.

The Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF is not sponsored, promoted, sold or supported in any other manner by Solactive AG nor does Solactive AG offer any express or implicit guarantee or assurance either with regard to the results of using the Solactive US Large Cap Index (the “Solactive Index”) and/or Solactive Index trade mark or the Solactive Index Price at any time or in any other respect. The Solactive Index is calculated and published by Solactive AG. Solactive AG uses its best efforts to ensure that the Solactive Index is calculated correctly. Irrespective of its obligations towards Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF, Solactive AG has no obligation to point out errors in the Solactive Index to third parties including but not limited to investors and/or financial intermediaries of Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF. Neither publication of the Solactive Index by Solactive AG nor the licensing of the Solactive Index or Solactive Index trade mark for the purpose of use in connection with the Goldman Sachs ActiveBeta® U.S. Large Cap Equity ETF constitutes a recommendation by Solactive AG to invest capital in said fund nor does it in any way represent an assurance or opinion of Solactive AG with regard to any investment in this fund.

The ActiveBeta® Indices are trademarks of Goldman Sachs Asset Management, L.P. and have been licensed for use by Goldman Sachs ETF Trust.

GOLDMAN SACHS ASSET MANAGEMENT, L.P., THE GOLDMAN SACHS GROUP, INC., AND GOLDMAN, SACHS & CO. (COLLECTIVELY, “GOLDMAN SACHS”) DOES NOT GUARANTEE NOR MAKE ANY REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, TO THE OWNERS OR SHAREHOLDERS OF THE FUNDS OR ANY MEMBER OF THE PUBLIC REGARDING THE ADVISABILITY OF INVESTING IN SECURITIES GENERALLY OR IN A FUND PARTICULARLY OR THE ABILITY OF THE ACTIVEBETA® INDICES TO TRACK GENERAL MARKET PERFORMANCE. GOLDMAN SACHS, IN ITS CAPACITY AS THE INDEX PROVIDER OF THE ACTIVEBETA® INDICES, LICENSES CERTAIN TRADEMARKS AND TRADE NAMES TO THE FUNDS. GOLDMAN SACHS HAS NO OBLIGATION TO TAKE THE NEEDS OF THE FUNDS OR THE SHAREHOLDERS OF THE FUNDS INTO CONSIDERATION IN DETERMINING, COMPOSING OR CALCULATING THE ACTIVEBETA® INDICES. GOLDMAN SACHS OR ANY OF ITS AFFILIATES MAY HOLD LONG OR SHORT POSITIONS IN SECURITIES HELD BY A FUND OR IN RELATED DERIVATIVES.

GOLDMAN SACHS DOES NOT GUARANTEE THE ADEQUACY, TIMELINESS, ACCURACY AND/OR THE COMPLETENESS OF THE ACTIVEBETA® INDICES OR ANY DATA RELATED THERETO. GOLDMAN SACHS HEREBY EXPRESSLY DISCLAIMS ANY AND ALL LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN OR IN THE CALCULATION THEREOF. GOLDMAN SACHS MAKES NO WARRANTY, EXPRESS OR IMPLIED, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE MARKS, THE ACTIVEBETA® INDICES OR ANY DATA INCLUDED THEREIN AS TO THE RESULTS TO BE OBTAINED BY A FUND, THE SHAREHOLDERS, OR ANY OTHER PERSON OR ENTITY FROM USE OF THE ACTIVEBETA® INDICES OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, GOLDMAN SACHS HEREBY EXPRESSLY DISCLAIMS ANY AND ALL LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF ADVISED OF THE POSSIBILITY OF SUCH DAMAGES.


TRUSTEES

Ashok N. Bakhru, Chairman

John P. Coblentz Jr.

Caroline Dorsa*

Linda A. Lang

Michael Latham

James A. McNamara

Lawrence W. Stranghoener

Richard P. Strubel

 

OFFICERS

James A. McNamara, President

Scott M. McHugh, Principal Financial Officer, Senior Vice President and Treasurer

Caroline L. Kraus, Secretary

THE BANK OF NEW YORK MELLON

Transfer Agent

 

ALPS DISTRIBUTORS, INC.

