0001752724-20-170699.txt : 20200825 0001752724-20-170699.hdr.sgml : 20200825 20200825150415 ACCESSION NUMBER: 0001752724-20-170699 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200630 FILED AS OF DATE: 20200825 PERIOD START: 20210331 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: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05349 FILM NUMBER: 201131914 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 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GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – 63.4%

Albania(a) – 0.3%

Republic of Albania (B+/B1)

EUR

    2,780,000       3.500   06/16/27   $       3,111,616

 

Angola – 1.8%

Republic of Angola (NR/B3)

$

    12,820,000       8.250 (a)    05/09/28   10,608,550
    460,000       9.375 (a)    05/08/48   376,050
    1,300,000       9.375     05/08/48   1,062,750

Republic of Angola (CCC+/B3)

    5,000,000       8.000 (a)    11/26/29   4,137,500
    5,910,000       9.125 (a)    11/26/49   4,831,425
    2,450,000       9.125     11/26/49   2,002,875
       

 

        23,019,150

 

Argentina – 1.7%

Republic of Argentina (CC/Ca)

    480,000       5.625     01/26/22   198,000
    720,000       4.625     01/11/23   297,900

EUR

    13,360,000       3.375     01/15/23   5,853,882
    3,670,000       5.000     01/15/27   1,546,216

$

    1,240,000       6.875     01/26/27   496,620
    6,233,000       5.875     01/11/28   2,480,734

EUR

    12,990,000       5.250     01/15/28   5,472,847

$

    3,520,000       7.125     07/06/36   1,368,400

EUR

    1,210,000       3.380     12/31/38   506,390

$

    4,030,000       6.875     01/11/48   1,555,328

Republic of Argentina (D/Ca)

    2,920,000       7.500     04/22/26   1,173,475
       

 

        20,949,792

 

Armenia(a) – 0.2%

Republic of Armenia (NR/Ba3)

    2,100,000       3.950     09/26/29   2,016,656

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Azerbaijan – 0.9%

Republic of Azerbaijan (NR/Ba2u)

$

    3,534,000       4.750   03/18/24   $       3,768,128
    8,050,000       3.500     09/01/32   7,858,812
       

 

        11,626,940

 

Bahrain – 1.3%

Kingdom of Bahrain (B+/NR)

    560,000       7.000     10/12/28   624,750
    8,530,000       7.375 (a)    05/14/30   9,638,900
    990,000       6.000     09/19/44   976,697

Kingdom of Bahrain (B+/B2u)(a)

    4,410,000       5.625     09/30/31   4,445,831
       

 

        15,686,178

 

Belarus – 0.1%

Republic of Belarus (B/B3u)

    450,000       7.625     06/29/27   463,500
    1,340,000       6.200     02/28/30   1,280,538
       

 

        1,744,038

 

Belize(a)(b) – 0.1%

Republic of Belize (CCC/Caa1)

    2,446,500       4.938     02/20/34   1,022,931

 

Bolivia – 0.0%

Republic of Bolivian (B+/B1)

    200,000       4.500     03/20/28   170,000

 

Brazil – 0.1%

Republic of Brazil (BB-/NR)

    1,100,000       3.875     06/12/30   1,061,500

 

Byelorussian Ssr(a) – 0.5%

Republic of Belarus Ministry of Finance (B/NR)

    1,400,000       5.875     02/24/26   1,354,500
    5,390,000       6.378     02/24/31   5,187,875
       

 

        6,542,375

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Chile(c) – 0.5%

Republic Of Chile (A+/A1)

$

    5,080,000       2.450   01/31/31   $       5,274,310
    730,000       3.500     01/25/50   822,163
       

 

        6,096,473

 

Colombia(c) – 1.7%

Republic Of Colombia (BBB-/NR)

    7,820,000       3.125     04/15/31   7,765,260
    10,030,000       4.125     05/15/51   10,092,687

Republic of Colombia (BBB-/Baa2)

    2,180,000       5.000     06/15/45   2,450,797
    640,000       5.200     05/15/49   749,440
       

 

        21,058,184

 

Costa Rica(a) – 0.2%

Republic of Costa Rica (B/B2)

    3,320,000       6.125     02/19/31   2,858,313

 

Dominican Republic – 3.2%

Dominican Republic (NR/NR)

DOP

    20,700,000       16.000     07/10/20   358,644
    13,900,000       11.500     05/10/24   239,362
    8,900,000       18.500 (a)    02/04/28   184,259
    152,600,000       10.750     08/11/28   2,465,160
    134,200,000       11.375     07/06/29   2,165,904

Dominican Republic (BB-/Ba3)

    240,350,000       9.750 (a)    06/05/26   3,605,832

$

    1,500,000       8.625     04/20/27   1,671,094
    740,000       6.000     07/19/28   743,931
    3,040,000       4.500 (a)    01/30/30   2,750,250
    4,740,000       6.850 (a)    01/27/45   4,540,031
    6,599,000       6.850     01/27/45   6,320,605
    11,020,000       6.500 (a)    02/15/48   10,141,844
    4,800,000       6.400 (a)    06/05/49   4,393,500
       

 

        39,580,416

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Ecuador – 2.0%

Ecuador Government International Bond (D/NR)

$

    1,126,000       7.950   06/20/24   $          555,377
    4,790,000       7.875 (a)    03/27/25   2,081,255
    5,200,000       9.650 (a)    12/13/26   2,210,000
    10,080,000       9.625 (a)    06/02/27   4,233,600
    3,400,000       9.625     06/02/27   1,428,000
    4,970,000       7.775     01/23/28   2,037,700
    6,170,000       9.500 (a)    03/27/30   2,606,825

Ecuador Government International Bond (D/Caa3)

    21,270,000       8.875 (a)    10/23/27   8,827,050
    210,000       8.875     10/23/27   87,150

Republic Of Ecuador (D/NR)

    1,030,000       7.875     03/27/25   447,535
    550,000       9.650     12/13/26   233,750
    350,000       10.650     01/31/29   145,250
       

 

        24,893,492

 

Egypt – 4.5%

Republic of Egypt (B/B2u)(a)

    8,690,000       8.875     05/29/50   8,581,375

Republic of Egypt (NR/B2)

    2,050,000       7.500     01/31/27   2,144,172

Republic of Egypt (B/NR)

EUR

    120,000       4.750     04/11/25   130,522
    1,770,000       6.375 (a)    04/11/31   1,839,450
    3,259,000       6.375     04/11/31   3,386,874

Republic of Egypt (B/B2)

    8,360,000       4.750 (a)    04/16/26   8,899,352
    10,810,000       5.625 (a)    04/16/30   10,938,118
    2,680,000       5.625     04/16/30   2,711,763

Republic of Egypt (B/B2u)

$

    2,950,000       7.053 (a)    01/15/32   2,802,500
    8,180,000       7.625 (a)    05/29/32   7,988,281
    200,000       7.903 (a)    02/21/48   184,937
    4,340,000       8.700 (a)    03/01/49   4,251,844
    990,000       8.700     03/01/49   969,891

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Egypt – (continued)

Republic of Egypt (B/B2u) – (continued)

$

    1,120,000       8.150 %(a)    11/20/59   $       1,039,850
       

 

        55,868,929

 

Gabon – 0.3%

Republic of Gabon (NR/Caa1)(a)

    2,760,000       6.625     02/06/31   2,466,750

Republic of Gabon (NR/NR)

    1,854,118       6.375     12/12/24   1,755,618
       

 

        4,222,368

 

Ghana – 1.5%

Republic of Ghana (NR/B1)

    1,970,000       10.750     10/14/30   2,358,459

Republic of Ghana (B/B3)(a)

    2,370,000       6.375     02/11/27   2,213,728

Republic of Ghana (B/B3)

    280,000       7.625     05/16/29   264,513
    710,000       7.875 (a)    02/11/35   644,325
    1,210,000       8.627 (a)    06/16/49   1,093,916
    5,519,000       8.627     06/16/49   4,989,521

Republic of Ghana (B/B3u)(a)

    7,480,000       8.125     03/26/32   7,042,887
       

 

        18,607,349

 

Guatemala – 2.6%

Republic of Guatemala (BB-/Ba1)

    5,520,000       4.500 (a)    05/03/26   5,737,350
    5,430,000       4.500     05/03/26   5,643,806
    7,400,000       4.375 (a)    06/05/27   7,668,250
    350,000       4.375     06/05/27   362,688
    2,980,000       4.875     02/13/28   3,182,081
    2,620,000       4.900 (a)(c)    06/01/30   2,806,675
    6,120,000       6.125 (a)(c)    06/01/50   7,076,250
       

 

        32,477,100

 

Honduras – 1.4%

Republic of Honduras (BB-/B1)

    6,930,000       8.750 (a)    12/16/20   7,049,109
    6,018,000       8.750     12/16/20   6,121,434

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Honduras – (continued)

Republic of Honduras (BB-/B1) – (continued)

$

    1,310,000       7.500 %(a)    03/15/24   $       1,414,800
    1,120,000       7.500     03/15/24   1,209,600
    1,170,000       5.625 (a)(c)    06/24/30   1,189,013
       

 

        16,983,956

 

Indonesia – 6.8%

Perusahaan Penerbit SBSN (NR/Baa2)(a)

    24,200,000       4.150     03/29/27   26,370,437

Perusahaan Penerbit SBSN (BBB/Baa2)

    1,130,000       4.550 (a)    03/29/26   1,252,181
    7,100,000       4.550     03/29/26   7,867,688
    33,470,000       4.400 (a)    03/01/28   37,162,159

Perusahaan Penerbit SBSN Indonesia III (NR/Baa2)(a)

    1,450,000       3.800     06/23/50   1,486,250

Republic of Indonesia (NR/Baa2)

    550,000       4.350     01/11/48   618,750

Republic of Indonesia (BBB/Baa2)

    400,000       4.750 (a)    01/08/26   451,125

EUR

    1,550,000       0.900     02/14/27   1,653,265

$

    2,380,000       3.850     10/15/30   2,641,800
    350,000       4.625     04/15/43   401,188
    4,590,000       4.450     04/15/70   5,255,550
       

 

        85,160,393

 

Iraq(c) – 0.0%

Republic of Iraq (NR/NR)

    250,000       5.800     01/15/28   224,766

 

Israel – 0.7%

State of Israel (AA-/A1)

    4,570,000       3.875     07/03/50   5,418,306
    2,820,000       4.500 (d)    04/03/20   3,637,800
       

 

        9,056,106

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Ivory Coast – 0.3%

Republic of Ivory Coast (NR/Ba3)

EUR

    2,370,000       6.625 %(a)    03/22/48   $       2,406,543
    1,130,000       6.625     03/22/48   1,147,423
       

 

        3,553,966

 

Jamaica – 0.7%

Government of Jamaica (B+/B2)

$

    6,890,000       7.875     07/28/45   8,414,413

 

Jordan(a) – 0.2%

Kingdom of Jordan (B+/B1)

    3,000,000       5.850     07/07/30   3,000,000

 

Kenya – 1.0%

Republic of Kenya (B+/B2u)

    3,900,000       7.000 (a)    05/22/27   3,850,031
    750,000       7.250 (a)    02/28/28   740,860
    6,380,000       8.000 (a)    05/22/32   6,282,306
    990,000       8.000     05/22/32   974,841
       

 

        11,848,038

 

Lebanon(e) – 0.4%

Republic of Lebanon (NR/NR)

    3,663,000       6.750     11/29/27   613,553

Republic of Lebanon (CC/NR)

    3,990,000       6.200     02/26/25   668,325
    270,000       6.600     11/27/26   46,828
    1,220,000       6.650     11/03/28   209,306
    7,704,000       6.850     05/25/29   1,271,160
    10,123,000       6.650     02/26/30   1,695,602
    1,820,000       7.050     11/02/35   313,950

Republic of Lebanon (D/NR)

    2,020,000       6.650     04/22/24   346,556
    710,000       6.850     03/23/27   121,144
    150,000       7.250     03/23/37   25,875
       

 

        5,312,299

 

Macedonia – 1.2%

Republic of Macedonia (BB-/NR)

EUR

    600,000       5.625     07/26/23   728,239
    10,480,000       2.750 (a)    01/18/25   11,579,264
    2,710,000       2.750     01/18/25   2,994,256
       

 

        15,301,759

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Mexico(c) – 0.9%

United Mexican States (BBB/Baa1)

$

    3,300,000       4.750   04/27/32   $       3,634,950
    3,740,000       4.500     01/31/50   3,855,940
    2,920,000       5.000     04/27/51   3,149,220
       

 

        10,640,110

 

Mongolia – 0.4%

Republic of Mongolia (B/B3)

    1,200,000       5.125     12/05/22   1,189,500

Republic of Mongolia (B/B3u)

    3,490,000       5.625     05/01/23   3,467,097
       

 

        4,656,597

 

Morocco(a) – 0.2%

Kingdom of Morocco (BBB-/Ba1u)

EUR

    2,560,000       1.500     11/27/31   2,676,625

 

Mozambique – 0.1%

Republic of Mozambique (NR/Caa2u)

$

    2,060,000       5.000     09/15/31   1,751,000

 

Nigeria – 1.6%

Republic of Nigeria (B-/B2)

    8,390,000       7.875     02/16/32   7,891,844
    12,540,000       7.696 (a)    02/23/38   11,430,993
       

 

        19,322,837

 

Oman – 0.3%

Republic of Oman (NR/Ba3)

    400,000       6.750     01/17/48   344,625
    4,250,000       6.750 (a)    01/17/48   3,661,641
       

 

        4,006,266

 

Panama – 0.5%

Panama Notas del Tesoro (BBB+/NR)

    920,000       4.875     02/05/21   933,800

Republic of Panama (BBB+/Baa1)(c)

    4,520,000       4.500     04/01/56   5,548,300
       

 

        6,482,100

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Papua New Guinea(a) – 0.1%

Papua New Guinea Government International Bond (B-/B2)

$

    1,450,000       8.375   10/04/28   $       1,450,000

 

Paraguay – 3.4%

Republic of Paraguay (BB/NR)(a)

    4,590,000       5.600     03/13/48   5,333,006

Republic of Paraguay (BB/Ba1)

    12,098,000       4.625     01/25/23   12,755,829
    3,930,000       5.000 (a)    04/15/26   4,365,984
    2,655,000       5.000     04/15/26   2,949,539
    2,770,000       4.700 (a)    03/27/27   3,034,016
    2,760,000       4.950 (a)(c)    04/28/31   3,063,600
    5,650,000       6.100     08/11/44   6,882,406
    3,050,000       5.400 (a)(c)    03/30/50   3,458,891
       

 

  41,843,271

 

Qatar – 2.0%

Republic of Qatar (AA-/Aa3)

    10,470,000       5.103 (a)    04/23/48   14,235,928
    2,950,000       4.817 (a)    03/14/49   3,884,781
    240,000       4.817     03/14/49   316,050
    4,900,000       4.400 (a)    04/16/50   6,069,875
       

 

        24,506,634

 

Romania – 2.6%

Republic of Romania (BBB-/Baa3)

EUR

    4,370,000       2.375 (a)    04/19/27   5,001,750
    7,360,000       2.875     05/26/28   8,610,051
    1,330,000       2.500     02/08/30   1,484,915
    3,250,000       3.624 (a)    05/26/30   3,943,484
    2,320,000       2.124 (a)    07/16/31   2,481,080
    1,730,000       2.124     07/16/31   1,850,116
    2,270,000       2.000 (a)    01/28/32   2,376,602
    390,000       3.375 (a)    02/08/38   446,244

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Romania – (continued)

Republic of Romania (BBB-/Baa3) – (continued)

EUR

    1,730,000       4.625 %(a)    04/03/49   $       2,222,447
    900,000       3.375 (a)    01/28/50   977,655
    3,240,000       3.375     01/28/50   3,519,559
       

 

        32,913,903

 

Russia – 1.1%

Russian Federation Bond (NR/NR)

$

    4,000,000       4.750     05/27/26   4,552,000
    3,200,000       4.375 (a)    03/21/29   3,632,000
    4,200,000       5.100 (a)    03/28/35   5,190,938
       

 

        13,374,938

 

Saudi Arabia – 1.6%

Saudi Government International Bond (NR/A1)

    1,770,000       2.750 (a)    02/03/32   1,815,135
    920,000       4.500     10/26/46   1,057,080
    3,600,000       4.625     10/04/47   4,194,000
    1,380,000       5.000     04/17/49   1,711,200
    1,770,000       3.750 (a)    01/21/55   1,802,081
    410,000       3.750     01/21/55   417,431
    8,270,000       4.500 (a)    04/22/60   9,489,825
       

 

        20,486,752

 

Senegal(a) – 0.4%

Republic of Senegal (B+/Ba3)

EUR

    4,580,000       4.750     03/13/28   4,978,395

 

Serbia(a) – 0.6%

Republic of Serbia (NR/Ba3)

    2,740,000       3.125     05/15/27   3,224,613

Republic of Serbia (BB+/Ba3)

    4,400,000       1.500     06/26/29   4,622,077
       

 

        7,846,690

 

South Africa – 1.6%

Republic of South Africa (NR/Ba1)

$

    3,660,000       4.850     09/27/27   3,573,075
    3,350,000       5.650     09/27/47   2,901,938

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

South Africa – (continued)

Republic of South Africa (BB-/Ba1)

$

    2,670,000       4.300   10/12/28   $       2,479,763
    5,670,000       4.850     09/30/29   5,343,975
    200,000       5.875     06/22/30   202,750
    1,590,000       6.250     03/08/41   1,540,809
    4,790,000       5.750     09/30/49   4,140,356
       

 

        20,182,666

 

Sri Lanka – 2.1%

Republic of Sri Lanka (B-/B2)

    9,200,000       5.750 (a)    04/18/23   6,417,000
    7,190,000       6.850 (a)    03/14/24   4,961,100
    910,000       6.350 (a)    06/28/24   627,900
    3,960,000       6.125     06/03/25   2,613,600
    3,180,000       6.850     11/03/25   2,106,750
    6,010,000       6.850 (a)    11/03/25   3,981,625
    1,690,000       6.750 (a)    04/18/28   1,092,162
    7,730,000       7.550 (a)    03/28/30   4,966,525
       

 

        26,766,662

 

Suriname(a) – 0.0%

Republic of Suriname (CCC+/B3)

    1,190,000       9.250     10/26/26   528,806

 

Tajikistan – 0.1%

Republic of Tajikistan (B-/B3)

    710,000       7.125     09/14/27   579,759

 

Trinidad and Tobago(a)(c) – 0.1%

Republic of Trinidad & Tobago (BBB-/Ba1)

    1,560,000       4.500     06/26/30   1,538,550

 

Tunisia(a) – 0.1%

Banque Centrale de Tunisie International Bond (NR/B2)

EUR

    850,000       6.750     10/31/23   907,524
    760,000       6.375     07/15/26   769,008
       

 

        1,676,532

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Turkey – 2.9%

Republic of Turkey (NR/B1)

$

    5,380,000       4.250   03/13/25   $       5,013,488

EUR

    5,290,000       3.250     06/14/25   5,579,285
    6,280,000       5.200     02/16/26   7,112,904

$

    1,200,000       4.875     10/09/26   1,113,375
    4,780,000       6.000     03/25/27   4,659,006
    3,450,000       5.250     03/13/30   3,088,828
    7,640,000       5.750     05/11/47   6,255,250
    999,000       7.375     02/05/25   1,052,072
    2,300,000       6.000     01/14/41   1,985,906
       

 

        35,860,114

 

Ukraine – 2.9%

Ukraine Government Bond (B/NR)

    1,900,000       9.750     11/01/28   2,170,750

EUR

    2,210,000       4.375 (a)    01/27/30   2,129,116

$

    210,000       7.375     09/25/32   210,919
    10,818,000       0.001     05/31/40   9,935,657

Ukraine Government Bond (B/B3u)

    2,910,000       7.750     09/01/21   3,007,485
    7,470,000       7.750     09/01/23   7,824,825
    9,760,000       7.750     09/01/24   10,174,800
    230,000       7.750     09/01/26   239,775
    360,000       7.750     09/01/27   374,512
       

 

        36,067,839

 

United Arab Emirates(a) – 0.9%

Abu Dhabi Government International Bond (AA/Aa2u)

    9,240,000       3.875     04/16/50   10,891,650

 

Uruguay(c) – 0.0%

Uruguay Government Bond (BBB/Baa2)

    350,000       4.375     01/23/31   408,844

 

Uzbekistan(a) – 0.1%

Republic of Uzbekistan (BB-/NR)

    1,460,000       5.375     02/20/29   1,591,856

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Venezuela(c)(f) – 0.3%

Debt and Asset Trading Corp. (NR/NR)

$

    4,680,000       1.000   10/10/25   $       3,571,425

 

Zambia – 0.3%

Republic of Zambia (CCC/NR)

    5,834,000       5.375     09/20/22   3,092,020

 

TOTAL SOVEREIGN DEBT OBLIGATIONS

(Cost $863,523,831)

  $   791,162,337

 

       
Corporate Obligations – 23.7%

Argentina(a)(c) – 0.1%

Telecom Argentina SA (NR/Caa3)

$

    1,480,000       6.500   06/15/21   $       1,360,212

 

Azerbaijan – 0.1%

State Oil Co. of the Azerbaijan Republic (BB-/Ba2)

    400,000       4.750     03/13/23   415,250

State Oil Co. of the Azerbaijan Republic (BB-/NR)

    1,040,000       6.950     03/18/30   1,223,950
       

 

        1,639,200

 

Brazil – 1.5%

Banco do Brasil SA (CCC+/NR)(c)(g) (10 Year CMT + 4.398%)

    5,210,000       6.250     10/29/49   4,569,170

Banco do Brasil SA (CCC+/B2)(c)(g) (10 Year CMT + 6.362%)

    6,880,000       9.000     06/29/49   7,086,400

Embraer Overseas Ltd. (BB+/Ba2)

    30,000       5.696     09/16/23   28,585

Itau Unibanco Holding SA (BB-/B2)(a)(c)(g) (5 Year CMT + 3.222%)

    3,860,000       4.625     12/31/99   3,184,500

Samarco Mineracao SA (NR/WR)(e)

    3,185,000       4.125     11/01/22   1,723,881
    2,080,000       5.750     10/24/23   1,068,600
       800,000       5.375     09/26/24   411,250
       

 

        18,072,386

 

British Virgin Islands(c) – 0.7%

Fortune Star BVI Ltd. (BB/NR)

       610,000       5.250     03/23/22   602,566
       260,000       6.750     07/02/23   262,600

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

British Virgin Islands(c) – (continued)

Huarong Finance 2017 Co. Ltd.(g) (NR/Baa1) (-1x5 Year CMT + 6.983%)

$

    3,530,000       4.000   12/31/99   $         3,528,897

Huarong Finance 2019 Co. Ltd. (NR/Baa1)

    1,490,000       3.875     11/13/29   1,522,128
    1,900,000       3.375     02/24/30   1,863,187

Sino-Ocean Land Treasure IV Ltd. (NR/Baa3)

    320,000       4.750     01/14/30   317,300

Sunny Express Enterprises Corp. (NR/A3)(g) (-1x3 Year CMT + 4.762%)

    870,000       3.350     12/31/99   867,281
       

 

        8,963,959

 

Burundi – 0.3%

Eastern & Southern African Trade & Development Bank (NR/Baa3)

    3,660,000       5.375     03/14/22   3,696,124

 

Chile – 0.7%

Corp Nacional del Cobre de Chile (A/A3)(a)(c)

