0001193125-19-081846.txt : 20190321 0001193125-19-081846.hdr.sgml : 20190321 20190321121142 ACCESSION NUMBER: 0001193125-19-081846 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 16 FILED AS OF DATE: 20190321 DATE AS OF CHANGE: 20190321 EFFECTIVENESS DATE: 20190321 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GOLDMAN SACHS TRUST CENTRAL INDEX KEY: 0000822977 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-17619 FILM NUMBER: 19696366 BUSINESS ADDRESS: STREET 1: 71 SOUTH WACKER DRIVE STREET 2: C/O GOLDMAN SACHS & CO CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126554400 MAIL ADDRESS: STREET 1: 200 WEST STREET CITY: NEW YORK STATE: NY ZIP: 10282 FORMER COMPANY: FORMER CONFORMED NAME: GOLDMAN SACHS SHORT INTERMEDIATE GOVERNMENT FUND DATE OF NAME CHANGE: 19910711 FORMER COMPANY: FORMER CONFORMED NAME: SHORT INTERMEDIATE GOVERNMENT FUND DATE OF NAME CHANGE: 19900104 0000822977 S000040921 Goldman Sachs Total Emerging Markets Income Fund C000126890 CLASS A SHARES GDDAX C000126891 CLASS C SHARES GDDCX C000126892 INSTITUTIONAL SHARES GDDIX C000126893 CLASS R SHARES GDDRX C000126894 Investor Shares GIRDX C000195495 Class R6 Shares GDDSX C000202047 Class P Shares GSHPX 497 1 d712483d497.htm GOLDMAN SACHS TRUST Goldman Sachs Trust

RULE 497 FILING

On behalf of the Goldman Sachs Total Emerging Markets Income Fund (the “Fund”), a series of Goldman Sachs Trust, and pursuant to Rule 497(e) under the Securities Act of 1933, as amended, attached for filing are exhibits containing interactive data format risk/return summary information. The interactive data files included as exhibits to this filing relate to the supplement filed with the Securities and Exchange Commission on behalf of the Fund pursuant to Rule 497(e) on February 28, 2019 (Accession No. 0001193125-19-057306), which is incorporated by reference into this Rule 497 Filing.