Distributor

  GOLDMAN SACHS ASSET MANAGEMENT, L.P. Investment Adviser

* Effective as of September 15, 2016, Caroline Dorsa was appointed as a Trustee.

Visit our Website at www.GSAMFUNDS.com to obtain the most recent month-end returns.

Goldman Sachs Asset Management, L.P., 200 West Street, New York, New York 10282

The reports concerning the Funds included in this shareholder report may contain certain forward-looking statements about the factors that may affect the performance of the Funds in the future. These statements are based on Fund management’s predictions and expectations concerning certain future events and their expected impact on the Funds, such as performance of the economy as a whole and of specific industry sectors, changes in the levels of interest rates, the impact of developing world events, and other factors that may influence the future performance of the Funds. Management believes these forward-looking statements to be reasonable, although they are inherently uncertain and difficult to predict. Actual events may cause adjustments in portfolio management strategies from those currently expected to be employed.

A description of the policies and procedures that the Funds use to determine how to vote proxies relating to portfolio securities and information regarding how a Fund voted proxies relating to portfolio securities for the most recent 12-month period ended June 30, are available (i) without charge, upon request by calling 1-800-621-2550; and (ii) on the Securities and Exchange Commission (“SEC’’) web site at http://www.sec.gov.

The Funds file their complete schedule of portfolio holdings with the Securities and Exchange Commission (“SEC”) for the first and third quarters of each fiscal year on Form N-Qs. The Fund’s Form N-Qs are available on the SEC’s web site at http://www.sec.gov within 60 days after the Fund’s first and third fiscal quarters. The Fund’s Form N-Qs may be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C., and information on the operation of the Public Reference Room may also be obtained by calling 1-800-SEC-0330. Form N-Qs may be obtained upon request and without charge by calling 1-800-621-2550.

Fund holdings and allocations shown are as of August 31, 2016 and may not be representative of future investments. Fund holdings should not be relied on in making investment decisions and should not be construed as research or investment advice regarding particular securities. Current and future holdings are subject to risk.

The Global Industry Classification Standard (GICS) was developed by and is the exclusive property and a service mark of Morgan Stanley Capital International Inc. (MSCI) and Standard & Poor’s, a division of The McGraw-Hill Companies, Inc. (S&P) and is licensed for use by Goldman Sachs. Neither MSCI, S&P nor any other party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any of such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of their affiliates or any third party involved in making or compiling the GICS or any GICS classifications have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

Economic and market forecasts presented herein reflect our judgment as of the date of this presentation and are subject to change without notice. These forecasts do not take into account the specific investment objectives, restrictions, tax and financial situation or other needs of any specific client. Actual data will vary and may not be reflected here. These forecasts are subject to high levels of uncertainty that may affect actual performance. Accordingly, these forecasts should be viewed as merely representative of a broad range of possible outcomes. These forecasts are estimated, based on assumptions, and are subject to significant revision and may change materially as economic and market conditions change. Goldman Sachs has no obligation to provide updates or changes to these forecasts. Case studies and examples are for illustrative purposes only.

ETF Fund shares are not individually redeemable and are issued and redeemed by the Fund at their net asset value (“NAV”) only in large, specified blocks of shares called creation units. Shares otherwise can be bought and sold only through exchange trading at market price (not NAV). Shares may trade at a premium or discount to their NAV in the secondary market. Brokerage commissions will reduce returns. ALPS Distributors, Inc. is the distributor of the Goldman Sachs ETF Funds. ALPS Distributors, Inc. is unaffiliated with Goldman Sachs Asset Management.

This material is not authorized for distribution to prospective investors unless preceded or accompanied by a current Prospectus or summary prospectus, if applicable. Investors should consider a Fund’s objective, risks, and charges and expenses, and read the summary prospectus, if available, and/or the Prospectus carefully before investing or sending money. The summary prospectus, if available, and the Prospectus contain this and other information about a Fund and may be obtained from your authorized dealer or from Goldman, Sachs & Co. by calling 1-800-621-2550.

© 2016 Goldman Sachs. All rights reserved. 67096.MF.TMPL.10/2016 ACTBETAAR-16.GST281.10/21/2017.11841


ITEM 2. CODE OF ETHICS.

(a) As of the end of the period covered by this report, the registrant has adopted a code of ethics that applies to the registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the registrant or a third party (the “Code of Ethics”).