    2,290,000       3.750     01/15/31   2,490,375

Embotelladora Andina SA (BBB/NR)(a)

    506,000       5.000     10/01/23   550,591

Empresa de Transporte de Pasajeros Metro SA (A+/NR)(a)(c)

    830,000       3.650     05/07/30   892,873

GNL Quintero SA (BBB/Baa2)

    1,060,000       4.634     07/31/29   1,134,200

Inversiones CMPC SA (BBB-/NR)(a)(c)

    660,000       4.375     05/15/23   690,731

Sociedad Quimica y Minera de Chile SA (BBB+/Baa1)(a)(c)

    3,291,000       4.375     01/28/25   3,521,370
       

 

        9,280,140

 

China – 0.5%

China Evergrande Group (NR/NR)(h)

HKD

    2,000,000       4.250     02/14/23   242,242

China Evergrande Group (NR/B2)(c)

$

    1,350,000       8.250     03/23/22   1,242,844

Kaisa Group Holdings Ltd. (NR/NR)(c)

    800,000       8.500     06/30/22   791,240

Kaisa Group Holdings Ltd. (NR/B2)(c)

    200,000       10.875     07/23/23   199,687
    260,000       11.950     11/12/23   266,963

Sunac China Holdings Ltd. (B+/B1)(c)

    1,080,000       8.350     04/19/23   1,112,400

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

China – (continued)

Tencent Holdings Ltd. (A+/A1)(a)(c)

$

    1,110,000       3.240   06/03/50   $       1,120,312

Yuzhou Properties Co. Ltd. (NR/B1)(c)

    970,000       7.700     02/20/25   945,750
       

 

        5,921,438

 

Colombia – 0.9%

Banco de Bogota SA (NR/Ba2)

    6,870,000       6.250 (a)    05/12/26   7,213,500
    1,980,000       6.250     05/12/26   2,079,000

Grupo Aval Ltd. (NR/Ba2)

    590,000       4.750     09/26/22   594,030
    1,530,000       4.375 (a)(c)    02/04/30   1,449,675
       

 

        11,336,205

 

Cyprus – 0.2%

MHP SE (B/NR)

    1,910,000       7.750     05/10/24   1,995,950

 

Dominican Republic(a)(c) – 0.2%

Aeropuertos Dominicanos Siglo XXI SA (B+/Ba3)

    3,220,000       6.750     03/30/29   2,863,224

 

Hong Kong – 0.3%

Huarong Finance 2017 Co. Ltd. (NR/Baa1)

    3,770,000       4.750     04/27/27   4,055,106

 

India – 0.7%

Adani Ports & Special Economic Zone Ltd. (BBB-/Baa3)

    580,000       4.375     07/03/29   569,125

Greenko Investment Co. (B+/NR)(a)(c)

    3,290,000       4.875     08/16/23   3,200,553

Reliance Industries Ltd. (BBB+/Baa2)

    550,000       4.125     01/28/25   597,609
    1,090,000       3.667 (a)    11/30/27   1,163,977

ReNew Power Synthetic (BB-/NR)(c)

    2,650,000       6.670     03/12/24   2,667,391
       

 

        8,198,655

 

Indonesia – 0.2%

Indonesia Asahan Aluminium Persero PT (NR/Baa2)(a)(c)

    1,060,000       5.800     05/15/50   1,189,193

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Indonesia – (continued)

Perusahaan Gas Persero Tbk PT (BBB-/Baa2)

$

    1,730,000       5.125   05/16/24   $       1,811,634
       

 

        3,000,827

 

Ireland – 0.6%

Credit Bank of Moscow Via CBOM Finance PLC (NR/NR)(c)(g) (5 Year USD Swap + 5.416%)

    310,000       7.500     10/05/27   301,281

Credit Bank of Moscow Via CBOM Finance PLC (BB-/NR)(a)

    430,000       4.700     01/29/25   427,313

Credit Bank of Moscow Via CBOM Finance PLC (BB-/Ba3)(a)

    3,010,000       5.550     02/14/23   3,087,131

Phosagro OAO Via Phosagro Bond Funding DAC (BBB-/Baa3)(a)

    3,610,000       3.949     04/24/23   3,737,478
       

 

        7,553,203

 

Ivory Coast – 0.6%

Brazil Minas SPE via State of Minas Gerais (BB-/NR)(a)(f)

    2,800,000       5.333     02/15/28   2,833,250

Comunicaciones Celulares SA Via Comcel Trust (NR/Ba1)(c)

    3,980,000       6.875     02/06/24   4,070,227
       

 

        6,903,477

 

Jamaica(a)(c) – 0.2%

Digicel Group 0.5 Ltd. (NR/NR)(i)

    13,939       7.000     12/31/99   1,185

(PIK 3.000%, Cash 5.000%)

    84,160       8.000     04/01/25   22,817

Digicel International Finance Ltd./Digicel Holdings Bermuda Ltd. (NR/Caa1)

    2,882,688       8.750     05/25/24   2,817,827
       

 

        2,841,829

 

Japan(c)(g) – 0.1%

SoftBank Group Corp. (B+/B2u) (5 Year USD ICE Swap + 4.226%)

    1,310,000       6.000     12/31/99   1,198,650

 

Kazakhstan – 0.0%

KazMunayGas National Co. JSC (BB/Baa3)

    373,000       4.750     04/19/27   404,822

 

Luxembourg – 0.7%

Gazprom PJSC Via Gaz Capital SA (BBB-/Baa2)

    410,000       8.625 (h)    04/28/34   625,762
    3,970,000       7.288     08/16/37   5,708,116

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Luxembourg – (continued)

MHP Lux SA (B/NR)

$

    380,000       6.950   04/03/26   $          386,650

Rede D’or Finance S.a.r.l. (BB-/NR)(c)

    620,000       4.500     01/22/30   543,864

Rede D’or Finance Sarl (BB-/NR)(a)(c)

    1,300,000       4.500     01/22/30   1,140,360
       

 

        8,404,752

 

Malaysia(a)(c) – 0.7%

Petronas Capital Ltd. (A-/A2)

    4,410,000       4.550     04/21/50   5,604,625
    1,890,000       4.800     04/21/60   2,585,085
       

 

        8,189,710

 

Mauritius – 0.5%

Greenko Investment Co. (B+/NR)(c)

    200,000       4.875     08/16/23   194,562

MTN Mauritius Investments Ltd. (BB-/Ba1)

    3,390,000       5.373     02/13/22   3,439,791
    1,790,000       4.755     11/11/24   1,783,847
    550,000       6.500 (a)    10/13/26   580,078
       

 

        5,998,278

 

Mexico – 4.7%

Banco Mercantil del Norte SA (BB-/Ba2)(c)(g)

(10 Year CMT + 5.353%)

    200,000       7.625     12/31/99   190,684

(10 Year CMT + 5.470%)

    1,350,000       7.500 (a)    12/31/99   1,269,675

(10 Year CMT + 5.470%)

    330,000       7.500     12/31/99   310,365

(5 Year CMT + 4.967%)

    3,820,000       6.750 (a)    12/31/99   3,605,722

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (NR/Baa1)(a)

    2,100,000       5.375     04/17/25   2,298,240

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (NR/Baa3)(a)(c)(g) (5 Year CMT + 2.995%)

    1,090,000       5.950     10/01/28   1,117,250

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (NR/Baa1)

    730,000       4.125     11/09/22   760,341

BBVA Bancomer SA (BB/NR)(c)(g)

(5 Year CMT + 2.650%)

    3,080,000       5.125 (a)    01/18/33   2,885,960

(5 Year CMT + 2.650%)

    750,000       5.125     01/18/33   702,750

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Mexico – (continued)

Cemex SAB de CV (BB/NR)(a)(c)

$

    400,000       7.375   06/05/27   $          403,443

Fomento Economico Mexicano SAB de CV (A-/NR)(c)

    520,000       3.500     01/16/50   535,579

Mexico City Airport Trust (BBB/Baa3)(c)

    1,180,000       4.250 (a)    10/31/26   1,112,150
    1,409,000       4.250     10/31/26   1,327,982
    5,200,000       3.875 (a)    04/30/28   4,738,500
    2,190,000       5.500 (a)    10/31/46   1,911,117
    722,000       5.500     10/31/46   630,058
    10,548,000       5.500     07/31/47   9,298,062

Petroleos Mexicanos (BBB/Ba2)

EUR

    13,560,000       5.125     03/15/23   14,939,483

$

    1,280,000       5.350     02/12/28   1,072,320
    997,000       5.950 (a)(c)    01/28/31   819,135
    1,940,000       5.625     01/23/46   1,372,550
    365,000       6.750     09/21/47   280,229
    2,091,000       6.350     02/12/48   1,539,812
    3,343,000       7.690 (a)(c)    01/23/50   2,788,898
    3,043,000       6.950 (a)(c)    01/28/60   2,336,263
       

 

        58,246,568

 

Netherlands – 1.8%

Bharti Airtel International Netherlands B.V. (BBB-/Ba1)

    550,000       5.125     03/11/23   576,297
    1,020,000       5.350     05/20/24   1,082,794

Greenko Dutch B.V. (NR/Ba1)(c)

    690,000       4.875     07/24/22   683,100
    260,000       5.250 (a)    07/24/24   257,156

IHS Netherlands Holdco B.V. (B-/B2)(a)(c)

    490,000       7.125     03/18/25   493,981
    400,000       8.000     09/18/27   405,750

Lukoil International Finance B.V. (BBB/NR)

    1,090,000       4.750     11/02/26   1,211,262

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Netherlands – (continued)

Lukoil Securities B.V. (BBB/NR)(a)

$

    1,740,000       3.875   05/06/30   $       1,814,629

Metinvest B.V. (B/NR)(c)

    301,000       7.750 (a)    04/23/23   297,614
    520,000       7.750     04/23/23   514,150

MV24 Capital B.V. (BB/NR)(a)

    1,501,716       6.748     06/01/34   1,422,125

NE Property B.V. (BBB/NR)(c)

EUR

    980,000       1.750     11/23/24   1,062,149

Petrobras Global Finance B.V. (BB-/Ba2)

$

    2,510,000       5.999     01/27/28   2,621,318
    1,820,000       6.850 (j)    06/05/15   1,799,343

Prosus NV (BBB-/Baa3)(c)

    460,000       5.500     07/21/25   520,088
    3,220,000       3.680 (a)    01/21/30   3,377,981

Syngenta Finance NV (BBB-/Ba2)(a)(c)

    4,640,000       5.676     04/24/48   4,659,210
       

 

        22,798,947

 

Pakistan – 0.6%

The Third Pakistan International Sukuk Co. Ltd. (NR/B3)

    2,130,000       5.500     10/13/21   2,084,737

The Third Pakistan International Sukuk Co. Ltd. (B-/B3)

    5,200,000       5.625     12/05/22   5,060,250
       

 

        7,144,987

 

Panama(a) – 0.0%

Autoridad del Canal de Panama (A/A1)

    380,000       4.950     07/29/35   429,638

 

Peru – 0.9%

ABY Transmision Sur SA (BBB/NR)(a)

    5,029,968       6.875     04/30/43   6,487,087

Corp. Lindley SA (BBB/NR)

    1,222,500       6.750 (a)    11/23/21   1,266,434
    2,670,000       6.750     11/23/21   2,765,953
    120,000       4.625 (a)    04/12/23   123,825
       

 

        10,643,299

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Philippines – 0.0%

International Container Terminal Services, Inc. (NR/NR)

$

    340,000       4.750   06/17/30   $          344,250

SMC Global Power Holdings Corp. (NR/NR)(c)(g) (5 Year CMT + 6.608%)

    210,000       6.500     12/31/99   206,128
       

 

        550,378

 

Singapore(c)(i) – 0.0%

Eterna Capital Pte Ltd. (CCC+p/Caa2)

    386,428       8.000     12/11/22   116,411

Innovate Capital Pte Ltd. (NR/NR)

    629,517       6.000     12/11/24   94,428
       

 

        210,839

 

South Africa – 0.2%

Eskom Holdings SOC Ltd. (BB-/Ba1)(f)

    1,470,000       6.350     08/10/28   1,465,406

Eskom Holdings SOC Ltd. (CCC+/Caa1)

    520,000       6.750     08/06/23   491,400
    800,000       7.125     02/11/25   740,250
       

 

        2,697,056

 

Thailand(a)(c) – 0.1%

PTTEP Treasury Center Co. Ltd. (NR/Baa1)

    1,040,000       2.993     01/15/30   1,084,850

 

Turkey – 1.2%

Akbank T.A.S. (NR/Caa2)(c)(g) (5 Year USD Swap + 4.029%)

    564,000       6.797     04/27/28   511,107

TC Ziraat Bankasi A/S (NR/B2)

    500,000       5.125     05/03/22   489,531

TC Ziraat Bankasi A/S (NR/B2)(a)

    770,000       5.125     09/29/23   735,109

Turkiye Vakiflar Bankasi TAO (NR/B2)

    1,090,000       8.125 (a)    03/28/24   1,118,613
    250,000       8.125     03/28/24   256,563
    1,080,000       5.250 (a)    02/05/25   990,225

Yapi ve Kredi Bankasi A/S (NR/B2)

    1,820,000       6.100     03/16/23   1,801,231
    200,000       5.850     06/21/24   192,563
    4,610,000       8.250 (a)    10/15/24   4,781,146

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Turkey – (continued)

Yapi ve Kredi Bankasi A/S (NR/Caa3u)(c)(g) (5 Year USD Swap + 11.245%)

$

    4,330,000       13.875   12/31/99   $       4,643,925
       

 

        15,520,013

 

United Arab Emirates – 2.2%

Abu Dhabi Crude Oil Pipeline LLC (AA/NR)(a)

    14,990,000       4.600     11/02/47   17,767,835

DP World PLC (NR/Baa3)(h)

    5,800,000       1.750     06/19/24   5,771,174

NBK Tier 1 Financing 2 Ltd. (NR/Baa3)(a)(c)(g) (6 Year USD Swap + 2.832%)

    2,480,000       4.500     12/31/99   2,354,450

Sharjah Sukuk Program Ltd. (BBB/Baa2)

    1,370,000       4.226     03/14/28   1,477,031
       

 

        27,370,490

 

United Kingdom – 0.9%

Gazprom PJSC Via Gaz Finance PLC (BBB-/Baa2)(a)

    11,140,000       3.250     02/25/30   11,077,338

Vedanta Resources Finance II PLC (B-/B3)(c)

    260,000       9.250     04/23/26   186,417

Vedanta Resources Ltd. (B-/B3)(c)

    200,000       6.125     08/09/24   137,750
       

 

        11,401,505

 

United States – 0.9%

Brazil Loan Trust 1 (BB-/NR)(a)(f)

    5,405,162       5.477     07/24/23   5,467,659

Sasol Financing USA LLC (BB/Ba2)(c)

    6,470,000       5.875     03/27/24   5,806,825
       

 

        11,274,484

 

Venezuela(e) – 0.4%

Petroleos de Venezuela SA (NR/NR)

    138,210,000       6.000     10/28/22   3,109,725

Petroleos de Venezuela SA (CCC-/NR)

    2,180,000       5.500     04/12/37   65,400

Petroleos de Venezuela SA (D/NR)

    41,690,000       6.000     05/16/24   1,167,320
    3,387,934       6.000     11/15/26   98,250
    19,170,000       5.375     04/12/27   508,005
       

 

        4,948,700

 

TOTAL CORPORATE OBLIGATIONS
(Cost $354,880,166)
  $   296,199,901

 

Shares     Dividend
Rate
  Value
Investment Company(k) – 5.2%

Goldman Sachs Financial Square Government Fund - Institutional Shares

65,203,767

    0.155%   $     65,203,767
(Cost $65,203,767)  

 

TOTAL INVESTMENTS – 92.3%
(Cost $1,283,607,764)
  $1,152,566,005

 

OTHER ASSETS IN EXCESS OF
    LIABILITIES – 7.7%
  95,835,975

 

NET ASSETS – 100.0%   $1,248,401,980

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2020.
(c)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(d)   Actual maturity date is April 03, 2120.
(e)   Security is currently in default and/or non-income producing.
(f)   Guaranteed by a foreign government until maturity. Total market value of these securities amounts to $13,337,740, which represents approximately 1.1% of the Fund’s net assets as of June 30, 2020.
(g)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(h)   Security with “Put” features and resetting interest rates. Maturity dates disclosed are the puttable dates. Interest rate disclosed is that which is in effect on June 30, 2020.
(i)   Pay-in-kind securities.
(j)   Actual maturity date is June 05, 2115.
(k)   Represents an affiliated fund.
Security ratings disclosed, if any, are obtained from by S&P’s /Moody’s Investor Service and are unaudited. A brief description of the ratings is available in the Fund’s Statement of Additional Information.

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

Currency Abbreviations:
AUD  

— Australian Dollar

BRL  

— Brazilian Real

CAD  

— Canadian Dollar

CHF  

— Swiss Franc

CLP  

— Chilean Peso

CNH  

— Chinese Yuan Renminbi Offshore

CNY  

— Chinese Yuan Renminbi

COP  

— Colombian Peso

CZK  

— Czech Koruna

DOP  

— Dominican Peso

EUR  

— Euro

GBP  

— British Pound

HKD  

— Hong Kong Dollar

HUF  

— Hungarian Forint

IDR  

— Indonesian Rupiah

ILS  

— Israeli Shekel

INR  

— Indian Rupee

JPY  

— Japanese Yen

KRW  

— South Korean Won

MXN  

— Mexican Peso

NOK  

— Norwegian Krone

NZD  

— New Zealand Dollar

PLN  

— Polish Zloty

RUB  

— Russian Ruble

SEK  

— Swedish Krona

THB  

— Thai Baht

TRY  

— Turkish Lira

TWD  

— Taiwan Dollar

USD  

— U.S. Dollar

ZAR  

— South African Rand

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

EURO  

— Euro Offered Rate

LLC  

— Limited Liability Company

NR  

— Not Rated

PLC  

— Public Limited Company

TIIE  

— La Tasa de Interbank Equilibrium Interest Rate

 

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


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2020, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

AUD

     9,357,573          USD        6,427,137          09/16/20        $ 32,220  
    

BRL

     13,639,274          USD        2,472,658          07/02/20          35,228  
    

CAD

     8,024,911          EUR        5,233,775          09/16/20          21,777  
    

CAD

     5,108,511          USD        3,753,982          09/16/20          9,504  
    

CHF

     2,274,793          EUR        2,129,148          09/16/20          10,303  
    

CHF

     2,251,627          USD        2,377,655          09/16/20          4,349  
    

CNH

     221,561,422          USD        31,124,102          09/16/20          78,553  
    

COP

     26,722,834,218          USD        6,982,234          07/06/20          124,891  
    

EUR

     1,109,751          CAD        1,692,860          09/16/20          1,802  
    

EUR

     1,062,124          CHF        1,128,905          09/16/20          1,073  
    

EUR

     1,028,413          GBP        933,428          09/16/20          271  
    

EUR

     1,112,333          NOK        11,971,152          09/16/20          7,771  
    

EUR

     2,479,998          USD        2,687,638          08/12/20          101,307  
    

EUR

     3,033,373          USD        3,409,957          09/16/20          3,892  
    

GBP

     1,975,974          EUR        2,163,297          09/16/20          14,903  
    

IDR

     20,569,598,400          USD        1,375,828          07/20/20          35,986  
    

ILS

     4,389,813          USD        1,259,034          09/16/20          10,889  
    

INR

     191,752,110          USD        2,511,610          07/15/20          22,073  
    

INR

     112,002,116          USD        1,467,725          07/28/20          10,539  
    

KRW

     7,653,192,152          USD        6,336,629          07/15/20          43,130  
    

KRW

     2,943,045,565          USD        2,437,184          09/02/20          16,518  
    

NOK

     11,325,812          EUR        1,041,471          09/16/20          4,914  
    

RUB

     652,519,499          USD        8,721,392          08/17/20          393,678  
    

SEK

     47,551,063          EUR        4,506,614          09/16/20          36,001  
    

SEK

     11,238,975          USD        1,202,055          09/16/20          5,223  
    

TRY

     24,074,941          USD        3,318,380          07/13/20          184,176  
    

TRY

     14,103,197          USD        2,003,942          09/16/20          10,180  
    

TWD

     72,778,671          USD        2,442,237          07/06/20          35,401  
    

TWD

     78,093,148          USD        2,625,050          07/20/20          40,869  
    

USD

     1,420,114          AUD        2,039,183          09/16/20          12,505  
    

USD

     14,183,465          BRL        74,231,681          07/02/20          534,318  
    

USD

     4,679,847          BRL        24,220,078          08/04/20          233,938  
    

USD

     10,129,323          CAD        13,582,743          09/16/20          122,793  
    

USD

     14,714,150          CLP        11,819,910,919          07/03/20          322,805  
    

USD

     5,133,177          CLP        4,168,155,847          08/27/20          54,410  
    

USD

     1,182,195          CLP        960,415,573          09/16/20          11,585  
    

USD

     3,299,663          COP        12,177,031,323          07/06/20          61,096  
    

USD

     1,256,890          COP        4,690,964,149          07/27/20          11,623  
    

USD

     4,420,193          EUR        3,900,093          08/12/20          34,245  
    

USD

     11,631,917          EUR        10,277,379          09/16/20          65,446  
    

USD

     19,970,899          GBP        15,832,536          09/16/20          343,896  
    

USD

     617,605          HUF        188,893,731          09/16/20          18,559  
    

USD

     3,721,002          IDR        53,272,538,983          07/20/20          64,590  
    

USD

     1,254,313          ILS        4,298,718          09/16/20          10,742  
    

USD

     10,056,606          JPY        1,076,725,417          09/16/20          74,207  
    

USD

     3,679,960          MXN        82,831,613          09/17/20          113,310  
    

USD

     1,253,140          NOK        11,934,407          09/16/20          12,877  
    

USD

     889,924          PLN        3,493,054          07/23/20          6,946  
    

USD

     11,265,499          RUB        787,375,483          08/17/20          266,617  
    

USD

     1,252,740          SEK        11,606,390          09/16/20          5,995  
    

USD

     1,271,411          TRY        8,688,058          07/13/20          7,424  
    

USD

     1,263,185          TRY        8,702,588          07/27/20          2,296  
    

USD

     1,250,137          TRY        8,630,573          07/29/20          417  
    

USD

     1,271,411          TRY        8,880,041          09/16/20          3,224  
    

USD

     8,031,771          ZAR        136,313,426          09/16/20          238,876  
    

ZAR

     52,544,755          USD        2,891,672          07/01/20          136,069  

 

 

TOTAL

                          $ 4,068,230  

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC

    