EX-101.INS 2 gst-20190228.xml XBRL INSTANCE DOCUMENT 0000822977 2019-02-28 2019-02-28 0000822977 gst:S000040921Member 2019-02-28 2019-02-28 2019-02-28 497 2018-10-31 GOLDMAN SACHS TRUST 0000822977 false 2019-02-28 2019-02-28 <p style="margin-top:0pt; margin-bottom:0pt; " align="center"><b>GOLDMAN SACHS TRUST </b></p> <p style="margin-top:6pt; margin-bottom:0pt; " align="center"><b>Goldman Sachs Total Emerging Markets Income Fund </b></p> <p style="margin-top:0pt; margin-bottom:0pt; " align="center">(the &#8220;Fund&#8221;) </p> <p style="margin-top:6pt; margin-bottom:0pt; " align="center">Supplement dated February&nbsp;28, 2019 to the </p> <p style="margin-top:0pt; margin-bottom:0pt; " align="center">Prospectuses, Summary Prospectuses and Statement of Additional Information (&#8220;SAI&#8221;), each dated February&nbsp;28, 2019 </p> <p style="margin-top:18pt; margin-bottom:0pt; ">At a meeting held on February 12-13, 2019, upon the recommendation of Goldman Sachs Asset Management, L.P., the Board of Trustees (the &#8220;Board&#8221;) of the Goldman Sachs Trust (the &#8220;Trust&#8221;) approved a proposal to liquidate the Fund, a series of the Trust. After careful consideration of a number of factors, the Board concluded that it is advisable and in the best interest of the Fund and its shareholders to liquidate the Fund. The Fund will be liquidated on or about April&nbsp;16, 2019<b> </b>(the &#8220;Liquidation Date&#8221;), pursuant to a Plan of Liquidation approved by the Board. The Liquidation Date may be changed without notice at the discretion of the Trust&#8217;s officers. </p> <p style="margin-top:6pt; margin-bottom:0pt; "><b>Suspension of Sales.</b> Shares of the Fund will no longer be available for purchase as of the close of business on March&nbsp;15, 2019, except that existing shareholders of the Fund may continue to purchase shares of the Fund until April&nbsp;9, 2019. To the extent there are any dividend or distribution payments made prior to the Liquidation Date, they will continue to be paid either in cash or in additional shares of the Fund, depending on each shareholder&#8217;s current election, as disclosed in the Prospectuses. </p> <p style="margin-top:6pt; margin-bottom:0pt; "><b>Liquidation of Assets. </b>The Fund will cease its ordinary course of business and may depart from its stated investment objective and policies as it prepares to liquidate and distribute its assets to shareholders. It is anticipated that the Fund&#8217;s portfolio will be positioned into cash, cash equivalents or other liquid assets on or prior to the Liquidation Date. In connection with the liquidation, all outstanding shares of the Fund on the Liquidation Date will be automatically redeemed by the Fund. Each shareholder of record on the Liquidation Date will receive proceeds of the automatic redemptions equal to the shareholder&#8217;s proportionate interest in the Fund&#8217;s net assets plus accrued and unpaid earnings of the Fund at the time of liquidation. </p> <p style="margin-top:6pt; margin-bottom:0pt; "><b>Other Alternatives. </b>At any time prior to the Liquidation Date, shareholders may redeem their shares of the Fund and receive the net asset value thereof in cash or in-kind, as provided in the Prospectuses. Shareholders may also exchange their shares for shares of the same class of another Goldman Sachs Fund at net asset value without imposition of an initial sales charge or a contingent deferred sales charge. Redemptions of shares by current shareholders will not be subject to any applicable contingent deferred sales charge. </p> <p style="margin-top:0pt; margin-bottom:0pt; " align="center"><b>GOLDMAN SACHS TRUST </b></p> <p style="margin-top:6pt; margin-bottom:0pt; " align="center"><b>Goldman Sachs Total Emerging Markets Income Fund </b></p> <p style="margin-top:0pt; margin-bottom:0pt; " align="center">(the &#8220;Fund&#8221;) </p> <p style="margin-top:6pt; margin-bottom:0pt; " align="center">Supplement dated February&nbsp;28, 2019 to the </p> <p style="margin-top:0pt; margin-bottom:0pt; " align="center">Prospectuses, Summary Prospectuses and Statement of Additional Information (&#8220;SAI&#8221;), each dated February&nbsp;28, 2019 </p> <p style="margin-top:18pt; margin-bottom:0pt; ">At a meeting held on February 12-13, 2019, upon the recommendation of Goldman Sachs Asset Management, L.P., the Board of Trustees (the &#8220;Board&#8221;) of the Goldman Sachs Trust (the &#8220;Trust&#8221;) approved a proposal to liquidate the Fund, a series of the Trust. After careful consideration of a number of factors, the Board concluded that it is advisable and in the best interest of the Fund and its shareholders to liquidate the Fund. The Fund will be liquidated on or about April&nbsp;16, 2019<b> </b>(the &#8220;Liquidation Date&#8221;), pursuant to a Plan of Liquidation approved by the Board. The Liquidation Date may be changed without notice at the discretion of the Trust&#8217;s officers. </p> <p style="margin-top:6pt; margin-bottom:0pt; "><b>Suspension of Sales.</b> Shares of the Fund will no longer be available for purchase as of the close of business on March&nbsp;15, 2019, except that existing shareholders of the Fund may continue to purchase shares of the Fund until April&nbsp;9, 2019. To the extent there are any dividend or distribution payments made prior to the Liquidation Date, they will continue to be paid either in cash or in additional shares of the Fund, depending on each shareholder&#8217;s current election, as disclosed in the Prospectuses. </p> <p style="margin-top:6pt; margin-bottom:0pt; "><b>Liquidation of Assets. </b>The Fund will cease its ordinary course of business and may depart from its stated investment objective and policies as it prepares to liquidate and distribute its assets to shareholders. It is anticipated that the Fund&#8217;s portfolio will be positioned into cash, cash equivalents or other liquid assets on or prior to the Liquidation Date. In connection with the liquidation, all outstanding shares of the Fund on the Liquidation Date will be automatically redeemed by the Fund. 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Central Index Key dei_EntityCentralIndexKey 0000822977
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Feb. 28, 2019