(b) During the period covered by this report, no amendments were made to the provisions of the Code of Ethics.

(c) During the period covered by this report, the registrant did not grant any waivers, including an implicit waiver, from any provision of the Code of Ethics.

(d) A copy of the Code of Ethics is available as provided in Item 12(a)(1) of this report.

 

ITEM 3. AUDIT COMMITTEE FINANCIAL EXPERT.

The registrant’s board of trustees has determined that the registrant has at least one “audit committee financial expert” (as defined in Item 3 of Form N-CSR) serving on its audit committee. John P. Coblentz, Jr. is the “audit committee financial expert” and is “independent” (as each term is defined in Item 3 of Form N-CSR).

 

ITEM 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES.

The following disclosure relates to the independence of PricewaterhouseCoopers LLP (“PwC”) with respect to SEC Rule 2-01(c)(1)(ii)(A) of Regulation S-X (the “Loan Rule”). The Loan Rule prohibits accounting firms, such as PwC, from having certain financial relationships with their audit clients and affiliated entities. Specifically, the Loan Rule provides, in relevant part, that an accounting firm generally would not be independent if it receives a loan from a lender that is a “record or beneficial owner of more than ten percent of the audit client’s equity securities.” The Goldman Sachs Asset Management investment company complex (the “Funds”) has been notified by PwC that one of its lenders owns more than ten percent of at least one of the Funds. The Funds are providing this disclosure to explain the facts and circumstances as well as PwC’s conclusions concerning its independence and its objectivity and impartiality with respect to the audits of the Funds.

PwC has advised the Funds that, after evaluating the facts and circumstances related to the matter described above, it has concluded that its financial relationship described above did not and will not impair PwC’s application of objective and impartial judgment on any issues encompassed within its audits of the financial statements of the Funds. PwC has advised the Funds that this conclusion is based in part on the following considerations: (1) the lenders to PwC have no influence over the fund adviser to the Funds; (2) an investment in any such Fund is passive; (3) the PwC lenders are part of various syndicates of unrelated lenders; (4) there have been no changes to the loans in question since the origination of each respective note; (5) the debts are in good standing and no lender has the right to take action against PwC, as borrower, in connection with the financings; (6) the debt balances are immaterial to PwC and to each lender; and (7) the PwC audit engagement team has no involvement in PwC’s treasury function and PwC’s treasury function has no oversight of or ability to influence the PwC audit engagement team.

If it were ultimately determined that PwC was not independent with respect to the Funds for certain periods, any Fund filings with the SEC which contain the Funds’ financial statements for such periods would not comply with applicable securities laws which potentially could have a material adverse effect on the Funds.

Table 1 — Items 4(a) - 4(d). The accountant fees below reflect the aggregate fees billed by the Funds of the Goldman Sachs ETF Trust to which this certified shareholder report relates.

 

                 2016                            2015                Description of Services Rendered
    

 

 

      

 

 

    

 

Audit Fees:

            
• PricewaterhouseCoopers LLP
(“PwC”)
         $ 162,000                $ —          Financial Statement audits.

Audit-Related Fees:

            

• PwC

         $ 0                $ —         

Tax Fees:

            

• PwC

         $ 45,352                $ —          Tax compliance services provided in connection with the preparation and review of registrant’s tax returns.

Table 2 — Items 4(b)(c) & (d). Non-Audit Services to the Goldman Sachs ETF Trust’s service affiliates * that were pre-approved by the Audit Committee of the Goldman Sachs ETF Trust pursuant to Rule 2-01(c)(7)(ii) of Regulation S-X.

 

                 2016                            2015                Description of Services Rendered
    

 

 

      

 

 

    

 

Audit-Related Fees:

            

• PwC

         $            $     

 

 

* These include the advisor (excluding sub-advisors) and any entity controlling, controlled by or under common control with the advisor that provides ongoing services to the registrant (hereinafter referred to as “service affiliates”).