AUD

     10,126,304        USD      7,061,821          09/16/20        $ (71,827
    

BRL

     91,855,810        USD      17,812,439          07/02/20          (922,702
    

BRL

     13,653,516        USD      2,570,962          08/04/20          (64,683
    

CAD

     15,243,732        USD      11,346,264          09/16/20          (116,070
    

CHF

     10,303,852        USD      10,940,286          09/16/20          (39,807
    

CLP

     11,819,910,919        USD      14,927,148          07/03/20          (535,801
    

CLP

     7,015,366,528        USD      8,552,196          08/27/20          (4,194
    

CNH

     35,685,325        USD      5,030,679          09/16/20          (5,089
    

COP

     13,813,621,678        USD      3,734,088          07/06/20          (60,257
    

CZK

     16,455,306        USD      703,955          09/16/20          (9,952
    

EUR

     1,725,282        CAD      2,657,780          09/16/20          (16,326
    

EUR

     2,226,467        CHF      2,382,566          09/16/20          (14,791
    

EUR

     1,048,023        GBP      954,120          09/16/20          (3,311
    

EUR

     3,358,390        PLN      15,006,038          09/16/20          (14,233
    

EUR

     4,440,102        SEK      46,717,449          09/16/20          (21,310
    

EUR

     10,907,346        USD      12,346,410          08/12/20          (80,275
    

EUR

     81,214,210        USD      92,357,398          09/16/20          (956,484
    

GBP

     8,497,214        EUR      9,447,668          09/16/20          (99,012
    

GBP

     2,038,196        USD      2,559,117          09/16/20          (32,441
    

IDR

     86,633,208,080        USD      6,077,660          07/20/20          (131,508
    

IDR

     18,228,985,068        USD      1,250,917          08/03/20          (3,547
    

ILS

     1,841,949        USD      534,986          09/16/20          (2,131
    

INR

     120,056,221        USD      1,592,680          07/28/20          (8,113
    

JPY

     274,453,484        AUD      3,753,431          09/16/20          (46,444
    

JPY

     135,987,262        GBP      1,020,856          09/16/20          (4,770
    

JPY

     1,666,996,545        USD      15,580,543          09/16/20          (125,700
    

MXN

     31,646,633        USD      1,456,315          07/09/20          (81,070
    

MXN

     466,149,286        USD      21,022,184          09/17/20          (950,249
    

NOK

     12,467,311        EUR      1,179,355          09/16/20          (31,636
    

NOK

     11,924,470        SEK      11,764,324          09/16/20          (24,479
    

NOK

     110,401,536        USD      11,866,949          09/16/20          (393,649
    

PLN

     14,854,778        EUR      3,342,148          09/16/20          (5,733
    

PLN

     36,254,157        USD      9,250,279          09/16/20          (84,414
    

RUB

     512,214,706        USD      7,335,771          08/17/20          (180,624
    

SEK

     35,263,836        USD      3,808,938          09/16/20          (20,937
    

TRY

     17,466,389        USD      2,517,299          09/16/20          (22,869
    

USD

     3,730,857        AUD      5,470,017          09/16/20          (44,992
    

USD

     5,593,438        BRL      31,263,405          07/02/20          (155,036
    

USD

     1,215,056        CAD      1,649,937          09/16/20          (467
    

USD

     10,700,938        CHF      10,214,163          09/16/20          (104,659
    

USD

     1,657,823        CLP      1,363,641,964          08/27/20          (3,732
    

USD

     18,045,249        CNH      128,528,924          09/16/20          (55,572
    

USD

     7,328,848        COP      28,359,424,574          07/06/20          (213,541
    

USD

     2,939,646        COP      11,089,666,334          07/27/20          (4,225
    

USD

     312,409        COP      1,244,168,501          08/25/20          (17,055
    

USD

     192,308,639        EUR      176,978,404          08/12/20          (6,716,929
    

USD

     2,730,389        EUR      2,429,767          09/16/20          (4,143
    

USD

     3,449,260        IDR      52,342,249,137          07/20/20          (143,300
    

USD

     4,969,477        ILS      17,343,800          09/16/20          (47,891
    

USD

     5,044,616        INR      385,218,138          07/15/20          (45,396
    

USD

     9,295,065        INR      711,751,054          07/28/20          (99,010
    

USD

     2,620,371        KRW      3,161,516,112          07/15/20          (15,092
    

USD

     2,647,583        KRW      3,253,962,201          09/02/20          (65,339
    

USD

     9,419,776        MXN      233,365,154          07/09/20          (721,405
    

USD

     1,253,501        MXN      29,230,514          09/17/20          (5,137
    

USD

     1,251,306        NOK      12,115,992          09/16/20          (7,828
    

USD

     1,294,650        NZD      2,026,706          09/16/20          (13,089
    

USD

     12,085,025        PLN      50,196,567          07/23/20          (603,710
    

USD

     1,216,391        RUB      88,074,135          08/17/20          (13,920
    

USD

     3,078,799        THB      96,428,601          09/16/20          (40,676
    

USD

     2,494,424        TRY      18,149,959          07/13/20          (146,132
    

USD

     2,733,315        TRY      19,461,063          07/20/20          (92,150
    

USD

     1,235,000        TRY      8,571,876          07/27/20          (6,951
    

USD

     7,686,251        TRY      54,179,863          09/16/20          (51,346
    

USD

     3,885,971        TWD      114,755,265          07/15/20          (28,456
    

USD

     6,451,755        TWD      191,043,312          07/20/20          (70,018
    

USD

     7,253,177        TWD      213,291,931          08/06/20          (44,644
    

USD

     1,419,241        TWD      41,561,041          09/16/20          (9,275
    

ZAR

     44,068,103        USD      2,597,379          07/01/20          (58,080
    

ZAR

     21,982,480        USD      1,282,399          09/16/20          (25,683
    

ZAR

     96,612,858        USD      5,555,182          09/18/20          (32,969

 

 

TOTAL

                          $ (14,894,286

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

Ultra Long U.S. Treasury Bonds

     262      09/21/20      $ 57,156,938      $ 222,367  

Ultra 10 Year U.S. Treasury Notes

     500      09/21/20        78,742,187        410,154  

2 Year U.S. Treasury Notes

     277      09/30/20        61,169,391        13,626  

5 Year U.S. Treasury Notes

     1,209      09/30/20        152,022,305        348,737  

10 Year U.S. Treasury Notes

     505      09/21/20        70,281,797        135,588  

 

 

Total

                  $ 1,130,472  

 

 

Short position contracts:

                 

Eurodollars

     (2)      12/14/20        (498,550      (9,048

20 Year U.S. Treasury Bonds

     (99)      09/21/20        (17,677,687      (74,438

 

 

Total

                  $ (83,486

 

 

TOTAL FUTURES CONTRACTS

                  $ 1,046,986  

 

 

SWAP CONTRACTS — At June 30, 2020, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

   Payments
Received
by Fund
  Termination
Date
    Notional
Amount
(000s)
    Market
Value
    Upfront
Premium
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

1M BID Average(a)

   4.120%(a)     01/03/22     BRL 128,775     $ 454,236     $ (45,746   $ 499,982  

1M BID Avg(a)

   5.440(a)     01/03/22       16,480       132,173       (150,872     283,045  

Mexico Interbank TIIE 28 Days(a)

   4.500(a)     09/15/22     MXN   578,720 (b)      79,421       (15,191     94,612  

6.244(c)

   1M BID Average(c)     01/02/23     BRL 46,950       (484,657           (484,657

6.943(a)

   1M BID Average(a)     01/02/23       23,350       (308,461           (308,461

7.223(a)

   1M BID Average(a)     01/02/23       33,950       (487,108           (487,108

1M BID Avg(a)

   5.750(c)     01/02/23       80,805       711,890       99,051       612,839  

1M BID Avg(a)

   6.660(c)     01/02/23       11,448       155,967       18,873       137,094  

0.250(d)

   6M EURO(e)     09/16/23     EUR 18,310 (b)      (94,143     (40,449     (53,694

1M BID Average(a)

   4.930(a)     01/02/24     BRL 9,680 (b)      3,519       (4,075     7,594  

1M BID Average(a)

   6.260(a)     01/02/25       50,375       326,926       116,106       210,820  

6M CNY(e)

   2.500(f)     06/17/25     CNY 405,890       454,115       337,064       117,051  

Mexico Interbank TIIE 28 Days(a)

   5.400(a)     09/11/25     MXN 742,020 (b)      785,625       134,341       651,284  

0.000(d)

   6M EURO(e)     09/16/25     EUR 24,460 (b)      (495,482     (714,083     218,601  

0.000(d)

   6M EURO(e)     09/16/27       24,290 (b)      (554,717     (479,084     (75,633

0.250(d)

   6M EURO(e)     09/16/30       22,745 (b)      (1,082,889     (999,279     (83,610

0.500(d)

   6M EURO(e)     09/16/40       3,260 (b)      (315,212     (180,706     (134,506

0.500(d)

   6M EURO(e)     09/16/50       2,330 (b)      (372,508     (192,601     (179,907

 

 

TOTAL

         $ (1,091,305   $ (2,116,651   $ 1,025,346  

 

 

 

(a)   Payments made monthly.
(b)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2020.
(c)   Payments made at maturity.
(d)   Payments made annually.
(e)   Payments made semi-annually.
(f)   Payments made quarterly.


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER CREDIT DEFAULT SWAP CONTRACTS

 

Reference
Obligation/Index
  

Financing Rate
Paid by

the Fund(a)

   Credit
Spread at
June 30,
2020(b)
     Counterparty     Termination
Date
   Notional
Amount
(000s)
     Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased:

                    

People’s Republic of China, 7.500%, 10/28/27

       (1.000)%          0.135%        Barclays Bank PLC     06/20/21    $ 7,030      $ (61,972   $ 7,417     $ (69,389

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.121       
BofA Securities
LLC
 
 
  12/20/20      9,500        (42,986     7,909       (50,895

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135       
BofA Securities
LLC
 
 
  06/20/21      8,370        (73,784     19,034       (92,818

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.121        Citibank NA     12/20/20      20,690        (93,617     20,428       (114,045

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135        Citibank NA     06/20/21      48,730        (429,566     68,156       (497,722

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.177        Citibank NA     06/20/22      2,550        (42,541     (15,173     (27,368

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.121       
Deutsche Bank AG
(London)
 
 
  12/20/20      5,280        (23,891     4,570       (28,461

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135       
Deutsche Bank AG
(London)
 
 
  06/20/21      28,030        (247,091     21,135       (268,226

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.155       
Deutsche Bank AG
(London)
 
 
  12/20/21      15,570        (200,534     17,056       (217,590

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.121       
JPMorgan
Securities, Inc.
 
 
  12/20/20      18,200        (82,351     12,655       (95,006

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135       
JPMorgan
Securities, Inc.
 
 
  06/20/21      19,180        (169,076     14,498       (183,574

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.177       
JPMorgan
Securities, Inc.
 
 
  06/20/22      2,820        (47,027     (12,164     (34,863

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135        UBS AG (London)     06/20/21      18,520        (163,257     16,574       (179,831

 

 

Protection Sold:

                    

Republic of Chile, 3.875%, 08/05/20

       1.000%          0.187%        Citibank NA     12/20/20      11,510      $ 48,408     $ (14,795   $ 63,203  

Republic of Colombia, 10.375%, 01/28/33

   1.000      0.936        Citibank NA     12/20/22      3,940        7,431             7,431  

Ukraine Government, 7.375%, 09/25/32

   5.000      5.628       
Deutsche Bank AG
(London)
 
 
  12/20/23      3,820        (68,770     (233,113     164,343  

Republic of Colombia, 10.375%, 01/28/33

   1.000      0.936       
JPMorgan
Securities, Inc.
 
 
  12/20/22      3,600        6,790       822       5,968  

 

 

TOTAL

 

   $ (1,683,834   $ (64,991   $ (1,618,843

 

 

 

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


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
     Financing Rate
Received/(Paid)
by the Fund(a)
     Credit Spread
at June 30,
2020(b)
     Termination
Date
       Notional
Amount
(000s)
       Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                         

Federative Republic of Brazil,

4.250%, 01/07/25

       1.000%        2.381%        12/20/24        $ 21,780        $ (1,276,322    $ (175,638   $ (1,100,684

Kingdom of Saudi Arabia,

2.375%, 10/26/21

       1.000           0.879           06/20/24          17,110          87,060        66,748       20,312  

Republic of Abu Dhabi,

3.125%, 08/03/26

       1.000           0.688           12/20/24          4,140          58,782        101,464       (42,682

Republic of Chile,

3.875%, 08/05/20

       1.000           0.680           06/20/24          2,020          26,178        49,118       (22,940

Republic of Chile,

3.875%, 08/05/20

       1.000           0.776           12/20/24          12,630          129,180        284,831       (155,651

Republic of Colombia,

10.375%, 01/28/33

       1.000           1.180           12/20/23          29,500          (172,960      (322,298     149,338  

Republic of Colombia,

10.375%, 01/28/33

       1.000           1.287           06/20/24          2,730          (29,773      (1,296     (28,477

Republic of Peru,

8.750%, 11/21/33

       1.000           0.737           06/20/24          16,310          174,825        237,710       (62,885

Republic of Peru,

8.750%, 11/21/33

       1.000           0.838           12/20/24          11,830          88,576        148,234       (59,658

Republic of the Philippines,

10.625%, 03/16/25

       1.000           0.455           12/20/23          9,460          182,242        9,326       172,916  

Republic of the Philippines,

10.625%, 03/16/25

       1.000           0.599           12/20/24          2,270          41,172        (18,932     60,104  

Russian Federation,

7.500%, 03/31/30

       1.000           1.013           12/20/24          26,630          (7,384      (665,207     657,823  

Russian Federation,

7.500%, 03/31/30

       1.000           1.102           06/20/25          630          (2,971      (2,889     (82

State of Qatar,

9.750%, 06/15/30

       1.000           0.607           06/20/24          5,830          92,527        98,419       (5,892

State of Qatar,

9.750%, 06/15/30

       1.000           0.678           12/20/24          13,450          196,947        (191,072     388,019  

 

 

TOTAL

                     $ (411,921    $ (381,482   $ (30,439

 

 

 

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

 

 

Abbreviations:
1M BID Avg  

— 1 month Brazilian Interbank Deposit Average

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a)(b) – 1.2%

Commercial Services – 0.1%

Prime Security Services Borrower LLC (BB-/Ba3) (1M LIBOR + 3.250%)

$

    1,902,957       4.250   09/23/26   $       1,825,659

 

Computers – 0.1%

Banff Merger Sub, Inc. (B-/B2) (1M LIBOR + 4.250%)

    1,845,316       4.428     10/02/25   1,741,517

 

Entertainment – 0.1%

AMC Entertainment Holdings, Inc. (CCC+/Caa2) (6M LIBOR + 3.000%)

    2,393,939       4.080     04/22/26   1,731,129

 

Gaming – 0.1%

Mohegan Tribal Gaming Authority (CCC+/Caa1) (3M LIBOR + 4.375%)

    2,363,197       5.375     10/13/23   1,929,550

 

Healthcare Providers & Services – 0.1%

RegionalCare Hospital Partners Holdings, Inc. (B/B1) (1M LIBOR + 3.750%)

    1,910,454       3.928     11/17/25   1,786,026

 

Media - Cable – 0.1%

Altice France SA (B/B2) (1M LIBOR + 3.688%)

    1,970,603       3.872     01/31/26   1,885,296

 

Packaging – 0.1%

Charter NEX US, Inc. (B/B2) (1M LIBOR + 2.750%)

    1,925,985       3.750     05/16/24   1,839,046

 

Services Cyclical - Business Services – 0.1%

Travelport Finance (Luxembourg) S.a.r.l. (CCC/Caa2) (3M LIBOR + 5.000%)

    4,391,813       6.072     05/29/26   2,872,158

 

Technology - Software/Services – 0.4%

Mitchell International, Inc. (B-/B2) (1M LIBOR + 3.250%)

    2,087,026       3.428     11/29/24   1,942,249

The Dun & Bradstreet Corp. (B-/B2) (1M LIBOR + 4.000%)

    1,945,125       4.184     02/06/26   1,891,634

TriTech Software Systems (B-/Caa1) (1M LIBOR + 3.750%)

    2,076,604       3.928     08/29/25   1,812,710

Vertafore, Inc. (B-/B2) (1M LIBOR + 3.250%)

    1,971,559       3.434     07/02/25   1,854,507
       

 

        7,501,100

 

Telecommunication Services – 0.0%

Intelsat Jackson Holdings SA (NR/WR) (3M LIBOR + 5.500%)

    19,956       6.500     07/14/21   20,218

 

TOTAL BANK LOANS
(Cost $25,608,794)
  $23,131,699

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 93.8%

Advertising(c) – 0.7%

Lamar Media Corp. (BB-/Ba3)(d)

$

    926,000       3.750   02/15/28   $          877,385

National CineMedia LLC (B/B1)(d)

    2,025,000       5.875     04/15/28   1,680,750

National CineMedia LLC (CCC+/Caa1)

    3,250,000       5.750     08/15/26   2,275,000

Outfront Media Capital LLC/Outfront Media Capital Corp. (B+/B2)(d)

    1,100,000       6.250     06/15/25   1,105,500

Outfront Media Capital LLC/Outfront Media Capital Corp. (B+/B2)(d)

    1,160,000       5.000     08/15/27   1,044,000
    2,900,000       4.625     03/15/30   2,639,000

Terrier Media Buyer, Inc. (CCC+/Caa1)(d)

    4,100,000       8.875     12/15/27   3,925,750
       

 

        13,547,385

 

Aerospace & Defense – 1.8%

Bombardier, Inc. (CCC+/Caa3)(d)

    1,015,000       5.750     03/15/22   748,563
    4,330,000       6.125     01/15/23   2,944,400
    225,000       7.500 (c)    12/01/24   146,250
    9,208,000       7.500 (c)    03/15/25   6,008,220

Howmet Aerospace, Inc. (BBB-/Ba3)(c)

    1,289,000       6.875     05/01/25   1,400,099

Moog, Inc. (BB/Ba3)(c)(d)

    2,045,000       4.250     12/15/27   1,986,206

Spirit AeroSystems, Inc. (B+/Ba2)(c)(d)

    2,823,000       7.500     04/15/25   2,801,827

TransDigm UK Holdings PLC (B-/B3)(c)

    220,000       6.875     05/15/26   205,425

TransDigm, Inc. (NR/B3)(c)

    9,215,000       5.500     11/15/27   8,040,087

TransDigm, Inc. (B+/Ba3)(c)(d)

    1,323,000       8.000     12/15/25   1,387,496

TransDigm, Inc. (B-/B3)(c)

    6,885,000       6.500     05/15/25   6,437,475
    3,580,000       6.375     06/15/26   3,266,750
    215,000       7.500     03/15/27   205,325

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Aerospace & Defense – (continued)

Triumph Group, Inc. (CCC-/Caa3)(c)

$

    225,000       7.750   08/15/25   $       170,438
       

 

  35,748,561

 

Airlines – 0.6%

Delta Air Lines, Inc. (BB/Baa3)(c)

    2,425,000       2.900     10/28/24   1,964,250
    3,498,000       7.375     01/15/26   3,384,315

Delta Air Lines, Inc. (BBB-/Baa2)(d)

    3,192,000       7.000     05/01/25   3,294,623

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd. (NR/Baa3)(c)(d)

    2,507,000       6.500     06/20/27   2,510,134
       

 

  11,153,322

 

Automotive – 4.8%

Adient Global Holdings Ltd. (B/B3)(c)(d)

    2,951,000       4.875     08/15/26   2,434,575

Adient US LLC (B+/Ba3)(c)(d)

    2,477,000       7.000     05/15/26   2,557,502

American Axle & Manufacturing, Inc. (B-/B2)(c)

    7,810,000       6.250     04/01/25   7,673,325
    230,000       6.250     03/15/26   223,100
    230,000       6.500     04/01/27   222,525
    1,775,000       6.875     07/01/28   1,757,250

Clarios Global LP/Clarios US Finance Co. (B/B1)(c)

EUR

    836,000       4.375     05/15/26   926,942

Clarios Global LP/Clarios US Finance Co. (CCC+/Caa1)(c)(d)

$

    8,200,000       8.500     05/15/27   8,261,500

Dana Financing Luxembourg S.a.r.l. (BB-/B2)(c)(d)

    2,440,000       5.750     04/15/25   2,476,600

Dana, Inc. (BB-/B2)(c)

    4,350,000       5.375     11/15/27   4,322,812

Dealer Tire LLC/DT Issuer LLC (CCC/Caa1)(c)(d)

    5,239,000       8.000     02/01/28   4,859,172

Delphi Technologies PLC (BB-/B3)(d)

    3,403,000       5.000     10/01/25   3,649,717

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Automotive – (continued)

Ford Motor Co. (BB+/Ba2)

$

    4,823,000       9.000 %(c)    04/22/25   $       5,214,690
    1,518,000       4.346 (c)    12/08/26   1,413,638
    7,526,000       4.750     01/15/43   5,926,725

Ford Motor Credit Co. LLC (BB+/Ba2)

    3,027,000       3.336     03/18/21   2,996,791
    2,332,000       3.813     10/12/21   2,299,224
    958,000       3.087     01/09/23   911,525
    4,200,000       4.140 (c)    02/15/23   4,110,238
    8,816,000       4.375     08/06/23   8,638,842
    772,000       3.810 (c)    01/09/24   739,709
    1,350,000       4.687 (c)    06/09/25   1,315,309
    4,881,000       5.125 (c)    06/16/25   4,878,696

General Motors Co. (BBB/Baa3)

    602,000       5.400     10/02/23   651,214

IHO Verwaltungs GmbH (BB+/Ba2)(c)(d)(e)

(PIK 5.500%, Cash 4.750%)

    2,695,000       4.750     09/15/26   2,691,631

(PIK 6.750%, Cash 6.000%)

    900,000       6.000     05/15/27   907,875

Meritor, Inc. (BB-/B1)(c)(d)

    730,000       6.250     06/01/25   737,300

Navistar International Corp. (B/B2)(c)(d)

    1,030,000       9.500     05/01/25   1,104,675

Navistar International Corp. (CCC+/B3)(c)(d)

    2,175,000       6.625     11/01/25   2,060,813

Tenneco, Inc. (B-/Caa1)(c)

    2,500,000       5.000     07/15/26   1,706,250

Tesla, Inc. (B-/Caa1)(c)(d)

    4,295,000       5.300     08/15/25   4,284,262

The Goodyear Tire & Rubber Co. (B+/B2)(c)

    1,955,000       9.500     05/31/25   2,094,294
       

 

  94,048,721

 

Banks – 1.9%

Barclays PLC (B+/Ba2)(b)(c) (5 Year CMT + 5.672%)

    5,350,000       8.000     12/31/99   5,564,000

Citigroup, Inc. (BB+/Ba1)(b)(c)

(3M USD LIBOR + 3.423%)

    6,125,000       6.300     12/29/49   6,140,313

(3M USD LIBOR + 3.950%)

    2,050,000       5.950     12/29/49   2,042,313

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Credit Suisse Group AG (BB/NR)(b)(c) (5 Year USD Swap + 3.455%)

$

    1,129,000       6.250   12/29/49   $       1,181,216

Credit Suisse Group AG (BB-/NR)(b)(c)(d) (5 Year CMT + 3.293%)

    1,100,000       5.100     12/31/99   1,040,875

Deutsche Bank AG (B+/B1)(b)(c) (5 Year CMT + 4.524%)

    1,800,000       6.000     12/31/99   1,480,500

Deutsche Bank AG (BB+/Ba2)(b)(c) (5 Year USD ICE Swap + 2.553%)

    5,150,000       4.875     12/01/32   4,789,500

Intesa Sanpaolo SpA (BB+/Ba1)(d)

    2,350,000       5.017     06/26/24   2,408,750
    3,120,000       5.710     01/15/26   3,283,800

Royal Bank of Scotland Group PLC (BB-/Ba2)(b)(c) (3M USD LIBOR + 2.320%)

    2,300,000       2.628     12/31/49   2,116,000

The Bank of New York Mellon Corp. (BBB/Baa1)(b)(c ) (5 Year CMT + 4.358%)