GOLDMAN SACHS TRUST

Goldman Sachs Total Emerging Markets Income Fund

(the “Fund”)

Supplement dated February 28, 2019 to the

Prospectuses, Summary Prospectuses and Statement of Additional Information (“SAI”), each dated February 28, 2019

At a meeting held on February 12-13, 2019, upon the recommendation of Goldman Sachs Asset Management, L.P., the Board of Trustees (the “Board”) of the Goldman Sachs Trust (the “Trust”) approved a proposal to liquidate the Fund, a series of the Trust. After careful consideration of a number of factors, the Board concluded that it is advisable and in the best interest of the Fund and its shareholders to liquidate the Fund. The Fund will be liquidated on or about April 16, 2019 (the “Liquidation Date”), pursuant to a Plan of Liquidation approved by the Board. The Liquidation Date may be changed without notice at the discretion of the Trust’s officers.

Suspension of Sales. Shares of the Fund will no longer be available for purchase as of the close of business on March 15, 2019, except that existing shareholders of the Fund may continue to purchase shares of the Fund until April 9, 2019. To the extent there are any dividend or distribution payments made prior to the Liquidation Date, they will continue to be paid either in cash or in additional shares of the Fund, depending on each shareholder’s current election, as disclosed in the Prospectuses.

Liquidation of Assets. The Fund will cease its ordinary course of business and may depart from its stated investment objective and policies as it prepares to liquidate and distribute its assets to shareholders. It is anticipated that the Fund’s portfolio will be positioned into cash, cash equivalents or other liquid assets on or prior to the Liquidation Date. In connection with the liquidation, all outstanding shares of the Fund on the Liquidation Date will be automatically redeemed by the Fund. Each shareholder of record on the Liquidation Date will receive proceeds of the automatic redemptions equal to the shareholder’s proportionate interest in the Fund’s net assets plus accrued and unpaid earnings of the Fund at the time of liquidation.

Other Alternatives. At any time prior to the Liquidation Date, shareholders may redeem their shares of the Fund and receive the net asset value thereof in cash or in-kind, as provided in the Prospectuses. Shareholders may also exchange their shares for shares of the same class of another Goldman Sachs Fund at net asset value without imposition of an initial sales charge or a contingent deferred sales charge. Redemptions of shares by current shareholders will not be subject to any applicable contingent deferred sales charge.

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Prospectus Date rr_ProspectusDate Feb. 28, 2019
Supplement to Prospectus [Text Block] rr_SupplementToProspectusTextBlock

GOLDMAN SACHS TRUST

Goldman Sachs Total Emerging Markets Income Fund

(the “Fund”)

Supplement dated February 28, 2019 to the

Prospectuses, Summary Prospectuses and Statement of Additional Information (“SAI”), each dated February 28, 2019

At a meeting held on February 12-13, 2019, upon the recommendation of Goldman Sachs Asset Management, L.P., the Board of Trustees (the “Board”) of the Goldman Sachs Trust (the “Trust”) approved a proposal to liquidate the Fund, a series of the Trust. After careful consideration of a number of factors, the Board concluded that it is advisable and in the best interest of the Fund and its shareholders to liquidate the Fund. The Fund will be liquidated on or about April 16, 2019 (the “Liquidation Date”), pursuant to a Plan of Liquidation approved by the Board. The Liquidation Date may be changed without notice at the discretion of the Trust’s officers.