Item 4(e)(1) — Audit Committee Pre-Approval Policies and Procedures

Pre-Approval of Audit and Non-Audit Services Provided to the Funds of the Goldman Sachs ETF Trust. The Audit and Non-Audit Services Pre-Approval Policy (the “Policy”) adopted by the Audit Committee of Goldman Sachs ETF Trust (“GS ETF”) sets forth the procedures and the conditions pursuant to which services performed by an independent auditor for GS ETF may be pre-approved. Services may be pre-approved specifically by the Audit Committee as a whole or, in certain circumstances, by the Audit Committee Chairman or the person designated as the Audit Committee Financial Expert. In addition, subject to specified cost limitations, certain services may be pre-approved under the provisions of the Policy. The Policy provides that the Audit Committee will consider whether the services provided by an independent auditor are consistent with the Securities and Exchange Commission’s rules on auditor independence. The Policy provides for periodic review and pre-approval by the Audit Committee of the services that may be provided by the independent auditor.

De Minimis Waiver. The pre-approval requirements of the Policy may be waived with respect to the provision of non-audit services that are permissible for an independent auditor to perform, provided (1) the aggregate amount of all such services provided constitutes no more than five percent of the total amount of revenues subject to pre-approval that was paid to the independent auditors during the fiscal year in which the services are provided; (2) such services were not recognized by GS ETF at the time of the engagement to be non-audit services; and (3) such services are promptly brought to the attention of the Audit Committee and approved prior to the completion of the audit by the Audit Committee or by one or more members of the Audit Committee to whom authority to grant such approvals has been delegated by the Audit Committee, pursuant to the pre-approval provisions of the Policy.

Pre-Approval of Non-Audit Services Provided to the Goldman Sachs ETF Trust’s Investment Advisers. The Policy provides that, in addition to requiring pre-approval of audit and non-audit services provided to GS ETF, the Audit Committee will pre-approve those non-audit services provided to GS ETF’s investment advisers (and entities controlling, controlled by or under common control with the investment advisers that provide ongoing services to GS ETF) where the engagement relates directly to the operations or financial reporting of GS ETF.

Item 4(e)(2) – 0% of the audit-related fees, tax fees and other fees listed in Table 1 were approved by GS ETF’s Audit Committee pursuant to the “de minimis” exception of Rule 2-01(c)(7)(i)(C) of Regulation S-X. In addition, 0% of the non-audit services to the GS ETF’s service affiliates listed in Table 2 were approved by GS ETF’s Audit Committee pursuant to the “de minimis” exception of Rule 2-01(c)(7)(i)(C) of Regulation S-X.

Item 4(f) – Not applicable.

Item 4(g) Aggregate Non-Audit Fees Disclosure

The aggregate non-audit fees billed to GS ETF by PwC for the twelve months ended August 31, 2016 and August 31, 2015 were approximately $0 and $0 respectively. The aggregate non-audit fees billed to GS ETF’s adviser and service affiliates by PwC for non-audit services for the twelve months ended December 31, 2015 and December 31, 2014 were approximately $14.4 million and $10.2 million respectively. With regard to the aggregate non-audit fees billed to GS ETF’s adviser and service affiliates, the 2015 and 2014 amounts include fees for non-audit services required to be pre-approved [see Table 2] and fees for non-audit services that did not require pre-approval since they did not directly relate to GS ETF’s operations or financial reporting.

Item 4(h) — GS ETF’s Audit Committee has considered whether the provision of non-audit services to GS ETF’s investment adviser and service affiliates that did not require pre-approval pursuant to paragraph (c)(7)(ii) of Rule 2-01 of Regulation S-X is compatible with maintaining the auditors’ independence.

 


ITEM 5. AUDIT COMMITTEE OF LISTED REGISTRANTS.

 

     The Registrant has a separately-designated standing Audit Committee established in accordance with Section 3(a)(58)(A) of the Securities Exchange Act of 1934, as amended. The members of the Audit Committee are Ashok N. Bakhru, John P. Coblentz, Jr., Michael Latham, Linda A. Lang, Lawrence W. Stranghoener, Richard P. Strubel, and Caroline Dorsa, each a Trustee of the Registrant.

 

ITEM 6. SCHEDULE OF INVESTMENTS.

 

     Schedule of Investments is included as part of the Report to Shareholders filed under Item 1.

 

ITEM 7. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

 

     Not applicable.

 

ITEM 8. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

 

     Not applicable.