    1,220,000       4.700     12/31/99   1,269,312

UBS Group AG (BB/Ba1u)(b)(c)(d) (5 Year USD Swap + 4.344%)

    4,000,000       7.000     12/31/99   4,170,000

UniCredit SpA (BB+/Baa3)(b)(c)(d) (5 Year USD ICE Swap + 4.750%)

    2,375,000       5.459     06/30/35   2,395,235
       

 

  37,881,814

 

Building Materials(c) – 1.9%

American Woodmark Corp. (BB/Ba2)(d)

    3,170,000       4.875     03/15/26   3,094,713

BMC East LLC (BB/B1)(d)

    1,250,000       5.500     10/01/24   1,259,375

Builders FirstSource, Inc. (B+/B3)(d)

    611,000       5.000     03/01/30   573,576

Builders FirstSource, Inc. (BB+/B1)(d)

    7,034,000       6.750     06/01/27   7,201,057

Cornerstone Building Brands, Inc. (B-/Caa1)(d)

    6,465,000       8.000     04/15/26   6,513,488

Griffon Corp. (B+/B2)

    986,000       5.750     03/01/28   973,675

JELD-WEN, Inc. (BB-/B2)(d)

    3,730,000       4.625     12/15/25   3,543,500
    4,220,000       4.875     12/15/27   4,051,200

Masonite International Corp. (BB+/Ba3)(d)

    2,675,000       5.375     02/01/28   2,741,875

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Building Materials(c) – (continued)

Standard Industries, Inc. (BBB-/Ba2)(d)

$

    2,005,000       4.375   07/15/30   $       1,983,887

Standard Industries, Inc. (BBB-/Ba2)(d)

    3,169,000       5.000     02/15/27   3,216,535

Summit Materials LLC/Summit Materials Finance Corp. (BB/B3)(d)

    2,580,000       6.500     03/15/27   2,631,600
       

 

  37,784,481

 

Chemicals – 3.8%

Ashland Services B.V. (BB+/Ba1)(c)(d)

EUR

    825,000       2.000     01/30/28   857,437

Axalta Coating Systems LLC (BB-/B1)(c)(d)

    $2,315,000       4.875     08/15/24   2,341,044

Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding B B.V. (BB-/B1)(c)(d)

    860,000       4.750     06/15/27   863,225

Cornerstone Chemical Co. (B-/B3)(c)(d)

    4,060,000       6.750     08/15/24   3,654,000

Hexion, Inc. (CCC+/B3)(c)(d)

    2,683,000       7.875     07/15/27   2,461,653

Illuminate Buyer LLC/Illuminate Holdings IV, Inc. (B-/Caa1)(c)(d)

    1,087,000       9.000     07/01/28   1,134,556

Ingevity Corp. (NR/Ba3)(c)(d)

    3,295,000       4.500     02/01/26   3,245,575

Kraton Polymers LLC/Kraton Polymers Capital Corp. (BB-/B3)(c)(d)

    2,245,000       7.000     04/15/25   2,245,000

Minerals Technologies, Inc. (BB-/Ba3)(c)(d)

    3,507,000       5.000     07/01/28   3,559,605

OCI NV (BB/Ba3)(c)(d)

    1,500,000       5.250     11/01/24   1,434,375

Olin Corp. (BB-/Ba3)(c)

    1,650,000       5.000     02/01/30   1,460,250

Polyone Corp. (BB-/Ba3)(c)(d)

    2,193,000       5.750     05/15/25   2,256,049

PQ Corp. (B/B3)(c)(d)

    5,475,000       5.750     12/15/25   5,536,594

SPCM SA (BB+/Ba2)(c)(d)

    4,165,000       4.875     09/15/25   4,211,856

Starfruit Finco B.V./Starfruit US Holdco. LLC (B-/Caa1)(c)(d)

    5,365,000       8.000     10/01/26   5,472,300

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Chemicals – (continued)

The Chemours Co. (B/B1)(c)

$

    4,225,000       6.625   05/15/23   $       4,019,031
    5,255,000       7.000     05/15/25   5,011,956
    270,000       5.375     05/15/27   244,350

Tronox Finance PLC (B/B3)(c)(d)

    2,685,000       5.750     10/01/25   2,483,625

Tronox, Inc. (B/B3)(c)(d)

    230,000       6.500     04/15/26   215,050

Tronox, Inc. (B+/Ba3)(c)(d)

    2,100,000       6.500     05/01/25   2,097,375

Valvoline, Inc. (BB-/Ba3)(c)

    1,560,000       4.375 (d)    08/15/25   1,567,800
    4,055,000       4.375     08/15/25   4,075,275

Venator Finance S.a.r.l./Venator Materials LLC (CCC+/Caa1)(c)(d)

    2,520,000       5.750     07/15/25   1,795,500

Westlake Chemical Corp. (BBB-/Baa2)(c)

    684,000       3.375     06/15/30   696,996

WR Grace & Co-Conn (BB-/Ba3)(d)

    8,365,000       5.625     10/01/24   8,783,250
    2,487,000       4.875 (c)    06/15/27   2,511,870
       

 

        74,235,597

 

Commercial Services – 3.1%

Algeco Global Finance PLC (B-/B2)(c)(d)

    2,375,000       8.000     02/15/23   2,268,125

Allied Universal Holdco LLC/Allied Universal Finance Corp. (CCC/Caa2)(c)(d)

    6,685,000       9.750     07/15/27   7,035,963

APX Group, Inc. (B-/B3)(c)(d)

    3,125,000       6.750     02/15/27   2,921,875

Ashtead Capital, Inc. (BBB-/Baa3)(c)(d)

    1,703,000       5.250     08/01/26   1,788,150
    2,130,000       4.250     11/01/29   2,130,916

Avis Budget Car Rental LLC/Avis Budget Finance, Inc. (B/B3)(c)

    135,000       5.500     04/01/23   114,075
    2,262,000       5.750 (d)    07/15/27   1,721,948

Graham Holdings Co. (BB/Ba1)(c)(d)

    3,350,000       5.750     06/01/26   3,467,250

Herc Holdings, Inc. (B+/B3)(c)(d)

    947,000       5.500     07/15/27   950,551

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Commercial Services – (continued)

Jaguar Holding Co. II/PPD Development LP (B/B2)(c)(d)

$

    1,150,000       4.625   06/15/25   $       1,170,125
    1,350,000       5.000     06/15/28   1,380,375

MPH Acquisition Holdings LLC (B-/Caa1)(c)(d)

    8,435,000       7.125     06/01/24   7,844,550

Nielsen Finance LLC/Nielsen Finance Co. (BB-/B2)(c)(d)

    3,395,000       5.000     04/15/22   3,373,781

Prime Security Services Borrower LLC/Prime Finance, Inc. (B-/B3)(c)(d)

    7,512,000       6.250     01/15/28   7,080,060

Prime Security Services Borrower LLC/Prime Finance, Inc. (BB-/Ba3)(d)

    1,900,000       5.250     04/15/24   1,942,750

Refinitiv US Holdings, Inc. (B-/Caa2)(c)(d)

    5,814,000       8.250     11/15/26   6,293,655

Team Health Holdings, Inc. (CCC/Ca)(c)(d)

    1,605,000       6.375     02/01/25   946,950

The Nielsen Co. Luxembourg S.a.r.l. (BB-/B2)(c)(d)

    1,325,000       5.000     02/01/25   1,305,125

United Rentals North America, Inc. (BB-/Ba3)(c)

    3,420,000       6.500     12/15/26   3,591,000
    1,041,000       4.875     01/15/28   1,067,025

Verscend Escrow Corp. (CCC+/Caa2)(c)(d)

    2,145,000       9.750     08/15/26   2,308,556

Vertical Holdco Gmbh Co. (CCC/Caa1)(c)(d)

    545,000       7.625     07/15/28   545,000

Vertical US New Co., Inc. (B/B1)(c)(d)

    275,000       5.250     07/15/27   275,000
       

 

        61,522,805

 

Computers(c)(d) – 1.3%

Banff Merger Sub, Inc. (CCC+/Caa2)

    8,765,000       9.750     09/01/26   8,819,781

Dell International LLC/EMC Corp. (BB/Ba2)

    3,261,000       5.875     06/15/21   3,256,924
    6,980,000       7.125     06/15/24   7,224,300

MTS Systems Corp. (B+/B3)

    600,000       5.750     08/15/27   550,500

NCR Corp. (BB-/B3)

    732,000       8.125     04/15/25   775,005

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Computers(c)(d) – (continued)

Presidio Holdings, Inc. (CCC+/Caa1)

$

    1,335,000       8.250   02/01/28   $       1,323,319

Science Applications International Corp. (BB-/B1)

    3,901,000       4.875     04/01/28   3,881,495
       

 

        25,831,324

 

Distribution & Wholesale(c) – 1.0%

American Builders & Contractors Supply Co., Inc. (B+/B3)(d)

    3,030,000       5.875     05/15/26   3,014,850

Core & Main Holdings LP (CCC+/Caa2)(d)(e) (PIK 9.375%, Cash 8.625%)

    5,000,000       8.625     09/15/24   5,006,250

Core & Main LP (CCC+/Caa2)(d)

    2,725,000       6.125     08/15/25   2,711,375

H&E Equipment Services, Inc. (BB-/B2)

    1,915,000       5.625     09/01/25   1,936,544

IAA, Inc. (B/B2)(d)

    1,450,000       5.500     06/15/27   1,497,125

Performance Food Group, Inc. (B/B2)(d)

    946,000       5.500     06/01/24   936,540

Resideo Funding, Inc. (BB/B3)(d)

    5,129,000       6.125     11/01/26   4,949,085

Wolverine Escrow LLC (B-/Caa1)(d)

    230,000       8.500     11/15/24   155,250
    225,000       9.000     11/15/26   151,875
       

 

        20,358,894

 

Diversified Financial Services – 3.7%

AerCap Holdings NV (BB+/Ba2)(b)(c) (5 Year CMT + 4.535%)

    3,265,000       5.875     10/10/79   2,318,150

Curo Group Holdings Corp. (B-/B3)(c)(d)

    5,425,000       8.250     09/01/25   4,340,000

Global Aircraft Leasing Co. Ltd. (NR/Ba2)(c)(d)(e) (PIK 7.250%, Cash 6.500%)

    12,397,000       6.500     09/15/24   8,739,885

Icahn Enterprises LP/Icahn Enterprises Finance Corp. (BB+/Ba3)(c)

    7,800,000       4.750     09/15/24   7,390,500

Lincoln Financing S.a.r.l. (BB+/B1)(c)(d)

EUR

    3,125,000       3.625     04/01/24   3,194,952

LPL Holdings, Inc. (BB/B1)(c)(d)

$

    820,000       5.750     09/15/25   830,250

Nationstar Mortgage Holdings, Inc. (B/B2)(c)(d)

    5,540,000       8.125     07/15/23   5,685,425
    2,800,000       6.000     01/15/27   2,681,000

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Diversified Financial Services – (continued)

Navient Corp. (B+/Ba3)

$

    1,090,000       7.250   01/25/22   $       1,092,725
    2,140,000       5.500     01/25/23   2,051,725
    6,482,000       5.875     10/25/24   6,076,875
    3,035,000       6.750     06/15/26   2,822,550
    5,550,000       5.000 (c)    03/15/27   4,634,250

Quicken Loans, Inc. (BB/Ba1)(c)(d)

    3,525,000       5.250     01/15/28   3,665,027

Springleaf Finance Corp. (BB-/Ba3)

    3,790,000       5.625     03/15/23   3,832,638
    4,753,000       8.875 (c)    06/01/25   5,079,769
    5,190,000       7.125     03/15/26   5,352,187
    2,175,000       6.625 (c)    01/15/28   2,142,375

The Charles Schwab Corp. (BBB/Baa2)(b)(c) (5 Year CMT + 4.971%)

    1,700,000       5.375     12/31/99   1,810,500
       

 

        73,740,783

 

Electrical(c) – 2.3%

Calpine Corp. (B/B2)

    1,055,000       5.500     02/01/24   1,052,363
    2,797,000       5.750     01/15/25   2,824,970
    1,940,000       5.125 (d)    03/15/28   1,896,350

Calpine Corp. (BB/Ba2)(d)

    5,995,000       5.250     06/01/26   6,084,925
    6,500,000       4.500     02/15/28   6,337,500

NRG Energy, Inc. (BB/Ba2)

    2,990,000       5.750     01/15/28   3,150,712
    905,000       5.250 (d)    06/15/29   950,250

PG&E Corp. (BB-/B1)

    275,000       5.000     07/01/28   273,281
    2,190,000       5.250     07/01/30   2,203,688

Sempra Energy (BBB-/Ba1)(b)(5 Year CMT + 4.550%)

    2,554,000       4.875     12/31/99   2,552,289

Talen Energy Supply LLC (BB-/Ba3)(d)

    3,850,000       7.250     05/15/27   3,869,250
    1,675,000       6.625     01/15/28   1,641,500

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Electrical(c) – (continued)

Talen Energy Supply LLC (CCC+/B3)

$

    4,380,000       6.500     06/01/25   $       2,978,400
    2,050,000       10.500 %(d)    01/15/26   1,640,000

Vistra Operations Co. LLC (BB/Ba2)(d)

    1,249,000       5.625     02/15/27   1,281,786
    6,875,000       5.000     07/31/27   6,969,531
       

 

        45,706,795

 

Electrical Components & Equipment(c)(d) – 0.5%

Energizer Holdings, Inc. (B+/B2)

    289,000       6.375     07/15/26   297,670
    3,635,000       7.750     01/15/27   3,880,362

Wesco Distribution, Inc. (BB-/B2)

    5,304,000       7.125     06/15/25   5,569,200
       

 

        9,747,232

 

Electronics(d) – 0.2%

Sensata Technologies B.V. (BB+/Ba3)

    1,040,000       5.000     10/01/25   1,102,400

Sensata Technologies, Inc. (BB+/Ba3)(c)

    3,475,000       4.375     02/15/30   3,440,250
       

 

        4,542,650

 

Energy-Alternate Sources(c)(d) – 0.0%

Enviva Partners LP/Enviva Partners Finance Corp. (B+/B1)

    690,000       6.500     01/15/26   717,600

 

Entertainment – 3.2%

Allen Media LLC/Allen Media Co-Issuer, Inc. (B-/Caa1)(c)(d)

    5,650,000       10.500     02/15/28   5,169,750

AMC Entertainment Holdings, Inc. (CCC+/Caa2)(c)(d)

    2,241,000       10.500     04/15/25   1,815,210

Caesars Resort Collection LLC/CRC Finco, Inc. (CCC+/Caa1)(c)(d)

    5,310,000       5.250     10/15/25   4,619,700

Cedar Fair LP/Canada’s Wonderland Co/Magnum Management Corp./Millennium Op (BB-/Ba2)(c)(d)

    1,844,000       5.500     05/01/25   1,853,220

Cinemark USA, Inc. (BB+/Ba2)(c)(d)

    1,900,000       8.750     05/01/25   1,976,000

Cinemark USA, Inc. (BB-/B3)(c)

    4,535,000       4.875     06/01/23   3,832,075

Colt Merger Sub, Inc. (B/B1)(c)(d)

    1,893,000       6.250     07/01/25   1,902,465

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Entertainment – (continued)

Colt Merger Sub, Inc. (B+/B1)(c)(d)

$

    1,471,000       5.750   07/01/25   $       1,478,355

Colt Merger Sub, Inc. (CCC+/Caa1)(c)(d)

    3,499,000       8.125     07/01/27   3,402,777

International Game Technology PLC (BB/Ba3)(c)(d)

    2,556,000       5.250     01/15/29   2,492,100

Lions Gate Capital Holdings LLC (CCC+/B2)(c)(d)

    235,000       6.375     02/01/24   227,950
    6,775,000       5.875     11/01/24   6,402,375

Live Nation Entertainment, Inc. (NR/NR)(d)

    2,900,000       2.000     02/15/25   2,513,618

Live Nation Entertainment, Inc. (B/B1)(c)(d)

    1,700,000       5.625     03/15/26   1,585,250

Mohegan Gaming & Entertainment (CCC/Ca)(c)(d)

    2,595,000       7.875     10/15/24   2,144,119

Motion Bondco DAC (CCC+/Caa1)(c)(d)

    2,235,000       6.625     11/15/27   1,966,800

Penn National Gaming, Inc. (B/B3)(c)(d)

    2,175,000       5.625     01/15/27   2,041,781

Pinewood Finance Co. Ltd. (BB/NR)(c)(d)

GBP

    1,200,000       3.250     09/30/25   1,465,345

Scientific Games International, Inc. (B-/Caa2)(c)(d)

$

    10,004,000       8.250     03/15/26   8,866,045
    2,300,000       7.000     05/15/28   1,834,250

Six Flags Theme Parks, Inc. (BB-/Ba2)(c)(d)

    1,711,000       7.000     07/01/25   1,775,163

Vail Resorts, Inc. Co. (BB/B2)(c)(d)

    463,000       6.250     05/15/25   484,414

WMG Acquisition Corp. (BB/Ba3)(c)(d)

    1,230,000       3.875     07/15/30   1,242,300

WMG Acquisition Corp. (BB-/B2)(c)(d)

    1,225,000       5.500     04/15/26   1,264,813
       

 

        62,355,875

 

Environmental(c)(d) – 0.4%

GFL Environmental, Inc. (B-/B3)

    810,000       7.000     06/01/26   842,400
    4,113,000       8.500     05/01/27   4,472,888

GFL Environmental, Inc. (BB-/Ba3)

    700,000       4.250     06/01/25   706,125

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Environmental(c)(d) – (continued)

Waste Pro USA, Inc. (B/Caa1)

$

    909,000       5.500   02/15/26   $          855,596
       

 

  6,877,009

 

Food & Drug Retailing – 4.7%

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertson’s LLC (B-/B2)(c)(d)

    510,000       7.500     03/15/26   552,075

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertson’s LLC (BB-/B2)(c)

    4,930,000       5.750     03/15/25   5,028,600

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC (B-/B2)(c)(d)

    5,385,000       4.625     01/15/27   5,371,537
    4,025,000       5.875     02/15/28   4,145,750

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC (B-/B2)(c)(d)

    1,655,000       4.875     02/15/30   1,700,513

B&G Foods, Inc. (B+/B2)(c)

    3,415,000       5.250     04/01/25   3,432,075
    235,000       5.250     09/15/27   235,588

Chobani LLC/Chobani Finance Corp., Inc. (CCC/Caa2)(c)(d)

    3,157,000       7.500     04/15/25   3,062,290

FAGE International SA/FAGE USA Dairy Industry, Inc. (B+/B2)(c)(d)

    1,505,000       5.625     08/15/26   1,424,106

H-Food Holdings LLC/Hearthside Finance Co., Inc. (CCC/Caa2)(c)(d)

    7,449,000       8.500     06/01/26   6,927,570

JBS USA LUX SA/JBS USA Finance, Inc. (BB/Ba2)(c)(d)

    3,900,000       5.875     07/15/24   3,948,750
    2,275,000       5.750     06/15/25   2,306,281

JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc. (BB/Ba2)(c)(d)

    3,200,000       5.500     01/15/30   3,280,000

Kraft Heinz Foods Co. (BB+/Baa3)(c)

    18,105,000       3.000     06/01/26   18,350,287
    1,752,000       4.625     01/30/29   1,895,886
    770,000       4.250 (d)    03/01/31   815,813
    4,960,000       4.875 (d)    10/01/49   5,115,794
    1,658,000       5.500 (d)    06/01/50   1,760,043

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Food & Drug Retailing – (continued)

Lamb Weston Holdings, Inc. (BB+/Ba2)(c)(d)

$

    120,000       4.875   05/15/28   $          126,600

New Albertsons LP (B-/WR)

    3,100,000       7.450     08/01/29   3,332,500

Post Holdings, Inc. (B+/B2)(c)(d)

    3,225,000       5.000     08/15/26   3,237,094
    4,945,000       5.750     03/01/27   5,111,894
    6,180,000       5.625     01/15/28   6,380,850
    1,365,000       4.625     04/15/30   1,341,113

Sigma Holdco B.V. (B-/B3)(c)(d)

    2,350,000       7.875     05/15/26   2,329,437

US Foods, Inc. (BB/B3)(c)(d)

    1,980,000       6.250     04/15/25   2,014,650
       

 

  93,227,096

 

Food Service(c)(d) – 0.2%

Aramark Services, Inc. (BB-/B1)

    582,000       6.375     05/01/25   600,188
    3,010,000       5.000     02/01/28   2,859,500
       

 

  3,459,688

 

Forest Products&Paper(c) – 0.4%

Mercer International, Inc. (B+/Ba3)

    4,950,000       7.375     01/15/25   4,962,375
    2,305,000       5.500     01/15/26   2,160,937
       

 

  7,123,312

 

Gaming – 1.6%

Boyd Gaming Corp. (B-/Caa1)(c)

    2,835,000       8.625 (d)    06/01/25   2,962,575
    1,585,000       6.000     08/15/26   1,485,937
    2,200,000       4.750 (d)    12/01/27   1,892,000

Hilton Domestic Operating Co., Inc. (BB/Ba2)(c)(d)

    225,000       5.375     05/01/25   225,563
    604,000       5.750     05/01/28   611,550

Hilton Domestic Operating Co., Inc. (BB/Ba2)(c)

    1,970,000       4.875     01/15/30   1,940,450

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Gaming – (continued)

Marriott International, Inc. (BBB-/Baa3)(c)

$

    629,000       5.750   05/01/25   $          684,648
    998,000       4.625     06/15/30   1,037,561

MGM China Holdings Ltd. (BB-/Ba3)(c)(d)

    910,000       5.250     06/18/25   923,650

MGM Resorts International (BB-/Ba3)

    2,569,000       7.750     03/15/22   2,610,746
    4,620,000       6.000     03/15/23   4,660,425
    5,648,000       5.500 (c)    04/15/27   5,457,380

Sands China Ltd. (BBB-/Baa2)(c)(d)

    630,000       4.375     06/18/30   656,113

Station Casinos LLC (B-/Caa1)(c)(d)

    3,912,000       4.500     02/15/28   3,286,080

Wyndham Destinations, Inc. (BB-/Ba3)(c)(d)

    600,000       4.625     03/01/30   557,250

Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp. (BB-/B1)(c)(d)

    2,350,000       5.500     03/01/25   2,144,375
       

 

        31,136,303

 

Gas(c) – 0.4%

AmeriGas Partners LP/AmeriGas Finance Corp. (NR/Ba3)

    550,000       5.875     08/20/26   581,625
    7,580,000       5.750     05/20/27   7,977,950
       

 

        8,559,575

 

Hand/Machine Tools(c)(d) – 0.0%

Colfax Corp. (BB/Ba2)

    360,000       6.000     02/15/24   371,250

 

Healthcare Providers & Services – 4.6%

Acadia Healthcare Co, Inc. (B-/Caa1)(c)(d)

    1,400,000       5.500     07/01/28   1,403,500

Acadia Healthcare Co., Inc. (B-/Caa1)(c)

    415,000       5.625     02/15/23   415,000
    1,070,000       6.500     03/01/24   1,088,725

Centene Corp. (BBB-/Ba1)(c)

    1,750,000       4.625     12/15/29   1,848,770
    7,100,000       3.375     02/15/30   7,163,616

CHS/Community Health Systems, Inc. (B-/Caa2)(c)

    235,000       6.250     03/31/23   220,313
    225,000       8.625 (d)    01/15/24   219,938
    3,940,000       8.000 (d)    03/15/26   3,723,300