Suspension of Sales. Shares of the Fund will no longer be available for purchase as of the close of business on March 15, 2019, except that existing shareholders of the Fund may continue to purchase shares of the Fund until April 9, 2019. To the extent there are any dividend or distribution payments made prior to the Liquidation Date, they will continue to be paid either in cash or in additional shares of the Fund, depending on each shareholder’s current election, as disclosed in the Prospectuses.

Liquidation of Assets. The Fund will cease its ordinary course of business and may depart from its stated investment objective and policies as it prepares to liquidate and distribute its assets to shareholders. It is anticipated that the Fund’s portfolio will be positioned into cash, cash equivalents or other liquid assets on or prior to the Liquidation Date. In connection with the liquidation, all outstanding shares of the Fund on the Liquidation Date will be automatically redeemed by the Fund. Each shareholder of record on the Liquidation Date will receive proceeds of the automatic redemptions equal to the shareholder’s proportionate interest in the Fund’s net assets plus accrued and unpaid earnings of the Fund at the time of liquidation.

Other Alternatives. At any time prior to the Liquidation Date, shareholders may redeem their shares of the Fund and receive the net asset value thereof in cash or in-kind, as provided in the Prospectuses. Shareholders may also exchange their shares for shares of the same class of another Goldman Sachs Fund at net asset value without imposition of an initial sales charge or a contingent deferred sales charge. Redemptions of shares by current shareholders will not be subject to any applicable contingent deferred sales charge.

Goldman Sachs Total Emerging Markets Income Fund  
Risk/Return: rr_RiskReturnAbstract  
Supplement to Prospectus [Text Block] rr_SupplementToProspectusTextBlock

GOLDMAN SACHS TRUST

Goldman Sachs Total Emerging Markets Income Fund

(the “Fund”)

Supplement dated February 28, 2019 to the

Prospectuses, Summary Prospectuses and Statement of Additional Information (“SAI”), each dated February 28, 2019

At a meeting held on February 12-13, 2019, upon the recommendation of Goldman Sachs Asset Management, L.P., the Board of Trustees (the “Board”) of the Goldman Sachs Trust (the “Trust”) approved a proposal to liquidate the Fund, a series of the Trust. After careful consideration of a number of factors, the Board concluded that it is advisable and in the best interest of the Fund and its shareholders to liquidate the Fund. The Fund will be liquidated on or about April 16, 2019 (the “Liquidation Date”), pursuant to a Plan of Liquidation approved by the Board. The Liquidation Date may be changed without notice at the discretion of the Trust’s officers.

Suspension of Sales. Shares of the Fund will no longer be available for purchase as of the close of business on March 15, 2019, except that existing shareholders of the Fund may continue to purchase shares of the Fund until April 9, 2019. To the extent there are any dividend or distribution payments made prior to the Liquidation Date, they will continue to be paid either in cash or in additional shares of the Fund, depending on each shareholder’s current election, as disclosed in the Prospectuses.

Liquidation of Assets. The Fund will cease its ordinary course of business and may depart from its stated investment objective and policies as it prepares to liquidate and distribute its assets to shareholders. It is anticipated that the Fund’s portfolio will be positioned into cash, cash equivalents or other liquid assets on or prior to the Liquidation Date. In connection with the liquidation, all outstanding shares of the Fund on the Liquidation Date will be automatically redeemed by the Fund. Each shareholder of record on the Liquidation Date will receive proceeds of the automatic redemptions equal to the shareholder’s proportionate interest in the Fund’s net assets plus accrued and unpaid earnings of the Fund at the time of liquidation.

Other Alternatives. At any time prior to the Liquidation Date, shareholders may redeem their shares of the Fund and receive the net asset value thereof in cash or in-kind, as provided in the Prospectuses. Shareholders may also exchange their shares for shares of the same class of another Goldman Sachs Fund at net asset value without imposition of an initial sales charge or a contingent deferred sales charge. Redemptions of shares by current shareholders will not be subject to any applicable contingent deferred sales charge.

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