 

ITEM 9. PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANY AND AFFILIATED PURCHASERS.

 

     Not applicable.


ITEM 10. SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS.

 

     There have been no material changes to the procedures by which shareholders may recommend nominees to the registrant’s board of trustees.

 

ITEM 11. CONTROLS AND PROCEDURES.

 

  (a) The registrant’s principal executive and principal financial officers, or persons performing similar functions have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”)) are effective as of a date within 90 days of the filing of this report that includes the disclosure required by this paragraph, based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act and 15d-15(b) under the Securities Exchange Act of 1934, as amended.

 

  (b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrant’s second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

ITEM 12. EXHIBITS.

 

(a)(1)      Goldman Sachs ETF Trust’s Code of Ethics for Principal Executive and Senior Financial Officers is filed herewith.
(a)(2)    Exhibit 99.CERT    Certifications pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 filed herewith.
(b)    Exhibit 99.906CERT                        Certifications pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 filed herewith.


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

    Goldman Sachs ETF Trust
By:   /s/ James A. McNamara
 

 

 

 

James A. McNamara

  President/Chief Executive Officer
  Goldman Sachs ETF Trust
Date:     October 31, 2016

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By:   /s/ James A. McNamara
 

 

 

 

James A. McNamara

  President/Chief Executive Officer
  Goldman Sachs ETF Trust
Date:     October 31, 2016
By:   /s/ Scott McHugh
 

 

 

 

Scott McHugh

  Principal Financial Officer
  Goldman Sachs ETF Trust
Date:     October 31, 2016
EX-99.(A)(1) 2 d238206dex99a1.htm CODE OF ETHICS Code of Ethics

EX-99.(a)(1)

CODE OF ETHICS OF PRINCIPAL EXECUTIVE AND SENIOR FINANCIAL OFFICERS

 

For: GSAM – GST II – AIMS – Closed-End Funds – ETF Trust

Effective Date: April 16, 2015

Revision History

 

A. Preamble

Pursuant to Section 406 of the Sarbanes-Oxley Act of 2002, the Securities and Exchange Commission (the “SEC”) has adopted rules requiring annual disclosure of an investment company’s code of ethics applicable to its principal executive, principal financial and principal accounting officers. Goldman Sachs Trust II, Goldman Sachs ETF Trust (together, the “Trusts”) and Goldman Sachs Listed Closed-End Funds1 (the “Closed-End Funds” and together with the Trusts, the “Registrants”) have adopted this Code of Ethics (the “Code”) pursuant to these rules.

 

B. Covered Officers/Purpose of Code

This Code applies to the Principal Executive Officer and Principal Financial Officer/Principal Accounting Officer (the “Covered Officers”) of the Registrants for the purpose of promoting:

 

    honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;

 

    full, fair, accurate, timely and understandable disclosure in reports and documents that the Registrants files with, or submits to, the SEC and in other public communications made by the Registrants;

 

    compliance with applicable laws and governmental rules and regulations;

 

    the prompt internal reporting of violations of this Code to an appropriate person or persons identified herein; and

 

    accountability for adherence to this Code.

Each Covered Officer owes a duty to the Registrants to adhere to a high standard of business ethics, and should be sensitive to situations that may give rise to actual as well as apparent conflicts of interest. Each Covered Officer should encourage his or her colleagues who provide services to the Registrants, whether directly or indirectly, to do the same.

 

1  This Code shall apply to any listed closed-end management investment company managed by Goldman Sachs Asset Management, L.P. (“GSAM”) or an affiliated person of GSAM, as listed in Schedule A of this Code.

 

 

April 16, 2015    Page 1


C. Covered Officers Should Handle Ethically Actual and Apparent Conflicts of Interest

A “conflict of interest” occurs when a Covered Officer’s private interest interferes with the interests of, or his or her service to, a Registrant. For example, a conflict of interest would arise if a Covered Officer, or a member of his or her family, receives improper personal benefits as a result of his or her position with the Registrant.

Certain conflicts of interest covered by this Code arise out of the relationships between Covered Officers and a Registrant and already are subject to conflict of interest provisions in the Investment Company Act and the Investment Advisers Act. For example, Covered Officers may not individually engage in certain transactions (such as the purchase or sale of securities or other property) with the Registrant. The compliance programs and procedures of the Registrants and their investment advisers and distributor (as applicable) are designed to prevent, or identify and correct, violations of these provisions. This Code does not, and is not intended to, repeat or replace these programs and procedures.