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Healthcare Providers & Services – (continued)

CHS/Community Health Systems, Inc. (CCC-/Ca)(c)(d)

$

    2,200,000       8.125   06/30/24   $       1,474,000

DaVita, Inc. (B+/Ba3)(c)(d)

    2,800,000       4.625     06/01/30   2,782,500

Encompass Health Corp. (B+/B1)(c)

    3,950,000       4.500     02/01/28   3,762,375

Envision Healthcare Corp. (CC/Ca)(c)(d)

    8,025,000       8.750     10/15/26   3,932,250

HCA, Inc. (BB-/Ba2)

    1,700,000       5.875     05/01/23   1,840,250
    6,120,000       5.375     02/01/25   6,563,700
    6,795,000       3.500 (c)    09/01/30   6,497,719

Hill-Rom Holdings, Inc. (BB/Ba3)(c)(d)

    1,005,000       5.000     02/15/25   1,035,150
    515,000       4.375     09/15/27   522,725

Immucor, Inc. (CC/Caa3)(c)(d)

    2,440,000       11.125     02/15/22   2,183,800

LifePoint Health, Inc. (B/B1)(c)(d)

    115,000       6.750     04/15/25   118,450

MEDNAX, Inc. (B+/B1)(c)(d)

    1,365,000       6.250     01/15/27   1,365,123

Polaris Intermediate Corp. (B-/Caa2)(c)(d)(e) (PIK 9.250%, Cash 8.500%)

    4,545,000       8.500     12/01/22   3,976,875

RegionalCare Hospital Partners Holdings, Inc./LifePoint Health, Inc. (CCC+/Caa1)(c)(d)

    5,635,000       9.750     12/01/26   5,804,050

Select Medical Corp. (B-/B3)(c)(d)

    1,300,000       6.250     08/15/26   1,306,500

Tenet Healthcare Corp. (NR/B1)(c)(d)

    3,000,000       4.625     09/01/24   2,932,500

Tenet Healthcare Corp. (BB-/B1)(c)

    2,475,000       4.625     07/15/24   2,419,312
    2,700,000       7.500 (d)    04/01/25   2,862,000
    4,200,000       4.625 (d)    06/15/28   4,095,000

Tenet Healthcare Corp. (CCC+/B1)(c)(d)

    600,000       6.250     02/01/27   595,500

Tenet Healthcare Corp. (CCC+/Caa1)

    10,789,000       8.125     04/01/22   11,301,477
    5,940,000       7.000 (c)    08/01/25   5,791,500

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Healthcare Providers & Services – (continued)

West Street Merger Sub, Inc. (CCC/Caa2)(c)(d)

$

    2,425,000       6.375   09/01/25   $       2,340,125
       

 

  91,586,043

 

Home Builders – 1.6%

Brookfield Residential Properties, Inc./Brookfield Residential US Corp. (BB-/B1)(c)(d)

    5,400,000       6.375     05/15/25   5,292,000
    1,057,000       4.875     02/15/30   877,310

Installed Building Products, Inc. (B+/B3)(c)(d)

    1,250,000       5.750     02/01/28   1,260,938

Lennar Corp. (BB+/Ba1)

    1,750,000       5.375     10/01/22   1,837,500
    2,255,000       4.750 (c)    11/15/22   2,342,381
    3,245,000       5.875 (c)    11/15/24   3,541,106

Mattamy Group Corp. (BB/B1)(c)(d)

    2,800,000       5.250     12/15/27   2,786,000
    1,518,000       4.625     03/01/30   1,464,870

Taylor Morrison Communities, Inc. (BB/Ba3)(c)(d)

    5,520,000       6.000     09/01/23   5,644,200
    605,000       5.875     06/15/27   626,175

TRI Pointe Group, Inc. (BB-/Ba3)(c)

    1,910,000       5.250     06/01/27   1,910,000
    507,000       5.700     06/15/28   517,140

TRI Pointe Group, Inc./TRI Pointe Homes, Inc. (BB-/Ba3)

    1,635,000       5.875     06/15/24   1,684,050

Williams Scotsman International, Inc. (B/B3)(c)(d)

    1,105,000       6.875     08/15/23   1,138,150
       

 

  30,921,820

 

Household Products(c) – 0.6%

Kronos Acquisition Holdings, Inc. (CCC-/Caa2)(d)

    8,740,000       9.000     08/15/23   8,324,850

Prestige Brands, Inc. (B+/B3)(d)

    1,550,000       5.125     01/15/28   1,561,625

Spectrum Brands, Inc. (B/B2)

    2,550,000       5.750     07/15/25   2,616,937
       

 

  12,503,412

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Housewares(c) – 0.4%

CD&R Smokey Buyer, Inc. (B/B2)(d)

$

    950,000       6.750   07/15/25   $        983,250

Newell Brands, Inc. (BB+/Ba1)

    1,043,000       4.875     06/01/25   1,092,542
    4,565,000       4.700     04/01/26   4,793,250
       

 

  6,869,042

 

Insurance(c)(d) – 1.2%

Acrisure LLC/Acrisure Finance, Inc. (B/B2)

    3,280,000       8.125     02/15/24   3,419,400

Acrisure LLC/Acrisure Finance, Inc. (CCC+/Caa2)

    3,850,000       7.000     11/15/25   3,744,125
    225,000       10.125     08/01/26   240,750

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer (CCC+/Caa2)

    7,925,000       6.750     10/15/27   7,885,375

GTCR AP Finance, Inc. (CCC+/Caa2)

    3,550,000       8.000     05/15/27   3,643,187

HUB International Ltd. (CCC+/Caa2)

    2,580,000       7.000     05/01/26   2,576,775

USI, Inc. (CCC+/Caa2)

    2,510,000       6.875     05/01/25   2,531,963
       

 

  24,041,575

 

Internet – 1.7%

Expedia Group, Inc. (BBB-/Baa3)(c)(d)

    2,170,000       6.250     05/01/25   2,305,885

Getty Images, Inc. (CCC+/Caa2)(c)(d)

    5,235,000       9.750     03/01/27   4,960,163

Go Daddy Operating Co. LLC/GD Finance Co., Inc. (BB-/B1)(c)(d)

    2,620,000       5.250     12/01/27   2,665,850

GrubHub Holdings, Inc. (BB-/B1)(c)(d)

    3,840,000       5.500     07/01/27   3,931,200

Match Group, Inc. (BB/Ba3)(c)(d)

    2,737,000       4.625     06/01/28   2,764,370
    675,000       4.125     08/01/30   660,656

Netflix, Inc. (BB-/Ba3)

    1,684,000       3.625 (c)(d)    06/15/25   1,696,630
    2,082,000       4.875     04/15/28   2,212,125

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Internet – (continued)

Photo Holdings Merger Sub, Inc. (B/B2)(c)(d)

$

    260,000       8.500   10/01/26   $          244,400

Twitter, Inc. (BB+/Ba2)(c)(d)

    2,504,000       3.875     12/15/27   2,504,000

Uber Technologies, Inc. (CCC+/B3)(c)(d)

    7,565,000       7.500     11/01/23   7,583,913
    225,000       8.000     11/01/26   228,656
    230,000       7.500     09/15/27   229,425

VeriSign, Inc. (BBB-/Ba1)(c)

    1,750,000       4.750     07/15/27   1,839,460
       

 

        33,826,733

 

Iron/Steel – 0.6%

Allegheny Technologies, Inc. (NR/NR)(d)

    465,000       3.500     06/15/25   445,815

Cleveland-Cliffs, Inc. (B/Ba3)(c)(d)

    3,100,000       6.750     03/15/26   2,999,250

Cleveland-Cliffs, Inc. (CCC/B2)(c)

    6,549,000       5.750     03/01/25   5,566,650
    4,050,000       5.875     06/01/27   3,341,250
       

 

        12,352,965

 

Leisure Time(d) – 0.5%

Royal Caribbean Cruises Ltd. (BB/NR)

    95,000       4.250     06/15/23   87,938

Royal Caribbean Cruises Ltd. (BB/Ba2)(c)

    1,615,000       9.125     06/15/23   1,600,869

Royal Caribbean Cruises Ltd. (BBB-/Baa3)(c)

    1,253,000       10.875     06/01/23   1,287,345

Sabre GLBL, Inc. (B+/Ba3)(c)

    2,330,000       5.250     11/15/23   2,143,600

Viking Cruises Ltd. (B-/Caa1)(c)

    1,840,000       6.250     05/15/25   1,085,600
    2,130,000       5.875     09/15/27   1,256,700

VOC Escrow Ltd. (B+/B1)(c)

    3,760,000       5.000     02/15/28   2,820,000
       

 

        10,282,052

 

Machinery - Construction & Mining(c)(d) – 0.3%

BWX Technologies, Inc. (BB/Ba3)

    1,270,000       4.125     06/30/28   1,266,825

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Machinery - Construction & Mining(c)(d) – (continued)

The Manitowoc Co., Inc. (B/B2)

$

    4,465,000       9.000   04/01/26   $       4,437,094
       

 

        5,703,919

 

Machinery-Diversified(c)(d) – 0.5%

Clark Equipment Co. (BB+/Ba3)

    1,051,000       5.875     06/01/25   1,074,648

Cleaver-Brooks, Inc. (B-/Caa1)

    1,820,000       7.875     03/01/23   1,542,450

Husky III Holding Ltd. (CCC/Caa2)(e)

    2,612,000       13.000     02/15/25   2,507,520

Titan Acquisition Ltd./Titan Co-Borrower LLC (CCC/Caa2)

    4,650,000       7.750     04/15/26   4,400,062
       

 

        9,524,680

 

Media – 9.0%

Altice Financing SA (B/B2)(c)(d)

    3,050,000       7.500     05/15/26   3,194,875

AMC Networks, Inc. (BB/Ba3)(c)

    1,150,000       5.000     04/01/24   1,144,250
    1,015,000       4.750     08/01/25   997,238

Banijay Group SAS (CCC+/Caa1)(c)(d)

EUR

    1,275,000       6.500     03/01/26   1,277,412

CCO Holdings LLC/CCO Holdings Capital Corp. (BB/B1)(c)(d)

$

    2,155,000       5.875     04/01/24   2,222,344
    13,420,000       5.750     02/15/26   13,906,475
    1,680,000       5.500     05/01/26   1,738,800
    1,800,000       4.750     03/01/30   1,842,750
    1,800,000       4.500     08/15/30   1,831,500

Charter Communications Operating LLC/Charter Communications Operating Capital (BBB-/Ba1)(c)

    3,980,000       3.700     04/01/51   3,914,768

Clear Channel Worldwide Holdings, Inc. (CCC+/Caa2)(c)

    11,820,000       9.250     02/15/24   10,992,600

CSC Holdings LLC (B/B3)

    10,000       5.250     06/01/24   10,513
    900,000       10.875 (c)(d)    10/15/25   967,500
    9,268,000       5.750 (c)(d)    01/15/30   9,615,550
    3,148,000       4.625 (c)(d)    12/01/30   3,057,495

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Media – (continued)

CSC Holdings LLC (BB/Ba3)(c)(d)

$

    5,819,000       5.500   05/15/26   $       5,986,296
    4,270,000       5.500     04/15/27   4,456,812

Cumulus Media New Holdings, Inc. (B/B2)(c)(d)

    4,550,000       6.750     07/01/26   4,208,750

Diamond Sports Group LLC/Diamond Sports Finance Co. (B/B3)(c)(d)

    9,245,000       6.625     08/15/27   4,946,075

Diamond Sports Group LLC/Diamond Sports Finance Co. (BB-/Ba3)(c)(d)

    1,750,000       5.375     08/15/26   1,277,500

DISH DBS Corp. (B-/B2)

    790,000       6.750     06/01/21   804,813
    11,965,000       5.875     07/15/22   12,189,344
    1,850,000       5.000     03/15/23   1,845,375
    230,000       5.875     11/15/24   228,850
    3,890,000       7.750     07/01/26   4,123,400
    4,500,000       7.375 (c)(d)    07/01/28   4,500,000

Dolya Holdco 18 DAC (NR/B1)(c)(d)

    1,850,000       5.000     07/15/28   1,826,116

Entercom Media Corp. (B-/B3)(c)(d)

    7,400,000       6.500     05/01/27   6,549,000

Entercom Media Corp. (CCC+/Caa1)(c)(d)

    4,670,000       7.250     11/01/24   4,039,550

GCI LLC (B/B3)(c)(d)

    720,000       6.625     06/15/24   754,200

Gray Television, Inc. (B+/B3)(c)(d)

    4,130,000       7.000     05/15/27   4,253,900

iHeartCommunications, Inc. (B+/B1)(c)(d)

    3,890,000       5.250     08/15/27   3,724,675
    1,050,000       4.750     01/15/28   971,250

iHeartCommunications, Inc. (CCC+/Caa1)(c)

    210,000       8.375     05/01/27   192,150

Meredith Corp. (BB-/Ba3)(c)(d)

    2,025,000       6.500     07/01/25   2,004,750

Meredith Corp. (CCC+/Caa1)(c)

    5,405,000       6.875     02/01/26   4,513,175

Nexstar Broadcasting, Inc. (B/B3)(c)(d)

    6,360,000       5.625     08/01/24   6,423,600
    1,950,000       5.625     07/15/27   1,940,250

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Media – (continued)

Scripps Escrow, Inc. (B-/Caa1)(c)(d)

$

    3,885,000       5.875   07/15/27   $       3,681,037

Sinclair Television Group, Inc. (B/B1)(c)(d)

    230,000       5.500     03/01/30   209,300

Sirius XM Radio, Inc. (BB/Ba3)(c)(d)

    5,535,000       5.000     08/01/27   5,645,700
    3,909,000       4.125     07/01/30   3,850,365

TEGNA, Inc. (BB-/Ba3)(c)(d)

    3,450,000       4.625     03/15/28   3,174,000

The E.W. Scripps Co. (B-/Caa1)(c)(d)

    2,675,000       5.125     05/15/25   2,547,937

Univision Communications, Inc. (B/B2)(c)(d)

    240,000       5.125     02/15/25   225,600
    2,400,000       6.625     06/01/27   2,280,000

UPC Holding B.V. (B/B2)(c)(d)

    1,765,000       5.500     01/15/28   1,698,813

Virgin Media Finance PLC (B/B2)(c)(d)

    4,150,000       5.000     07/15/30   4,051,437

Virgin Media Secured Finance PLC (BB-/Ba3)(c)(d)

    3,605,000       5.500     08/15/26   3,695,125
    1,160,000       5.500     05/15/29   1,215,100

Virgin Media Vendor Financing Notes III DAC (B/B1)(c)(d)

GBP

    1,575,000       4.875     07/15/28   1,961,341

Ziggo Bond Co. B.V. (B-/B3)(c)

EUR

    2,175,000       3.375 (d)    02/28/30   2,297,704
    1,725,000       3.375     02/28/30   1,822,317

$

    1,725,000       5.125 (d)    02/28/30   1,690,500
       

 

        178,520,177

 

Metal Fabricate/Hardware(c) – 0.2%

Park-Ohio Industries, Inc. (B-/Caa1)

    5,074,000       6.625     04/15/27   4,135,310

 

Mining(c) – 1.6%

Alcoa Nederland Holding B.V. (BB+/Ba1)(d)

    3,250,000       7.000     09/30/26   3,355,625

Constellium SE (B/B2)(d)

    1,600,000       5.875     02/15/26   1,594,000
    950,000       5.625     06/15/28   935,750

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Mining(c) – (continued)

First Quantum Minerals Ltd. (CCC+/Caa2u)(d)

$

    7,020,000       7.250   05/15/22   $       6,740,955

FMG Resources August 2006 Pty Ltd. (BB+/Ba1)(d)

    5,240,000       5.125     03/15/23   5,377,550

Freeport-McMoRan, Inc. (BB/Ba1)

    3,650,000       3.875     03/15/23   3,654,562

Hudbay Minerals, Inc. (B/B3)(d)

    5,155,000       7.250     01/15/23   5,051,900

Novelis Corp. (B+/B2)(d)

    2,410,000       5.875     09/30/26   2,410,000
    2,325,000       4.750     01/30/30   2,220,375
       

 

  31,340,717

 

Miscellaneous Manufacturing(c) – 0.3%

EnPro Industries, Inc. (BB/B1)

    3,095,000       5.750     10/15/26   3,091,131

General Electric Co. (BBB+/Baa1)

    979,000       3.450     05/01/27   1,002,888

General Electric Co. (BBB+/Baa1)

    1,312,000       4.350     05/01/50   1,298,932

Hillenbrand, Inc. (BB+/Ba1)

    665,000       5.750     06/15/25   688,275
       

 

  6,081,226

 

Office(c) – 0.2%

Xerox Corp. (BB+/Ba1)

    4,340,000       4.125     03/15/23   4,312,875

 

Oil & Gas Services – 0.2%

Cenovus Energy, Inc. (BBB-/Ba2)

    2,090,000       6.750     11/15/39   2,051,022

Continental Resources, Inc. (BB+/Ba1u)(c)

    2,660,000       4.900     06/01/44   2,118,025
       

 

  4,169,047

 

Oil Field Services – 6.0%

Antero Resources Corp. (B/Caa1)(c)

    1,010,000       5.375     11/01/21   934,250
    7,375,000       5.125     12/01/22   5,310,000

Apache Corp. (BB+/Ba1)(c)

    3,475,000       4.375     10/15/28   3,066,687

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Berry Petroleum Co. LLC (B/B3)(c)(d)

$

    990,000       7.000   02/15/26   $       801,900

Cenovus Energy, Inc. (BBB-/Ba2)(c)

    447,000       3.000     08/15/22   434,028
    4,108,000       3.800     09/15/23   3,917,101
    1,470,000       5.250     06/15/37   1,276,563

Chesapeake Energy Corp. (D/C)(f)

    2,715,000       5.750     03/15/23   61,088

Continental Resources, Inc. (BB+/Ba1u)(c)

    4,550,000       4.500     04/15/23   4,345,250
    1,775,000       3.800     06/01/24   1,677,375

Ensign Drilling, Inc. (CCC+/Caa1)(c)(d)

    1,700,000       9.250     04/15/24   756,500

EQT Corp. (BB-/Ba3)(c)

    2,100,000       3.000     10/01/22   1,974,000
    2,400,000       6.125     02/01/25   2,391,000

Exterran Energy Solutions LP/EES Finance Corp. (B+/B1)(c)

    2,835,000       8.125     05/01/25   2,338,875

Laredo Petroleum, Inc. (B-/B3)(c)

    3,968,000       9.500     01/15/25   2,737,920

MEG Energy Corp. (B-/B3)(c)(d)

    1,653,000       7.000     03/31/24   1,405,050
    3,935,000       7.125     02/01/27   3,266,050

Nabors Industries Ltd. (CCC+/Ba3)(c)(d)

    2,655,000       7.250     01/15/26   1,646,100

Nabors Industries, Inc. (CCC-/B3)

    2,635,000       0.750     01/15/24   949,865
    564,000       5.750 (c)    02/01/25   228,420

Noble Holding International Ltd. (CCC/Caa1)(c)(d)

    3,100,000       7.875     02/01/26   806,000

Noble Holding International Ltd. (CCC-/Caa3)(c)

    730,000       7.750     01/15/24   10,950

Occidental Petroleum Corp. (BB+/Ba2)

    7,416,000       2.700     08/15/22   6,906,150
    7,960,000       8.000 (c)    07/15/25   7,979,900
    9,267,000       6.450     09/15/36   7,983,891
    14,817,000       4.400 (c)    04/15/46   10,334,857
    4,142,000       4.200 (c)    03/15/48   2,806,205

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Occidental Petroleum Corp. (BB+/Ba2) – (continued)

$

    3,317,000       4.400 %(c)    08/15/49   $       2,288,730

Parsley Energy LLC/Parsley Finance Corp. (BB/Ba3)(c)(d)

    2,000,000       5.375     01/15/25   1,940,000

Precision Drilling Corp. (B/B3)(c)

    5,320,000       7.750     12/15/23   3,724,000

QEP Resources, Inc. (B+/B3)

    613,000       6.875     03/01/21   583,883
    2,025,000       5.375 (c)    10/01/22   1,539,000
    1,180,000       5.250 (c)    05/01/23   802,400

Range Resources Corp. (B+/B3)(c)

    822,000       5.875     07/01/22   764,460
    1,455,000       5.000     03/15/23   1,240,388
    5,000       4.875     05/15/25   3,775

SM Energy Co. (B/B3)(c)(d)

    1,288,800       10.000     01/15/25   1,263,024

Southwestern Energy Co. (BB-/Ba3)(c)

    2,710,000       7.750     10/01/27   2,371,250

Sunoco LP/Sunoco Finance Corp. (BB-/B1)(c)

    925,000       5.500     02/15/26   897,250
    325,000       6.000     04/15/27   325,000

Transocean, Inc. (CCC/Caa3)

    10,400,000       7.500     04/15/31   2,912,000

Transocean, Inc. (CCC+/Caa2)(c)(d)

    2,185,000       7.250     11/01/25   1,201,750
    5,930,000       7.500     01/15/26   3,261,500
    2,616,000       8.000     02/01/27   1,438,800

USA Compression Partners LP/USA Compression Finance Corp. (B+/B3)(c)

    8,135,000       6.875     04/01/26   7,901,119

Valaris PLC (D/Ca)(c)

    4,550,000       5.400     12/01/42   500,500
    3,100,000       5.750     10/01/44   232,500

WPX Energy, Inc. (BB-/B1)(c)

    1,525,000       8.250     08/01/23   1,692,750
    2,185,000       5.250     09/15/24   2,157,687
    3,275,000       5.875     06/15/28   3,144,000

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

WPX Energy, Inc. (BB-/B1)(c) – (continued)

$

    1,039,000       4.500   01/15/30   $          914,320
       

 

        119,446,061

 

Packaging – 3.0%

ARD Finance SA (B-/Caa3)(c)(e)

(PIK 5.750%, Cash 5.000%)

EUR

    3,125,000       5.000     06/30/27   3,361,721

(PIK 7.250%, Cash 6.500%)

$

    3,425,000       6.500 (d)    06/30/27   3,390,750

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (B/Caa1)(c)(d)

    580,000       6.000     02/15/25   593,775

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (B/Caa1)(c)(d)

    255,000       5.250     08/15/27   250,538

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (B/Caa1)(c)(d)

    8,050,000       5.250     08/15/27   7,899,063

Berry Global, Inc. (BB/B2)(c)

    2,600,000       5.125     07/15/23   2,609,750
    4,050,000       5.625 (d)    07/15/27   4,171,500

Flex Acquisition Co., Inc. (CCC+/Caa2)(c)(d)

    2,420,000       6.875     01/15/25   2,320,175
    235,000       7.875     07/15/26   227,656

Graphic Packaging International LLC (BB+/Ba2)(d)

    1,394,000       3.500     03/15/28   1,380,060

LABL Escrow Issuer LLC (B/B2)(c)(d)

    2,725,000       6.750     07/15/26   2,837,406

LABL Escrow Issuer LLC (B-/Caa2)(c)(d)

    3,980,000       10.500     07/15/27   4,238,700

Mauser Packaging Solutions Holding Co. (CCC+/Caa3)(c)(d)

    6,025,000       7.250     04/15/25   5,422,500

Owens-Brockway Glass Container, Inc. (B/B1)(d)

    4,270,000       5.875     08/15/23   4,398,100

Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer Lu (B+/B1)(c)(d)