Although typically not presenting an opportunity for improper personal benefit, conflicts arise from, or as a result of, the contractual relationship between the Registrants and their investment advisers and distributor (as applicable), of which the Covered Officers are also officers or employees. As a result, this Code recognizes that the Covered Officers will, in the normal course of their duties, be involved in establishing policies and implementing decisions which will have different effects on the investment advisers, the distributor (as applicable) and the Registrants. The participation of the Covered Officers in such activities is inherent in these contractual relationships and is consistent with the performance by the Covered Officers of their duties as officers of the Registrants and, if addressed in conformity with the provisions of the Investment Company Act and the Investment Advisers Act, will be deemed to have been handled ethically.

Other conflicts of interest are covered by this Code, even if such conflicts of interest are not subject to provisions in the Investment Company Act and the Investment Advisers Act. Covered Officers should keep in mind that the following list of prohibitions does not cover every possible situation. The overarching principle – that the personal interest of a Covered Officer should not be placed improperly before the interest of the Registrants – should be the guiding principle in all circumstances.

Each Covered Officer must:

 

    not use his or her personal influence or personal relationships improperly to influence investment decisions or financial reporting by the Registrants whereby the Covered Officer would benefit personally to the detriment of the Registrants;

 

    not cause the Registrants to take action, or fail to take action, for the individual personal benefit of the Covered Officer rather than the benefit of the Registrants;

 

    not use material non-public knowledge of portfolio transactions made or contemplated for the Registrants to profit personally or cause others to profit, by the market effect of such transactions; and

 

    report at least annually his or her affiliations and other relationships as requested in the Registrant’s annual Trustees and Officers Questionnaire.

 

April 16, 2015    Page 2


There are some conflict of interest situations that should be discussed with the Secretary of a Registrant if material. Examples of these include:

 

    any outside business activity that detracts from the ability of a Covered Officer to devote appropriate time and attention to his or her responsibilities as a Covered Officer of the Registrant;

 

    the receipt of any non-nominal gifts related to the business of the Registrant that may be inconsistent with any policy on gifts established by the Registrant’s investment advisers and distributor (as applicable) from time to time; and

 

    a direct or indirect personal financial interest in commissions, transaction charges or spreads paid by the Registrant for effecting portfolio transactions or for selling or redeeming shares other than an interest arising from the Covered Officer’s employment, such as compensation or equity ownership.

 

D. Disclosure

Each Covered Officer:

 

    must familiarize himself or herself with the disclosure requirements applicable to a Registrant and its disclosure controls and procedures;

 

    must not knowingly misrepresent, or cause others to misrepresent, facts about the Registrant to others, whether within or outside the Registrant, including to the Registrant’s trustees and auditors, and to governmental regulators and self-regulatory organizations;

 

    should, to the extent appropriate within his area of responsibility, consult with other officers and employees of the Registrant and its investment advisers and distributor and take other appropriate steps with the goal of promoting full, fair, accurate and timely disclosure in the reports and documents the Registrant files with, or submits to, the SEC and that are signed or certified by him or her; and

 

    must cooperate with the Registrant’s independent accountants, regulatory agencies and internal auditors in their review or inspection of the Registrant and its operations.

 

E. Compliance

It is the responsibility of each Covered Officer to otherwise promote adherence with the standards and restrictions imposed by applicable laws, rules and regulations.

 

F. Reporting and Accountability

Each Covered Officer must:

 

    upon adoption of this Code, affirm in writing that he or she has received and read this Code, and understands it;

 

April 16, 2015    Page 3


    annually thereafter affirm that he or she has complied with the requirements of this Code;

 

    not retaliate against any person for reports of potential violations that are made in good faith; and

 

    notify the Secretary of a Registrant promptly if he or she knows of any violation of this Code. Failure to do so is itself a violation of this Code.

The Secretary of the Registrant is responsible for applying this Code to specific situations in which questions are presented under it and has the authority to interpret this Code in any particular situation.