    3,505,000       5.125     07/15/23   3,522,525

Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer Lu (B-/Caa1)(c)(d)

    855,000       7.000     07/15/24   858,206

Silgan Holdings, Inc. (BB/Ba3)(c)(d)

    1,607,000       4.125     02/01/28   1,592,939

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Packaging – (continued)

Trident TPI Holdings, Inc. (CCC+/Caa2)(c)(d)

$

    2,200,000       6.625   11/01/25   $       2,090,000

Trivium Packaging Finance B.V. (B+/B2)(c)(d)

    1,775,000       5.500     08/15/26   1,803,844

Trivium Packaging Finance B.V. (B-/Caa2)(c)(d)

    6,455,000       8.500     08/15/27   6,898,781
       

 

        59,867,989

 

Pharmaceuticals – 2.6%

Bausch Health Americas, Inc. (B/B3)(c)(d)

    14,060,000       9.250     04/01/26   15,255,100
    1,625,000       8.500     01/31/27   1,734,687

Bausch Health Cos., Inc. (B/B3)(c)(d)

    6,100,000       6.125     04/15/25   6,183,875
    2,595,000       5.000     01/30/28   2,442,544
    5,478,000       6.250     02/15/29   5,505,390
    2,595,000       5.250     01/30/30   2,478,225

Bausch Health Cos., Inc. (BB/Ba2)(c)(d)

    1,985,000       5.500     11/01/25   2,034,625

Herbalife Nutrition Ltd./HLF Financing, Inc. (BB-/B1)(c)(d)

    1,408,000       7.875     09/01/25   1,453,760

HLF Financing S.a.r.l. LLC/Herbalife International, Inc. (BB-/B1)(c)(d)

    5,425,000       7.250     08/15/26   5,452,125

Par Pharmaceutical, Inc. (B+/B2)(c)(d)

    6,675,000       7.500     04/01/27   6,825,187

Teva Pharmaceutical Finance Co. B.V. (BB/Ba2)

    855,000       3.650     11/10/21   856,069

Vizient, Inc. (B/B2)(c)(d)

    990,000       6.250     05/15/27   1,034,550
       

 

        51,256,137

 

Pipelines – 4.8%

Antero Midstream Partners LP/Antero Midstream Finance Corp. (B-/Caa1)(c)(d)

    4,400,000       5.750     03/01/27   3,520,000

Buckeye Partners LP (BB/B1)(c)

    1,650,000       4.350     10/15/24   1,571,262
    2,400,000       4.125 (d)    03/01/25   2,292,000
    3,794,000       3.950     12/01/26   3,566,360
    860,000       4.125     12/01/27   827,750
    1,573,000       4.500 (d)    03/01/28   1,478,620

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Cheniere Energy Partners LP (BB/Ba2)(c)

$

    3,645,000       5.250   10/01/25   $     3,631,331

Cheniere Energy, Inc. (NR/NR)(d)(e)

    2,825,000       4.875     05/28/21   2,852,403

DCP Midstream Operating LP (BB+/Ba2)

    5,090,000       5.375 (c)    07/15/25   5,026,375
    1,535,000       5.125 (c)    05/15/29   1,458,250
    925,000       6.450 (d)    11/03/36   832,500

EnLink Midstream LLC (BB+/Ba1)(c)

    2,490,000       5.375     06/01/29   1,867,500

EnLink Midstream Partners LP (BB+/Ba1)(c)

    2,325,000       4.400     04/01/24   1,923,938
    3,235,000       5.450     06/01/47   2,005,700

EQM Midstream Partners LP (BB-/Ba3)(c)

    1,975,000       4.750     07/15/23   1,992,281
    2,800,000       6.500 (d)    07/01/27   2,859,500
    2,970,000       5.500     07/15/28   2,828,925

Genesis Energy LP/Genesis Energy Finance Corp. (B+/B1)(c)

    6,034,000       5.625     06/15/24   5,249,580
    250,000       6.500     10/01/25   213,750
    255,000       6.250     05/15/26   219,300
    6,350,000       7.750     02/01/28   5,651,500

Global Partners LP/GLP Finance Corp. (B+/B2)(c)

    150,000       7.000     06/15/23   142,500
    2,970,000       7.000     08/01/27   2,739,825

NGL Energy Partners LP/NGL Energy Finance Corp. (B+/B2)(c)

    2,390,000       7.500     11/01/23   1,983,700
    2,990,000       7.500     04/15/26   2,384,525

NuStar Logistics LP (BB-/Ba2)(c)

    3,420,000       5.625     04/28/27   3,300,300

Plains All American Pipeline LP/PAA Finance Corp. (BBB-/Ba1)(c)

    1,308,000       3.800     09/15/30   1,288,184

Summit Midstream Holdings LLC/Summit Midstream Finance Corp. (D/Caa1)(c)

    8,561,000       5.750     04/15/25   4,794,160

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.
(BB-/B1)(c)(d)

$

    5,955,000       4.750   10/01/23   $       5,493,487
    1,935,000       5.500     09/15/24   1,751,175
    1,310,000       5.500     01/15/28   1,133,150

Targa Resources Partners LP/Targa Resources Partners Finance Corp. (BB/Ba3)(c)

    2,865,000       5.875     04/15/26   2,836,350
    4,880,000       5.375     02/01/27   4,709,200

Targa Resources Partners LP/Targa Resources Partners Finance Corp. (BB/Ba3)(c)

    1,810,000       6.500     07/15/27   1,814,525

Targa Resources Partners LP/Targa Resources Partners Finance Corp. (BB/Ba3)(c)

    1,980,000       5.000     01/15/28   1,856,250

Western Midstream Operating LP (BB+/Ba1)(c)

    1,500,000       5.375     06/01/21   1,496,250
    4,250,000       4.050     02/01/30   4,080,000
    1,725,000       5.300     03/01/48   1,399,406
    675,000       5.250     02/01/50   582,188
       

 

        95,654,000

 

Real Estate(c)(d) – 0.5%

Realogy Group LLC/Realogy Co-Issuer Corp. (CCC+/Caa1)

    3,510,000       4.875     06/01/23   3,316,950
    5,429,000       9.375     04/01/27   5,062,542

Realogy Group LLC/Realogy Co.-Issuer Corp. (CCC+/B3)

    773,000       7.625     06/15/25   773,000
       

 

        9,152,492

 

Real Estate Investment Trust(c) – 1.3%

Iron Mountain, Inc. (BB-/Ba3)(d)

    4,200,000       5.000     07/15/28   4,116,000

MGM Growth Properties Operating Partnership LP/MGP Finance Co-Issuer, Inc. (BB-/B1)(d)

    2,085,000       4.625     06/15/25   2,043,300

MPT Operating Partnership LP/MPT Finance Corp. (BBB-/Ba1)

    1,685,000       4.625     08/01/29   1,696,845

Service Properties Trust (BB+/Ba1)

    2,200,000       4.350     10/01/24   1,982,935

Service Properties Trust (BB+/Baa3)

    546,000       7.500     09/15/25   574,767

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(c) – (continued)

Starwood Property Trust, Inc. (B+/Ba3)

$

    8,890,000       4.750   03/15/25   $       8,223,250

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC (C/Ca)

    1,270,000       8.250     10/15/23   1,203,325
    275,000       7.125 (d)    12/15/24   251,625

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC
(CCC/Caa1)(d)

    2,715,000       6.000     04/15/23   2,667,487

VICI Properties LP/VICI Note Co., Inc. (BB/Ba3)(d)

    2,154,000       3.500     02/15/25   2,024,760
       

 

        24,784,294

 

Retailing – 4.0%

1011778 BC ULC/New Red Finance, Inc. (B+/B2)(c)(d)

    10,399,000       5.000     10/15/25   10,347,005
    4,050,000       4.375     01/15/28   3,963,938

Asbury Automotive Group, Inc. (BB/B1)(c)(d)

    5,000       4.500     03/01/28   4,850

Beacon Roofing Supply, Inc. (B-/Caa1)(c)(d)

    10,615,000       4.875     11/01/25   9,513,694

Burlington Stores, Inc. (NR/NR)(d)

    1,141,000       2.250     04/15/25   1,301,242

eG Global Finance PLC (B-/B2)(c)(d)

    2,560,000       6.750     02/07/25   2,489,600
    2,210,000       8.500     10/30/25   2,276,300

IRB Holding Corp. (B/B3)(c)(d)

    1,171,000       7.000     06/15/25   1,204,666

IRB Holding Corp. (CCC+/Caa3)(c)(d)

    8,870,000       6.750     02/15/26   8,470,850

KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC (BB/Ba3)(c)(d)

    3,312,000       5.250     06/01/26   3,386,520

Kirk Beauty One GmbH (CCC-/Caa3)(c)

EUR

    2,250,000       8.750     07/15/23   1,103,164

L Brands, Inc. (B+/B2)

$

    6,845,000       5.250     02/01/28   5,416,106

L Brands, Inc. (BB/Ba2)(c)(d)

    880,000       6.875     07/01/25   908,600

Macy’s Retail Holdings, Inc. (B/B1)(c)

    2,550,000       2.875     02/15/23   1,998,563

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Retailing – (continued)

Macy’s, Inc. (BB-/Ba1)(c)(d)

$

    2,900,000       8.375   06/15/25   $       2,885,500

PetSmart, Inc. (CCC+/Caa2)(c)(d)

    6,095,000       7.125     03/15/23   6,018,812
    3,803,000       8.875     06/01/25   3,803,000

Staples, Inc. (B/B1)(c)(d)

    6,005,000       7.500     04/15/26   4,713,925

Staples, Inc. (CCC+/B3)(c)(d)

    6,800,000       10.750     04/15/27   3,995,000

Suburban Propane Partners LP/Suburban Energy Finance Corp. (BB-/B1)(c)

    1,895,000       5.500     06/01/24   1,876,050
    2,175,000       5.875     03/01/27   2,142,375

Walgreens Boots Alliance, Inc. (BBB/Baa2)(c)

    1,740,000       4.100     04/15/50   1,752,859

Yum! Brands, Inc. (B+/B1)(c)(d)

    187,000       7.750     04/01/25   201,726
       

 

  79,774,345

 

Semiconductors – 0.6%

Advanced Micro Devices, Inc. (BB/Ba3)

    657,000       7.500     08/15/22   727,627

Amkor Technology, Inc. (BB/B1)(c)(d)

    3,489,000       6.625     09/15/27   3,733,230

Broadcom, Inc. (BBB-/Baa3)(c)(d)

    1,626,000       4.300     11/15/32   1,791,462

Microchip Technology, Inc. (BB-u/Ba2)(c)(d)

    2,280,000       4.250     09/01/25   2,288,550

Qorvo, Inc. (BB+/Ba1)(c)

    2,440,000       5.500     07/15/26   2,534,550
       

 

  11,075,419

 

Software(c) – 1.9%

Camelot Finance SA (B/B2)(d)

    2,150,000       4.500     11/01/26   2,144,625

Castle US Holding Corp. (CCC/Caa2)(d)

    2,020,000       9.500     02/15/28   1,868,500

Change Healthcare Holdings LLC/Change Healthcare Finance, Inc. (B-/Caa1)(d)

    950,000       5.750     03/01/25   938,125

Granite Merger Sub 2, Inc. (CCC+/Caa1)(d)

    2,092,000       11.000     07/15/27   2,173,065

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Software(c) – (continued)

Nuance Communications, Inc. (BB-/Ba3)

$

    3,640,000       5.625   12/15/26   $       3,785,600

Open Text Corp. (BB/Ba2)(d)

    4,730,000       3.875     02/15/28   4,552,625

PTC, Inc. (BB-/Ba3)(d)

    2,082,000       3.625     02/15/25   2,061,180
    965,000       4.000     02/15/28   957,762

Rackspace Hosting, Inc. (B-/Caa1)(d)

    2,980,000       8.625     11/15/24   3,028,425

Solera LLC/Solera Finance, Inc. (CCC+/Caa1)(d)

    6,500,000       10.500     03/01/24   6,630,000

SS&C Technologies, Inc. (B+/B2)(d)

    5,090,000       5.500     09/30/27   5,191,800

The Dun & Bradstreet Corp. (CCC/Caa2)(d)

    3,280,000       10.250     02/15/27   3,616,200

Veritas US, Inc./Veritas Bermuda Ltd. (B/B2)(d)

    235,000       7.500     02/01/23   227,950
       

 

  37,175,857

 

Storage/Warehousing(c)(d) – 0.1%

Algeco Global Finance 2 PLC (CCC/Caa1)

    2,390,000       10.000     08/15/23   2,001,625

 

Telecommunication Services – 6.6%

Altice France Holding SA (CCC+/WR)(c)(d)

    4,755,000       10.500     05/15/27   5,230,500

Altice France SA (B/B2)(c)(d)

    8,165,000       7.375     05/01/26   8,491,600
    4,910,000       8.125     02/01/27   5,376,450
    225,000       5.500     01/15/28   227,250

CenturyLink, Inc. (B+/B2)

    2,250,000       5.125 (c)(d)    12/15/26   2,241,563
    3,465,000       6.875     01/15/28   3,668,569
    1,700,000       7.600     09/15/39   1,827,500

CommScope Technologies LLC (B-/B3)(c)(d)

    4,640,000       6.000     06/15/25   4,454,400

CommScope, Inc. (B-/B3)(c)(d)

    1,780,000       8.250     03/01/27   1,828,950
    4,645,000       7.125     07/01/28   4,627,581

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

Digicel Group 0.5 Ltd. (NR/NR)(c)(d)(e)

$

    420,555       7.000   12/31/99   $            35,747

(PIK 3.000%, Cash 5.000%)

    2,539,200       8.000     04/01/25   688,399

Intelsat Connect Finance SA (NR/WR)(c)(d)(f)

    5,475,000       9.500     02/15/23   1,396,125

Intelsat Jackson Holdings SA (NR/WR)(d)(f)

    210,000       9.500     09/30/22   232,313
    6,885,000       8.500 (c)    10/15/24   4,131,000
    16,115,000       9.750 (c)    07/15/25   9,749,575

Intelsat Luxembourg SA (NR/WR)(c)(f)

    13,875,000       8.125     06/01/23   763,125

Intelsat SA (NR/NR)(f)

    4,650,000       4.500     06/15/25   1,395,000

Level 3 Financing, Inc. (BB/Ba3)(c)

    5,285,000       5.250     03/15/26   5,423,731
    5,891,000       4.625 (d)    09/15/27   5,905,727
    4,910,000       4.250 (d)    07/01/28   4,897,725

Nokia of America Corp. (NR/WR)

    5,200,000       6.450     03/15/29   5,460,000

Sprint Capital Corp. (BB/B1)

    8,075,000       8.750     03/15/32   11,547,250

Sprint Communications, Inc. (BB/B1)

    2,128,000       11.500     11/15/21   2,354,100
    5,550,000       6.000     11/15/22   5,855,250

Sprint Corp. (BB/B1)

    10,288,000       7.875     09/15/23   11,574,000
    1,555,000       7.625 (c)    02/15/25   1,792,138
    1,400,000       7.625 (c)    03/01/26   1,655,500

T-Mobile USA, Inc. (BB/Ba3)(c)

    3,550,000       6.000     03/01/23   3,563,312
    1,360,000       6.000     04/15/24   1,388,900
    3,820,000       6.500     01/15/26   3,987,125

Telecom Italia Capital SA (BB+/Ba1)

    6,865,000       7.200     07/18/36   8,109,281
    675,000       7.721     06/04/38   847,125

Telesat Canada/Telesat LLC (BB-/Ba3)(c)(d)

    402,000       4.875     06/01/27   394,463
       

 

        131,121,274

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Toys/Games/Hobbies(c) – 0.3%

Mattel, Inc. (B+/B1)(d)

$

    2,165,000       6.750   12/31/25   $        2,246,188
    1,553,000       5.875     12/15/27   1,599,590

Mattel, Inc. (B-/B3)

    2,335,000       3.150     03/15/23   2,229,925
       

 

        6,075,703

 

Transportation(c)(d) – 0.1%

XPO Logistics, Inc. (BB-/Ba3)

    1,853,000       6.250     05/01/25   1,941,018

 

TOTAL CORPORATE OBLIGATIONS
(Cost $1,919,670,415)
  $1,855,175,879

 

       
Structured Note(c)(d)(g) – 0.1%

CHS/Community Health Systems, Inc. (CCC-/Ca)

$

    1,820,000       9.875   06/30/23   $       1,419,600
(Cost $1,699,745)

 

     

 

Shares

    Dividend
Rate
  Value
Preferred Stocks(c)(e) – 0.1%

Media – 0.1%

Spanish Broadcasting System, Inc.

    3,014       10.750%   $       1,808,400
(Cost $ 3,042,344)

 

Units     Expiration
Date
  Value
Warrant(f) – 0.0%

True Religion Warrant (NR/NR)

    1,914       10/27/22   $                   —

True Religion Warrant 2 (NR/NR)

    7,229       10/27/22  

 

TOTAL WARRANT
(Cost $0)
  $                   —

 

TOTAL INVESTMENTS – 95.2%
(Cost $1,950,021,298)
  $1,881,535,578

 

OTHER ASSETS IN EXCESS OF
    LIABILITIES – 4.8%
  95,540,756

 

NET ASSETS – 100.0%   $1,977,076,334

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2020. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the London-Interbank Offered Rate (“LIBOR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(b)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(c)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(d)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(e)   Pay-in-kind securities.
(f)   Security is currently in default and/or non-income producing.
(g)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2020.

 

 

Currency Abbreviations:
EUR  

— Euro

GBP  

— British Pound

USD  

— U.S. Dollar

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PLC  

— Public Limited Company

WR  

— Withdrawn Rating

 

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


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2020, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
       Current
Value
       Unrealized
Gain (Loss)
 

 

 

Intelsat Jackson Holdings SA (NR/NR), due 07/14/21

     $ 19,956        $ 20,218        $ 262  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2020, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

JPMorgan Securities, Inc.

     USD   1,979,684        GBP 1,579,900          07/15/20        $ 21,835  

State Street Bank (London)

     USD   1,469,335        GBP 1,179,958          07/15/20          7,103  

Westpac Banking Corp.

     USD   3,019,616        EUR   2,651,000          08/12/20          38,367  

 

 

TOTAL

 

     $ 67,305  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

BofA Securities LLC

     USD   14,361,569        EUR   13,224,159          08/12/20        $ (509,996

Royal Bank of Canada

     EUR 1,885,000        USD 2,126,879          08/12/20          (7,055

 

 

TOTAL

 

     $ (517,051

 

 

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

Ultra Long U.S. Treasury Bonds

     13      09/21/20      $ 2,836,031      $ 18,191  

Ultra 10 Year U.S. Treasury Notes

     189      09/21/20        29,764,547        145,352  

2 Year U.S. Treasury Notes

     300      09/30/20        66,248,438        11,986  

10 Year U.S. Treasury Notes

     832      09/21/20        115,791,000        770,470  

20 Year U.S. Treasury Bonds

     179      09/21/20        31,962,687        373,217  

 

 

Total

 

   $ 1,319,216  

 

 

Short position contracts:

                 

Eurodollars

     (1)      12/14/20        (249,275      (4,524

5 Year U.S. Treasury Notes

     (165)      09/30/20        (20,747,461      259  

5 Year German Euro-Bobl

     (94)      09/08/20        (14,255,097      (55,062

 

 

Total

 

   $ (59,327

 

 

TOTAL FUTURES CONTRACTS

 

   $ 1,259,889  

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

SWAP CONTRACTS — At June 30, 2020, the Fund had the following swap contracts:

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACT

 

Referenced

Obligation/Index

   Financing Rate
Received/(Paid)
by the Fund (a)
   Credit Spread
at June 30,
2020 (b)
    Termination
Date
    

Notional
Amount

(000s)

   Value      Upfront
Premiums
(Received) Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                  

CDX.NA.HY Index 34

   5.000%      5.148%       06/20/25      $121,367    $ (502,409    $ (3,941,896   $ 3,439,487  

 

 

 

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


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – 90.3%

Aerospace & Defense – 0.5%

Dynasty Acquisition Co., Inc. (B-/Caa1)(b)

$

    2,267,253       0.000   04/06/26   $       1,929,999
    1,218,953       0.000     04/06/26   1,037,634

TransDigm, Inc. (B+/Ba3)(c) (1M LIBOR + 2.250%)

    4,027,769       2.428     08/22/24   3,631,719
       

 

        6,599,352

 

Airlines – 1.7%

Allegiant Travel Co. (B+/Ba3)(c) (3M LIBOR + 3.000%)

    4,351,944       3.434     02/05/24   3,865,092

American Airlines, Inc. (B+/Ba3)(c) (1M LIBOR + 1.750%)

    4,900,000       1.934     01/29/27   3,682,350

Atlantic Aviation FBO, Inc. (BB-/B2)(c) (1M LIBOR + 3.750%)

    4,506,126       3.930     12/06/25   4,224,493

Delta Air Lines, Inc. (BBB-/Baa2)(c) (1M LIBOR + 2.750%)

    3,800,000       3.500     10/18/18   3,721,644

JetBlue Airways Corp. (B+/Ba2)(b)

    3,000,000       0.000     06/12/24   2,932,500

Kestrel Bidco Inc. (B-/B2)(c) (6M LIBOR + 3.000%)

    3,980,000       4.000     12/11/26   3,180,697
       

 

        21,606,776

 

Automotive – Distributors(c) – 0.9%

American Axle & Manufacturing, Inc. (BB-/Ba2) (1M LIBOR + 2.250%)

    2,843,221       3.000     04/06/24   2,693,952

Bombardier Recreational Products, Inc. (BB-/B1) (1M LIBOR + 2.000%)

    2,966,681       2.178     05/24/27   2,809,090

Drive Chassis Holding Co. LLC (NR/NR) (3M LIBOR + 8.250%)

    3,450,000       9.561     04/10/26   3,010,125

Thor Industries, Inc. (BB/B2) (1M LIBOR + 3.750%)

    3,006,024       3.938     02/01/26   2,934,631
       

 

        11,447,798

 

Automotive – Parts(c) – 3.2%

Adient US LLC (B+/Ba3) (3M LIBOR + 4.000%)

    5,193,406       4.474     05/06/24   4,974,868

CS Intermediate Holdco 2 LLC (B-/B1) (1M LIBOR + 2.000%)

    3,832,418       2.750     11/02/23   3,088,508

Dana, Inc. (BBB-/Baa3) (1M LIBOR + 2.250%)

    2,700,000       3.250     02/27/26   2,598,750

Garrett LX III S.a r.l. (BB-/B1) (3M LIBOR + 3.250%)

    5,386,107       3.540     09/27/25   4,995,614

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Automotive – Parts(c) – (continued)

Gates Global LLC (B+/B1) (1M LIBOR + 2.750%)

$

    2,559,211       3.750   04/01/24   $       2,458,967

Mavis Tire Express Services Corp. (B-/B2) (3M LIBOR + 3.250%)

    4,042,695       3.558     03/20/25   3,625,812

Navistar International Corp. (BB-/Ba2) (1M LIBOR + 3.500%)

    4,353,636       3.700     11/06/24   4,112,357

Panther BF Aggregator 2 LP (B/B1) (1M LIBOR + 3.500%)

    4,714,375       3.678     04/30/26   4,478,656

(1M EURIBOR + 3.750%)

EUR

    1,150,000       3.750     04/30/26   1,242,359

Tenneco, Inc. (B/Ba3) (1M LIBOR + 3.000%)

 

$

    5,345,184       3.178     10/01/25   4,605,784

Wand NewCo 3, Inc. (B-/B1) (3M LIBOR + 3.000%)

    3,778,200       4.072     02/05/26   3,579,845
       

 

        39,761,520

 

Building & Construction Material(c) – 0.3%

CSC Holdings LLC (BB/Ba3) (1M LIBOR + 2.500%)

    3,783,909       2.685     04/15/27   3,581,886

 

Building Materials(c) – 3.5%

ACProducts, Inc. (NR/B2) (6M LIBOR + 6.500%)

    4,919,063       7.500     08/18/25   4,799,185

Beacon Roofing Supply, Inc. (BB/B2) (1M LIBOR + 2.250%)

    2,003,171       2.428     01/02/25   1,901,931

CPG International, Inc. (BB-/B2) (12M LIBOR + 3.750%)

    4,297,400       4.750     05/05/24   4,247,722

Foundation Building Materials Holding Co. LLC (BB-/B2) (1M LIBOR + 3.000%)

    2,601,665       3.178     08/13/25   2,500,850

Hayward Industries, Inc. (B/B3) (1M LIBOR + 3.500%)

    4,808,159       3.678     08/05/24   4,615,833

Ingersoll-Rand Services Co. (BB+/Ba2) (1M LIBOR + 1.750%)

    1,745,625       1.928     03/01/27   1,657,261

Jeld-Wen, Inc. (BB+/Ba2) (1M LIBOR + 2.000%)

    2,031,439       2.178     12/14/24   1,906,384

LBM Borrower LLC (B+/B2) (3M LIBOR + 3.750%)

    3,403,913       4.058     08/20/22   3,337,979

NCI Building Systems, Inc. (B+/B2) (1M LIBOR + 3.750%)

    9,313,386       3.941     04/12/25   8,836,075

Quikrete Holdings, Inc. (BB-/B1) (1M LIBOR + 2.500%)

    5,241,019       2.678     02/01/27   5,028,129

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Building Materials(c) – (continued)

Swissport Financing S.a r.l. (CCC/Caa1) (3M EURIBOR + 4.500%)

EUR

    5,325,000       4.500   08/14/24   $       4,883,326
       

 

  43,714,675

 

Chemicals(c) – 4.7%

Alpha 3 B.V. (B-/B2) (3M LIBOR + 3.000%)

$

    4,560,153       4.000     01/31/24   4,381,167

ASP Unifrax Holdings, Inc. (CCC/Caa3) (3M LIBOR + 8.500%)

    1,975,000       8.813     12/14/26   1,575,062

ASP Unifrax Holdings, Inc. (CCC+/Caa1) (6M LIBOR + 3.750%)

    5,203,736       4.822     12/12/25   4,284,704

Consolidated Energy Finance SA (BB-/Ba3)(d) (3M LIBOR + 2.500%)

    3,929,949       2.694     05/07/25   3,556,604

Cyanco Intermediate Corp. (B/B2) (1M LIBOR + 3.500%)

    3,889,750       3.678     03/16/25   3,758,470

Diamond (BC) B.V. (CCC+/B1)(d) (3M LIBOR + 5.000%)

    1,000,000       6.000     09/06/24   977,500

Element Solutions, Inc. (BB/Ba2) (1M LIBOR + 2.000%)

    3,185,173       2.178     01/31/26   3,028,558

Emerald Performance Materials LLC (B-/B2) (1M LIBOR + 3.500%)

    1,182,864       4.500     08/01/21   1,138,507

Emerald Performance Materials LLC (CCC+/Caa2) (1M LIBOR + 7.750%)

    2,572,144       8.750     08/01/22   2,454,263

Hexion, Inc. (B+/Ba3) (3M LIBOR + 3.500%)

    3,619,190       4.940     07/01/26   3,519,662

INEOS Enterprises Holdings US Finco LLC (NR/B1) (3M LIBOR + 3.500%)

    4,812,179       4.500     08/28/26   4,603,668

Momentive Performance Materials, Inc. (B+/B2) (1M LIBOR + 3.250%)

    5,574,347       3.430     05/15/24   5,205,046

Polar US Borrower LLC (B-/B2) (1M LIBOR + 4.750%)

    3,918,257       4.925     10/15/25   3,683,162

PQ Corp. (BB-/B1) (1M LIBOR + 2.250%)

    3,768,678       2.428     02/07/27   3,624,225

Starfruit Finco B.V. (B+/B1) (1M LIBOR + 3.000%)

    6,209,748       3.188     10/01/25   5,811,269

The Chemours Co. (BB/Ba1) (1M LIBOR + 1.750%)

    2,688,244       1.930     04/03/25   2,530,310

Tronox Finance LLC (B+/Ba3) (1M LIBOR + 2.750%)

    1,281,699       2.928     09/23/24   1,227,586

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Chemicals(c) – (continued)

Univar, Inc. (BB+/Ba3) (1M LIBOR + 2.250%)

    $3,115,414       2.428   07/01/24   $       2,992,760
       

 

  58,352,523

 

Commercial Services(c) – 2.0%

Amentum Government Services Holdings LLC (B/Ba3) (1M LIBOR + 4.000%)

    860,000       4.178     02/01/27   842,439

APX Group, Inc. (B-/B3) (1M LIBOR + 5.000%)

    1,995,000       5.178     12/31/25   1,848,487

AQ Carver Buyer, Inc. (B/B2) (3M LIBOR + 5.000%)

    2,183,500       6.000     09/23/25   1,921,480

Avis Budget Car Rental, LLC (BB-/Ba2) (1M LIBOR + 2.250%)

    2,992,481       2.430     08/06/27   2,652,086

Da Vinci Purchaser Corp. (B/B2) (6M LIBOR + 4.000%)

    4,000,000       5.238     01/08/27   3,885,000

IRB Holding Corp. (B/B3) (1M LIBOR + 2.750%)

    5,682,053       3.750     02/05/25   5,233,568

Prime Security Services Borrower LLC (BB-/Ba3) (1M LIBOR + 3.250%)

    3,463,775       4.250     09/23/26   3,323,077

Rockwood Service Corporation (B/B2)(d) (3M LIBOR + 4.250%)

    1,496,250       4.558     01/23/27   1,436,400

STG-Fairway Holdings LLC (B-/B2) (3M LIBOR + 3.500%)

    2,327,509       4.572     01/31/27   2,163,606

Trans Union LLC (BB+/Ba2) (1M LIBOR + 1.750%)

    1,327,526       1.928     11/16/26   1,267,376
       

 

  24,573,519

 

Construction Machinery(c) – 0.5%

Brookfield WEC Holdings Inc. (B/B2) (1M LIBOR + 3.000%)

    4,943,010       3.750     08/01/25   4,762,788

Welbilt, Inc. (CCC+/B3) (1M LIBOR + 2.500%)

    2,147,500       2.678     10/23/25   1,846,850
       

 

  6,609,638

 

Consumer Cyclical Services(c) – 0.1%

Fleet U.S. Bidco, Inc. (B+/B2) (6M LIBOR + 3.250%)

    1,588,000       4.322     10/07/26   1,508,600

 

Consumer Cyclical Services – Business(c) – 2.2%

Advantage Sales & Marketing, Inc. (CCC+/B2) (3M LIBOR + 3.250%)

    2,379,835       3.558     07/23/21   2,170,481

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Consumer Cyclical Services – Business(c) – (continued)

Advantage Sales & Marketing, Inc.

(CCC-/Caa2) (3M LIBOR + 6.500%)

$

    2,053,226       7.500   07/25/22   $       1,687,670

Allied Universal Holding Co. LLC (B-/B3) (1M LIBOR + 4.250%)

    4,401,815       4.428     07/10/26   4,268,837

Colorado Buyer, Inc. (CC/Caa2) (6M LIBOR + 7.250%)

    2,875,000       8.250     05/01/25   1,001,621

Guidehouse LLP (B-/B1) (1M LIBOR + 4.500%)

    3,696,708       4.678     05/01/25   3,561,150

Sabre GLBL, Inc. (B+/Ba3) (1M LIBOR + 2.000%)

    3,379,069       2.178     02/22/24   3,084,009

Stats Intermediate Holdings LLC (B-/NR) (1M LIBOR + 5.250%)

    2,636,750       5.441     07/10/26   2,395,039

Tempo Acquisition LLC (B/B1) (1M LIBOR + 2.750%)

    5,589,702       2.928     05/01/24   5,296,243

The House of HR (NR/NR) (6M EURIBOR + 4.250%)

EUR

    2,475,000       4.250     07/27/26   2,504,347

USS Ultimate Holdings, Inc. (CCC/Caa2) (3M LIBOR + 7.750%)

$

    2,225,000       8.058     08/25/25   1,849,531
       

 

        27,818,928

 

Consumer Products – Household & Leisure(c) – 0.4%

Diamond (BC) B.V. (CCC+/B1) (3M LIBOR + 3.000%)

    3,073,537       3.760     09/06/24   2,817,419

Prestige Brands, Inc. (BB/Ba3) (1M LIBOR + 2.000%)

    2,263,031       2.178     01/26/24   2,220,034
       

 

        5,037,453

 

Consumer Products – Non Durable(c) – 1.0%

Alphabet Holding Co., Inc. (B-/B3) (1M LIBOR + 3.500%)

    2,796,525       3.678     09/26/24   2,626,105

Alphabet Holding Co., Inc. (CCC/Caa2) (1M LIBOR + 7.750%)

    3,825,000       7.928     09/26/25   3,416,987

HLF Financing S.a r.l. (BB+/Ba1) (1M LIBOR + 2.750%)

    3,225,357       2.928     08/18/25   3,108,438

KIK Custom Products, Inc. (B-/B3) (2M LIBOR + 4.000%)

    3,600,000       5.000     05/15/23   3,420,468
       

 

        12,571,998

 

Distributor(c) – 0.2%

UGI Energy Services LLC (NR/Ba3) (1M LIBOR + 3.750%)

    2,628,737       3.928     08/13/26   2,540,017

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Diversified Financial Services(c) – 3.0%

Advisor Group, Inc. (B-/B2) (1M LIBOR + 5.000%)

$

    4,975,000       5.178   07/31/26   $     4,593,169

Blackstone CQP Holding Co. LP (B+/B1) (3M LIBOR + 3.500%)

    5,280,416       3.806     09/30/24   5,042,797

Citadel Securities LP (BBB-/Ba1) (1M LIBOR + 2.750%)

    4,676,472       2.928     02/27/26   4,540,059

DLG Acquisitions Ltd. (NR/NR) (6M EURIBOR + 3.500%)

EUR

    1,825,000       3.500     05/15/26   1,955,556

Edelman Financial Center LLC (B/B2) (1M LIBOR + 3.000%)

$

    3,627,903       3.180     07/21/25   3,455,577

FinCo I LLC (BB/Baa3) (1M LIBOR + 2.000%)

    1,531,317       2.178     12/27/22   1,473,892

First Eagle Holdings, Inc. (BB/Ba2) (3M LIBOR + 2.500%)

    1,953,307       2.808     02/01/27   1,879,648

Fiserv Investment Solutions, Inc. (B/B2) (3M LIBOR + 4.750%)

    1,200,000       5.136     02/18/27   1,179,000

Franklin Square Holdings LP (BB/Ba1)(d) (1M LIBOR + 2.250%)

    1,913,074       2.438     08/01/25   1,846,116

Jefferies Finance LLC (BB-/Ba2) (1M LIBOR + 3.000%)

    3,976,209       3.188     06/03/26   3,748,810

MHI Holdings LLC (B/B2) (1M LIBOR + 5.000%)

    4,228,750       5.178     09/21/26   4,038,456

VFH Parent LLC (B+/Ba3) (1M LIBOR + 3.000%)

    1,835,639       3.188     03/01/26   1,785,930

Victory Capital Holdings, Inc. (NR/Ba3) (3M LIBOR + 2.500%)

    2,343,865       3.937     07/01/26   2,269,166
       

 

        37,808,176

 

Diversified Manufacturing(c) – 2.1%

AI Aqua Merger Sub, Inc. (B/B2)

(1M LIBOR + 3.250%)

    1,865,217       4.322     12/13/23   1,781,283

(3M LIBOR + 3.250%)

    1,122,101       4.322     12/13/23   1,075,814

AI Plex Acquico GmbH (B-/B3) (6M LIBOR + 5.000%)

    3,684,968       6.779     07/31/26   3,236,618

Apex Tool Group LLC (CCC+/B3) (1M LIBOR + 5.250%)

    3,924,684       6.500     08/01/24   3,500,582

Atkore International, Inc. (BB-/Ba3) (3M LIBOR + 2.750%)

    4,119,211       3.750     12/22/23   4,019,320

Dynacast International LLC (CCC/Caa1) (3M LIBOR + 3.250%)

    5,743,325       4.250     01/28/22   4,652,093

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Diversified Manufacturing(c) – (continued)

Gardner Denver, Inc. (NR/NR) (1M LIBOR + 1.750%)

$

    1,503,200       1.928   03/01/27   $       1,427,108

Robertshaw US Holding Corp. (CCC-/Caa2) (6M LIBOR + 8.000%)

    4,650,000       9.000     02/28/26   2,511,000

Titan Acquisition Ltd. (B-/B2) (3M LIBOR + 3.000%)

    4,154,738       3.361     03/28/25   3,789,661
       

 

        25,993,479

 

Electrical Utilities – 0.6%

Pacific Gas & Electric Co. (BB-/B1)(b)

    2,600,000       0.000     06/23/25   2,551,250

Pike Corp. (B/B2)(c) (1M LIBOR + 3.250%)

    1,927,402       4.250     07/24/26   1,867,479

Resideo Funding, Inc. (BBB-/Ba2)(c) (3M LIBOR + 2.250%)

    2,627,146       2.560     10/24/25   2,535,196
       

 

        6,953,925

 

Entertainment – 3.2%

Allen Media LLC (BB-/Ba3)(c) (3M LIBOR + 5.500%)

    6,532,592       5.808     02/10/27   6,184,209

Alterra Mountain Co. (B/B1)(c) (1M LIBOR + 2.750%)

    3,500,812       2.928     07/31/24   3,290,764

Alterra Mountain Co. (B/B1)(c) (1M LIBOR + 4.500%)

    1,421,438       5.500     08/01/26   1,393,009

AMC Entertainment Holdings, Inc. (CCC+/Caa2)(c) (6M LIBOR + 3.000%)

    4,008,915       4.080     04/22/26   2,898,967

Amer Sports Oyj (NR/NR)(c) (6M EURIBOR + 4.500%)

EUR

    3,225,000       4.500     03/30/26   3,259,834

Banijay Entertainment S.A.S (B/B1)(b)

$

    3,650,000       0.000     03/01/25   3,449,250

CityCenter Holdings LLC (B+/B2)(c) (1M LIBOR + 2.250%)

    3,557,232       3.000     04/18/24   3,227,299

Crown Finance US, Inc. (CCC+/B3)(c)

(3M LIBOR + 2.250%)

    3,105,869       3.322     02/28/25   2,325,023

(6M LIBOR + 2.500%)

    1,091,750       3.572     09/30/26   803,342

PCI Gaming Authority (BB+/Ba3)(c) (1M LIBOR + 2.500%)

    4,918,308       2.678     05/29/26   4,672,392

Playtika Holding Corp. (B+/B1)(c) (3M LIBOR + 6.000%)

    2,461,875       7.072     12/10/24   2,455,720

UFC Holdings LLC (B/B2)(c) (6M LIBOR + 3.250%)

    2,564,550       4.250     04/29/26   2,444,863

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Entertainment – (continued)

Vue International Bidco PLC (B-/B2)(c) (3M EURIBOR + 4.250%)

EUR

    3,136,096       4.250   07/03/26   $       3,019,133

World Triathlon Corp. (B-/WR)(c) (1M LIBOR + 4.250%)

$

    1,311,197       5.250     08/15/26   1,278,417
       

 

        40,702,222

 

Environmental(c) – 1.2%

Core & Main LP (B/B2) (3M LIBOR + 2.750%)

    4,061,529       3.750     08/01/24   3,859,711

EnergySolutions LLC (B-/B3) (3M LIBOR + 3.750%)

    4,500,444       4.750     05/09/25   4,132,893

FTS International, Inc. (CCC-/Ca) (1M LIBOR + 4.750%)

    2,067,585       5.750     04/16/21   1,424,049

GFL Environmental, Inc. (BB-/Ba3) (3M LIBOR + 3.000%)

    4,076,333       4.000     05/30/25   3,954,899

Innovative Water Care Global Corp. (CCC+/Caa1) (3M LIBOR + 5.000%)

    2,888,438       6.000     02/27/26   2,112,170
       

 

        15,483,722

 

Food & Beverages – 2.4%

BellRing Brands LLC (B+/B2)(b)

    1,258,861       0.000     10/21/24   1,250,212

CHG PPC Parent LLC (B-/B2)(c) (1M LIBOR + 2.750%)

    4,375,549       2.928     03/31/25   4,156,772

Chobani LLC (B-/B1)(c) (1M LIBOR + 3.500%)

    3,546,067       4.500     10/10/23   3,402,026

Froneri International Ltd. (B+/B1)(c)

(1M LIBOR + 2.250%)

    7,200,000       2.428     01/29/27   6,754,536

(6M EURIBOR + 2.625%)

EUR

    2,000,000       2.625     01/29/27   2,161,052

Shearer’s Foods, Inc. (CCC/Caa2)(c) (3M LIBOR + 6.750%)

$

    2,390,889       7.750     06/30/22   2,343,071

Sigma Bidco B.V. (NR/NR)(c) (3M LIBOR + 3.000%)

    5,447,854       4.451     07/02/25   5,206,568

Sunshine Investments B.V. (B+/B1)(c)

(3M EURIBOR + 3.250%)

EUR

    525,000       3.250     03/28/25   570,131

(3M LIBOR + 3.250%)

$

    4,519,746       3.674     03/28/25   4,384,154
       

 

        30,228,522

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Gaming(c) – 1.7%

Caesars Entertainment Operating Co., Inc. (BB-/WR) (1M LIBOR + 2.000%)

$

    1,868,710       2.178   10/07/24   $       1,858,787

Caesars Resort Collection LLC (B+/B1) (1M LIBOR + 2.750%)

    8,952,123       2.928     12/23/24   7,936,594

Eldorado Resorts LLC (BB-/WR) (3M LIBOR + 2.250%)

    1,248,352       3.250     04/17/24   1,238,215

Mohegan Tribal Gaming Authority (CCC+/Caa1)

(1M LIBOR + 4.125%)

    969,532       4.299     10/13/21   814,407

(3M LIBOR + 4.375%)

    1,358,928       5.375     10/13/23   1,109,565

Scientific Games International, Inc. (B+/B1) (6M LIBOR + 2.750%)

    8,143,933       3.612     08/14/24   7,182,948

The Stars Group Holdings B.V. (BBB-/Ba1) (3M LIBOR + 3.500%)

    1,485,841       3.808     07/10/25   1,475,381
       

 

        21,615,897

 

Health Care – Pharmaceuticals(c) – 1.8%

Amedes Holding AG (B/B2) (3M EURIBOR + 3.500%)

EUR

    3,010,720       3.500     05/30/26   3,233,711

Bausch Health Cos., Inc. (BB/Ba2) (1M LIBOR + 2.750%)

$

    2,316,918       2.940     11/27/25   2,236,150

Endo Luxembourg Finance Co. I S.a r.l. (B+/B2) (1M LIBOR + 4.250%)

    5,082,056       5.000     04/29/24   4,789,838

Grifols Worldwide Operations USA, Inc. (BB+/Ba2) (1 Week LIBOR + 2.000%)

    4,924,143       2.109     11/15/27   4,732,742

Sunshine Luxembourg VII S.a r.l. (B-/B2) (6M LIBOR + 4.250%)

    4,526,128       5.322     10/01/26   4,324,353

Valeant Pharmaceuticals International, Inc. (BB/Ba2) (1M LIBOR + 3.750%)

    2,817,777       4.540     10/20/18   2,734,315
       

 

        22,051,109

 

Health Care – Services – 5.4%

Air Medical Group Holdings, Inc. (B/B1)(c) (3M LIBOR + 4.250%)

    3,034,439       5.250     03/14/25   2,894,096

Air Methods Corp. (B/B3)(c) (3M LIBOR + 3.500%)

    1,860,195       4.500     04/22/24   1,524,969

American Renal Holdings, Inc. (B-/B3)(c) (1M LIBOR + 5.000%)

    3,894,292       5.178     06/21/24   3,650,899

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Health Care – Services – (continued)

Athenahealth, Inc. (B/B2)(c) (3M LIBOR + 4.500%)

$

    4,454,119       4.818   02/11/26   $       4,305,663

Change Healthcare Holdings LLC (B+/B1)(c) (3M LIBOR + 2.500%)

    2,848,057       3.500     03/01/24   2,729,777

Envision Healthcare Corp. (CCC/Caa1)(c) (1M LIBOR + 3.750%)

    7,366,075       3.928     10/10/25   4,806,364

ExamWorks Group, Inc. (B/B1)(b)

    2,593,282       0.000     07/27/23   2,528,450

Gentiva Health Services, Inc. (B/B1)(c) (1M LIBOR + 3.250%)

    2,992,500       3.438     07/02/25   2,891,503

Jaguar Holding Company II (B+/Ba2)(c) (1M LIBOR + 2.500%)

    2,792,651       3.500     08/18/22   2,755,118

MPH Acquisition Holdings LLC (B+/B1)(c) (3M LIBOR + 2.750%)

    3,982,295       3.750     06/07/23   3,778,203

RegionalCare Hospital Partners Holdings, Inc. (B/B1)(c) (1M LIBOR + 3.750%)

    4,320,833       3.928     11/17/25   4,039,417

Rodenstock GmbH (NR/NR)(c) (3M EURIBOR + 5.250%)

EUR

    3,200,000       4.884     06/05/26   3,354,787

Sedgwick Claims Management Services, Inc. (B/B2)(c) (1M LIBOR + 3.250%)

$

    6,142,321       3.428     12/31/25   5,784,776

Sotera Health Holdings LLC (B/B2)(c) (1M LIBOR + 4.500%)

    5,278,259       5.500     12/11/26   5,145,194

Team Health Holdings, Inc. (B-/Caa1)(c) (1M LIBOR + 2.750%)

    8,239,669       3.750     02/06/24   6,277,639

U.S. Renal Care, Inc. (B-/B2)(c) (1M LIBOR + 5.000%)

    4,858,586       5.178     06/26/26   4,663,562

Verscend Holding Corp. (B+/B3)(c) (1M LIBOR + 4.500%)

    4,581,743       4.678     08/27/25   4,417,946

WP CityMD Bidco LLC (B-/B2)(c) (3M LIBOR + 4.500%)

    1,442,750       5.950     08/13/26   1,418,627
       

 

        66,966,990

 

Home Construction(c) – 0.5%

Builders FirstSource, Inc. (BB+/B1) (3M LIBOR + 3.000%)

    2,030,405       4.000     02/29/24   1,951,301

Gyp Holdings III Corp. (BB-/B2) (1M LIBOR + 2.750%)

    2,937,579       2.928     06/01/25   2,831,092

MI Windows and Doors LLC (BB-/B2) (3M LIBOR + 5.500%)

    1,761,587       6.500     11/06/26   1,682,315
       

 

        6,464,708

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Insurance(c) – 1.6%

Acrisure LLC (B/B2) (1M LIBOR + 3.500%)

$

    3,491,250       3.678   02/15/27   $       3,290,503

Alliant Holdings Intermediate LLC (B/B2) (1M LIBOR + 3.250%)

    3,985,792       3.440     05/09/25   3,791,484

AssuredPartners, Inc. (B/B2) (1M LIBOR + 3.500%)

    3,354,290       3.678     02/12/27   3,200,966

HUB International Ltd. (B/B2) (2M LIBOR + 3.000%)

    5,179,479       4.020     04/25/25   4,916,206

Sedgwick Claims Management Services, Inc. (B/B2) (1M LIBOR + 4.250%)

    550,000       5.250     09/03/26   532,581

USI, Inc. (B/B2) (3M LIBOR + 3.000%)

    5,034,364       3.308     05/16/24   4,767,543
       

 

        20,499,283

 

Machinery(c) – 0.3%

Shape Technologies Group, Inc.