 

G. Investigations and Enforcements

The Registrants will follow these procedures in investigating and enforcing this Code:

 

    the Secretary of a Registrant will take all appropriate action to investigate any violations and potential violations reported to him or her;

 

    violations will be reported to the Board of Trustees of the Registrant (the “Board”) after such investigation;

 

    if the Board determines that a violation has occurred, it will consider appropriate action, which may, without limitation, include review of, and appropriate modifications to, applicable policies and procedures; notification to appropriate personnel of the investment advisers, distributor or their respective boards; or recommendation of the dismissal of the Covered Officer;

 

    the Board will be responsible for granting waivers, as appropriate; and

 

    any changes to or waivers of this Code will, to the extent required, be disclosed as provided by SEC rules.

 

H. Other Policies and Procedures

The Registrants’ and their investment advisers’ and distributor’s (as applicable) codes of ethics under Rule 17j-1 under the Investment Company Act are separate requirements applying to the Covered Officers and others, and are not part of this Code.

 

I. Amendments

This Code may not be amended except in written form, which is specifically approved or ratified by the Board.

 

J. Confidentiality

All reports and records prepared or maintained pursuant to this Code will be considered confidential and will be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters will not be disclosed to anyone other than the Board, the

 

April 16, 2015    Page 4


Registrants’ investment advisers and distributor (as applicable), and their respective counsel.

 

K. Internal Use

This Code is intended solely for the internal use by the Registrants. This Code is a statement of certain fundamental principles, policies and procedures that govern the Covered Officers in the conduct of the Registrants’ business. It is not intended to and does not create any rights in any employee, investor, supplier, competitor, shareholder or any other person.

Revision History

 

    April 16, 2015 (Addition of Goldman Sachs ETF Trust)

 

    August 14, 2014 (Addition of Goldman Sachs MLP and Energy Renaissance Fund)

 

    October 17, 2013 (Addition of Goldman Sachs MLP Income Opportunities Fund)

 

    April 16, 2013 (Initial Approval)

 

April 16, 2015    Page 5


Schedule A

Goldman Sachs Closed-End Funds

Goldman Sachs MLP Income Opportunities Fund

Goldman Sachs MLP and Energy Renaissance Fund

 

April 16, 2015    Page 6
EX-99.EXCERT 3 d238206dex99excert.htm CERTIFICATIONS PURSUANT TO SECTION 302 Certifications Pursuant to Section 302

CERTIFICATIONS

(Section 302)

I, James A. McNamara, certify that:

 

  1. I have reviewed this report on Form N-CSR of the Goldman Sachs ETF Trust;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Dated: October 31, 2016

 

/s/ James A. McNamara

 

James A. McNamara
President/Chief Executive Officer


CERTIFICATIONS

(Section 302)

I, Scott McHugh, certify that:

 

  1. I have reviewed this report on Form N-CSR of the Goldman Sachs ETF Trust;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Dated: October 31, 2016

 

/s/ Scott McHugh

 

Scott McHugh
Principal Financial Officer
EX-99.906CERT 4 d238206dex99906cert.htm CERTIFICATIONS PURSUANT TO SECTION 906 Certifications Pursuant to Section 906

EX-99.906CERT

Certification Under Section 906

of the Sarbanes-Oxley Act of 2002

James A. McNamara, President/Chief Executive Officer, and Scott McHugh, Principal Financial Officer of the Goldman Sachs ETF Trust (the “Registrant”), each certify to the best of his or her knowledge that:

 

1. The Registrant’s periodic report on Form N-CSR for the period ended August 31, 2016 (the “Form N-CSR”) fully complies with the requirements of section 15(d) of the Securities Exchange Act of 1934, as amended; and

 

2. The information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

President/Chief Executive Officer      Principal Financial Officer
Goldman Sachs ETF Trust      Goldman Sachs ETF Trust
/s/ James A. McNamara      /s/ Scott McHugh

 

    

 

James A. McNamara      Scott McHugh
Date: October 31, 2016      October 31, 2016

This certification is being furnished to the Securities and Exchange Commission pursuant to Rule 30a-2(b) under the Investment Company Act of 1940, as amended, and 18 U.S.C. § 1350 and is not being filed as part of the Form N-CSR with the Securities and Exchange Commission.

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