(CCC+/Caa2) (3M LIBOR + 3.000%)

    2,884,078       4.043     04/21/25   2,220,740

Star US Bidco LLC (B-/B3) (1M LIBOR + 4.250%)

    1,500,000       5.250     03/17/27   1,357,500
       

 

        3,578,240

 

Media(c) – 0.1%

Meredith Corp. (BB-/Ba3) (3M LIBOR + 2.500%)

    1,893,413       3.260     01/31/25   1,744,306

 

Media – Broadcasting & Radio(c) – 2.7%

Ascend Learning LLC (B/Ba3) (1M LIBOR + 3.000%)

    3,427,954       4.000     07/12/24   3,254,431

Cumulus Media New Holdings, Inc. (B/B2) (6M LIBOR + 3.750%)

    3,639,084       4.058     03/31/26   3,384,348

Diamond Sports Group LLC (BB-/Ba3) (3M LIBOR + 3.250%)

    8,758,813       3.430     08/24/26   7,105,587

Digital Room Holdings, Inc. (B-/B2) (6M LIBOR + 5.000%)

    4,974,750       6.072     05/21/26   3,911,397

Metro-Goldwyn-Mayer, Inc. (B-/B3) (1M LIBOR + 4.500%)

    1,050,000       5.500     07/03/26   1,002,750

Metro-Goldwyn-Mayer, Inc. (BB/Ba3) (1M LIBOR + 2.500%)

    2,221,734       2.680     07/03/25   2,138,419

Nexstar Broadcasting, Inc. (BB/Ba3)

(1M LIBOR + 2.250%)

    2,554,387       2.434     01/17/24   2,423,474

(1M LIBOR + 2.750%)

    2,473,610       2.923     09/18/26   2,347,728

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Media – Broadcasting & Radio(c) – (continued)

Renaissance Holding Corp. (B-/B2) (3M LIBOR + 3.250%)

$

    2,801,478       4.010   05/30/25   $       2,690,343

Renaissance Holding Corp. (CCC/Caa2) (3M LIBOR + 7.000%)

    2,525,000       7.760     05/29/26   2,300,275

The E.W. Scripps Co. (BB-/Ba3) (1M LIBOR + 2.000%)

    1,554,343       2.178     10/02/24   1,453,963

WMG Acquisition Corp. (BB/Ba3) (1M LIBOR + 2.125%)

    1,837,047       2.303     11/01/23   1,782,450
       

 

        33,795,165

 

Media – Cable(c) – 2.8%

Altice Financing SA (B/B2)

(1M LIBOR + 2.750%)

    1,974,555       2.935     07/15/25   1,863,901

(1M LIBOR + 2.750%)

    4,049,440       2.930     01/31/26   3,813,236

Altice France SA (B/B2) (1M LIBOR + 3.688%)

    3,025,852       3.872     01/31/26   2,894,863

Cogeco Communications, Inc. (BB/B1) (1M LIBOR + 2.000%)

    3,271,577       2.178     01/03/25   3,121,509

CSC Holdings LLC (BB/Ba3) (1M LIBOR + 2.250%)

    3,932,725       2.435     07/17/25   3,711,509

ION Media Networks, Inc. (BB-/B1) (3M LIBOR + 3.000%)

    2,538,513       3.813     12/18/24   2,391,280

Numericable Group SA (B/B2) (1M LIBOR + 2.750%)

    4,725,341       2.928     07/31/25   4,465,258

Univision Communications Inc. (B/B2) (3M LIBOR + 3.750%)

    4,007,806       4.750     03/13/26   3,733,271

Virgin Media Bristol LLC (BB-/Ba3) (1M LIBOR + 2.500%)

    4,858,080       2.685     01/31/28   4,628,536

Ziggo Financing Partnership B.V. (B+/B1) (1M LIBOR + 2.500%)

    4,500,000       2.685     04/30/28   4,236,570
       

 

        34,859,933

 

Media – Non Cable – 3.8%

Cambium Learning Group, Inc. (B/B2)(c) (3M LIBOR + 4.500%)

    3,967,249       4.808     12/18/25   3,755,675

Clear Channel Outdoor Holdings, Inc. (B/B1)(c)(3M LIBOR + 3.500%)

    5,458,750       4.260     08/21/26   4,934,710

Entercom Media Corp. (BB-/Ba3)(c) (1M LIBOR + 2.500%)

    2,800,484       2.684     11/18/24   2,609,127

Getty Images, Inc. (B-/B2)(c) (1M LIBOR + 4.500%)

    5,579,193       4.688     02/19/26   4,937,586

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Media – Non Cable – (continued)

Hubbard Radio LLC (B/B2)(c) (3M LIBOR + 3.500%)

$

    3,790,378       4.500   03/28/25   $       3,373,436

iHeartCommunications, Inc. (B+/B1)(c) (1M LIBOR + 3.000%)

    930,348       3.178     05/01/26   855,148

Lions Gate Capital Holdings LLC (B+/Ba2)(c) (1M LIBOR + 2.250%)

    3,246,010       2.428     03/24/25   3,061,409

McGraw-Hill Global Education Holdings LLC (B/B2)(c) (3M LIBOR + 4.000%)

    6,901,988       5.000     05/04/22   5,804,572

Meredith Corporation (BB-/Ba3)(c) (1M LIBOR + 2.500%)

    4,125,000       4.992     01/31/25   3,929,062

Mission Broadcasting, Inc. (BB/Ba3)(c) (1M LIBOR + 2.250%)

    657,138       2.423     01/17/24   623,460

NEP/NCP Holdco, Inc. (B/Caa2)(c) (3M LIBOR + 3.250%)

    4,011,976       3.428     10/20/25   3,274,214

NEP/NCP Holdco, Inc. (CCC/Ca)(c) (1M LIBOR + 7.000%)

    4,575,000       7.178     10/19/26   3,339,750

Nielsen Finance LLC (NR/NR)(c)

    725,000       4.046     10/04/23   716,844

(1M EURIBOR + 3.750%)

EUR

    275,000       3.750     06/05/25   305,968

Terrier Media Buyer, Inc. (B+/B1)

$

    1,000,000       0.000 (b)    12/17/26   950,000

(3M LIBOR + 4.250%)

    4,776,000       4.428 (c)    12/17/26   4,545,176
       

 

        47,016,137

 

Metals & Mining(c) – 0.8%

Anvil International LLC (B-/B3) (3M LIBOR + 5.000%)

    3,970,000       6.080     05/28/26   3,494,831

Covia Holdings Corp. (D/WR) (3M LIBOR + 4.000%)

    2,764,301       5.387     06/01/25   1,549,750

Crosby US Acquisition Corp. (B-/B2) (1M LIBOR + 4.750%)

    3,878,830       4.940     06/26/26   3,562,046

U.S. Silica Co. (CCC+/Caa1)(1M LIBOR + 4.000%)

    2,298,390       5.000     05/01/25   1,629,398
       

 

        10,236,025

 

Packaging(c) – 3.8%

Berlin Packaging LLC (B-/B3) (3M LIBOR + 3.000%)

    4,984,747       3.310     11/07/25   4,710,586

Berry Global, Inc. (BBB-/Ba2) (3M LIBOR + 2.500%)

    1,994,962       4.215     07/01/26   1,902,695

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Packaging(c) – (continued)

BWAY Holding Co. (B/B3) (3M LIBOR + 3.250%)

$

    9,694,321       4.561   04/03/24   $       8,680,489

Canister International Group, Inc. (B/B2) (1M LIBOR + 4.750%)

    1,296,750       4.928     12/21/26   1,244,880

Charter NEX US, Inc. (B/B2)

(1M LIBOR + 3.250%)

    2,250,261       3.428     05/16/24   2,147,874

(1M LIBOR + 2.750%)

    2,497,720       3.750     05/16/24   2,384,973

Consolidated Container Co. LLC (B+/B2) (1M LIBOR + 2.750%)

    3,980,127       3.750     05/22/24   3,871,908

Flex Acquisition Co., Inc. (B/B2)

(3M LIBOR + 3.000%)

    1,170,262       4.433     12/29/23   1,115,716

(3M LIBOR + 3.250%)

    3,246,110       4.683     06/29/25   3,051,343

LABL, Inc. (B/B2)

(1M LIBOR + 4.500%)

    1,110,644       4.678     07/01/26   1,063,098

(1M EURIBOR + 5.000%)

EUR

    3,050,000       5.000     07/01/26   3,343,851

Pro Mach Group, Inc. (B-/B2) (1M LIBOR + 2.750%)

$

    4,747,042       2.930     03/07/25   4,425,145

Reynolds Consumer Products, Inc (BB+/Ba1) (1M LIBOR + 1.750%)

    2,992,500       1.928     02/04/27   2,878,665

Reynolds Group Holdings, Inc. (B+/B1) (1M LIBOR + 2.750%)

    2,935,158       2.928     02/05/23   2,796,912

Trident TPI Holdings, Inc. (B-/B2) (1M LIBOR + 3.000%)

    3,958,340       4.072     10/17/24   3,770,318
       

 

        47,388,453

 

Paper(c) – 0.3%

Altium Packaging LLC (B+/B2) (1M LIBOR + 3.000%)

    742,519       3.178     06/14/26   714,214

Pregis TopCo Corp. (B/B2) (1M LIBOR + 4.000%)

    3,655,066       4.178     07/31/26   3,516,466
       

 

        4,230,680

 

Pipelines – 2.4%

BCP Raptor LLC (B-/B3)(c)

(3M LIBOR + 4.250%)

    6,389,671       5.250     06/24/24   4,568,615

(1M LIBOR + 4.750%)

    4,098,550       4.928     11/03/25   2,643,565

Buckeye Partners LP (BBB-/Ba1)(c) (1M LIBOR + 2.750%)

    1,446,375       2.923     11/01/26   1,383,458

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Pipelines – (continued)

Centurion Pipeline Co. LLC (BB+/B1)(c) (1M LIBOR + 3.250%)

$

    2,857,647       3.428   09/29/25   $       2,713,335

Illuminate Buyer LLC (B+/B1)(b)

    2,600,000       0.000     06/16/27   2,557,100

Lower Cadence Holdings LLC (B-/B2)(c) (1M LIBOR + 4.000%)

    2,227,500       4.184     05/22/26   1,971,337

Moda Ingleside Energy Center LLC (BB+/B1)(c) (1M LIBOR + 3.250%)

    1,605,924       3.428     09/29/25   1,556,943

NorthRiver Midstream Finance LP (BB+/Ba3)(c)(3M LIBOR + 3.250%)

    3,733,500       4.683     10/01/25   3,516,509

Prairie ECI Acquiror LP (B/B2)(c) (1M LIBOR + 4.750%)

    3,079,942       4.928     03/11/26   2,786,701

Traverse Midstream Partners LLC (B/B3)(c) (1M LIBOR + 4.000%)

    3,204,523       5.000     09/27/24   2,655,749

Waterbridge Midstream Operating LLC (B-/B3)(c) (6M LIBOR + 5.750%)

    4,162,016       6.750     06/22/26   3,386,841
       

 

        29,740,153

 

Real Estate Investment Trust(c) – 0.8%

Brookfield Property REIT, Inc. (BB+/B1) (1M LIBOR + 2.500%)

    4,860,672       2.678     08/27/25   4,056,619

Forest City Enterprises LP (B+/B2)(d) (1M LIBOR + 3.500%)

    2,842,785       3.678     12/08/25   2,658,004

Realogy Group LLC (BB-/Ba3) (3M LIBOR + 2.250%)

    3,026,718       3.000     02/08/25   2,777,498
       

 

        9,492,121

 

Restaurants – 0.5%

1011778 B.C. Unlimited Liability Co. (BB+/Ba2)(c) (1M LIBOR + 1.750%)

    4,861,592       1.928     11/19/26   4,599,066

Caesars Resort Collection LLC (B+/B1)(b)

    1,700,000       0.000     07/21/25   1,594,821
       

 

        6,193,887

 

Retailers – 2.2%

Academy Ltd. (CCC+/Caa1)(c) (1M LIBOR + 4.000%)

    4,729,968       5.000     07/01/22   3,778,062

Bass Pro Group LLC (B/B1)(c) (1M LIBOR + 5.000%)

    5,010,660       5.178     09/25/24   4,808,430

Dealer Tire LLC (B-/B1)(c) (1M LIBOR + 4.250%)

    3,356,778       4.428     12/12/25   3,200,117

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Retailers – (continued)

EG America LLC (B-/B2)(c) (3M LIBOR + 4.000%)

$

    5,301,325       5.072   02/07/25   $     4,965,592

Neiman Marcus Group Ltd. LLC (NR/WR)(e)

    2,832,737       0.000     10/25/23   716,682

OEConnection LLC (B-/B2)(c) (3M LIBOR + 4.000%)

    2,946,350       5.450     09/25/26   2,769,569

Shutterfly, Inc. (B-/B2)(c) (3M LIBOR + 6.000%)

    2,308,065       6.308     09/25/26   2,104,470

Staples, Inc. (B/B1)(c) (3M LIBOR + 5.000%)

    5,390,956       5.687     04/16/26   4,622,745
       

 

        26,965,667

 

Services Cyclical – Business Services(c) – 0.8%

EVO Payments International LLC (B/B2) (1M LIBOR + 3.250%)

    2,733,264       3.440     12/22/23   2,654,683

Shift4 Payments LLC (B/B2) (3M LIBOR + 4.500%)

    3,203,472       5.500     11/29/24   3,107,368

Travelport Finance (Luxembourg) S.a.r.l. (CCC/Caa2)(3M LIBOR + 5.000%)

    5,825,341       6.072     05/29/26   3,809,656
       

 

        9,571,707

 

Services Cyclical – Consumer Services(c) – 1.7%

Asurion LLC (B/B3) (1M LIBOR + 6.500%)

    1,884,000       6.678     08/04/25   1,869,870

Asurion LLC (B+/Ba3) (1M LIBOR + 3.000%)

    6,114,789       3.178     11/03/23   5,905,847

KUEHG Corp. (CCC+/B3) (3M LIBOR + 3.750%)

    5,804,105       4.750     02/21/25   4,894,079

USIC Holdings, Inc. (B-/B2) (1M LIBOR + 3.250%)

    2,764,312       4.250     12/08/23   2,629,552

USS Ultimate Holdings, Inc. (B-/B2) (3M LIBOR + 3.750%)

    2,498,708       4.750     08/25/24   2,341,464

Weight Watchers International, Inc. (BB/Ba2) (1M LIBOR + 4.750%)

    3,408,585       5.500     11/29/24   3,338,300
       

 

        20,979,112

 

Technology – Hardware(c) – 0.5%

CommScope, Inc. (B+/Ba3) (1M LIBOR + 3.250%)

    3,240,961       3.428     04/06/26   3,062,708

ON Semiconductor Corp. (BB/Baa3) (1M LIBOR + 2.000%)

    2,654,938       2.178     09/19/26   2,542,103

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology – Hardware(c) – (continued)

Xperi Corp. (BB-/Ba3) (3M LIBOR + 4.000%)

$

    1,100,000       4.173   06/01/25   $       1,042,250
       

 

        6,647,061

 

Technology – Software – 2.2%

Avast Software B.V. (BB/Ba2)(c) (3M LIBOR + 2.250%)

    969,930       3.250     09/29/23   951,075

Camelot U.S. Acquisition 1 Co. (B/B2)(c) (1M LIBOR + 3.000%)

    2,543,609       3.178     10/30/26   2,459,365

Castle US Holding Corp. (B-/B2)(c) (1M LIBOR + 3.750%)

    4,889,792       4.058     01/29/27   4,449,710

CCC Information Services, Inc. (B-/B3)(c) (1M LIBOR + 3.000%)

    1,346,530       4.000     04/29/24   1,298,835

Cornerstone OnDemand, Inc. (B/B1)(c) (2M LIBOR + 4.250%)

    2,175,000       5.348     04/22/27   2,138,308

Dynatrace LLC (B/B1)(c) (1M LIBOR + 2.250%)

    2,700,000       2.428     08/22/25   2,614,491

Informatica LLC (B-/B1)(c) (1M LIBOR + 3.250%)

    2,423,925       3.428     02/25/27   2,314,848

The Ultimate Software Group, Inc. (B/B1)(b)

    600,000       0.000     05/04/26   591,846

The Ultimate Software Group, Inc. (CCC/Caa1)(b)

    50,000       0.000     05/03/27   50,750

Tibco Software, Inc. (B+/B2)(c) (1M LIBOR + 3.750%)

    3,217,492       3.930     06/30/26   3,032,486

Uber Technologies (B/B1)

(1M LIBOR + 3.500%)

    1,721,820       3.678 (c)    07/13/23   1,635,729
    1,645,802       0.000 (b)    04/04/25   1,575,114

VS Buyer LLC (B-/B1)(c) (1M LIBOR + 3.250%)

    2,443,875       3.428     02/28/27   2,352,230

Zelis Healthcare Corp. (B/B2)(c) (1M LIBOR + 4.750%)

    2,693,233       4.928     09/30/26   2,636,002
       

 

        28,100,789

 

Technology – Software/Services – 12.5%

Almonde, Inc. (CCC+/B2)(c) (3M LIBOR + 3.500%)

    2,961,705       4.500     06/13/24   2,582,074

Almonde, Inc. (CCC-/Caa2)(c) (6M LIBOR + 7.250%)

    1,625,000       8.250     06/13/25   1,399,304

AppLovin Corp. (B+/B1)(c)

(1M LIBOR + 3.500%)

    3,699,854       3.678     08/15/25   3,582,679

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology – Software/Services – (continued)

(3M LIBOR + 4.000%)

$

    867,825       4.178   08/15/25   $       848,299

Banff Merger Sub, Inc. (B-/B2)(c) (1M LIBOR + 4.250%)

    3,783,776       4.428     10/02/25   3,570,938

Bracket Intermediate Holding Corp. (B-/B2)(c) (3M LIBOR + 4.250%)

    3,023,060       5.701     09/05/25   2,796,331

Cardtronics USA, Inc. (BB+/Ba2)(b)

    850,000       0.000     06/25/27   833,000

Ceridian HCM Holding, Inc. (B+/B2)(c) (1 Week LIBOR + 2.500%)

    3,902,295       2.609     04/30/25   3,724,273

ConvergeOne Holdings, Inc. (B-/B2)(c) (1M LIBOR + 5.000%)

    2,391,779       5.178     01/04/26   2,002,254

Datto, Inc. (B/B2)(c) (1M LIBOR + 4.250%)

    5,185,714       4.428     04/02/26   5,030,143

DCert Buyer, Inc. (B-/B2)(c) (1M LIBOR + 4.000%)

    3,216,938       4.178     10/16/26   3,100,324

Electronics for Imaging, Inc. (CCC+/B3)(c)(d) (1M LIBOR + 5.000%)

    1,865,625       5.178     07/23/26   1,455,188

Ellie Mae, Inc. (B/B2)(c) (3M LIBOR + 3.750%)

    2,192,828       4.058     04/17/26   2,119,368

Emerald TopCo, Inc. (B/B2)(c) (3M LIBOR + 3.500%)

    3,493,949       4.260     07/24/26   3,380,396

Eta Australia Holdings III Pty Ltd. (B-/B3)(c) (1M LIBOR + 4.000%)

    5,098,500       4.178     05/06/26   4,839,343

Genuine Financial Holdings LLC (B-/B3)(c) (1M LIBOR + 3.750%)

    5,438,022       3.928     07/12/25   4,856,153

Genuine Financial Holdings LLC (CCC/Caa3)(c) (1M LIBOR + 7.250%)

    4,300,000       7.428     07/10/26   3,196,319

Huskies Parent, Inc. (B-/B2)(c) (1M LIBOR + 4.000%)

    2,885,500       4.178     07/31/26   2,813,362

Hyland Software, Inc. (B-/B1)(c) (1M LIBOR + 3.250%)

    2,545,520       4.000     07/01/24   2,467,958

Hyland Software, Inc. (CCC/Caa1)(c) (1M LIBOR + 7.000%)

    1,950,000       7.750     07/07/25   1,917,493

Ion Trading Technologies S.a.r.l. (B/B3)(c) (3M LIBOR + 4.000%)

    4,291,031       5.072     11/21/24   4,107,118

MA FinanceCo. LLC (BB-/B1)(c) (1M LIBOR + 2.500%)

    411,089       2.678     06/21/24   382,313

Marcel LUX IV S.a.r.l. (B/B2)(c) (1M LIBOR + 3.250%)

    6,095,319       3.428     03/15/26   5,760,076

McAfee LLC (B/B2)(c) (1M LIBOR + 3.750%)

    3,083,527       3.934     09/30/24   2,995,307

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology – Software/Services – (continued)

McAfee LLC (B-/Caa1)(c)  (1M LIBOR + 8.500%)

$

    2,800,000       9.500   09/29/25   $       2,780,400

MH Sub I LLC (B/B2)(c)  (6M LIBOR + 3.500%)

    4,877,598       4.822     09/13/24   4,685,274

Microchip Technology, Inc. (BB+/Baa3)(c)  (1M LIBOR + 2.000%)

    1,500,000       4.080     05/29/25   1,444,215

Mitchell International, Inc. (NR/NR)(c)  (1M LIBOR + 7.250%)

    1,100,000       7.428     12/01/25   973,500

Mitchell International, Inc. (B-/B2)(c)  (1M LIBOR + 3.250%)

    2,913,994       3.428     11/29/24   2,711,850

Omnitracs, Inc. (B/B2)(c)  (3M LIBOR + 2.750%)

    4,173,853       3.047     03/21/25   3,914,030

Pitney Bowes Inc. (NR/Ba1)(c)  (1M LIBOR + 5.500%)

    2,073,750       5.680     01/07/25   1,725,360

Presidio, Inc. (B/B1)(c)  (3M LIBOR + 3.500%)

    2,000,000       4.270     01/22/27   1,923,340

Project Boost Purchaser LLC (B-/B2)(c)  (1M LIBOR + 3.500%)

    5,161,000       3.678     06/01/26   4,883,596

QBS Parent, Inc. (B/B3)(c)  (3M LIBOR + 4.250%)

    4,826,500       4.558     09/22/25   4,102,525

Quest Software US Holdings Inc. (B+/B2)(c)  (3M LIBOR + 4.250%)

    2,542,732       5.010     05/16/25   2,434,666

Refinitiv US Holdings Inc. (B/B2)(c)  (1M LIBOR + 3.250%)

    5,732,038       3.428     10/01/25   5,593,036

Rocket Software, Inc. (B-/B2)(c)  (1M LIBOR + 4.250%)

    2,282,222       4.428     11/28/25   2,182,055

Seattle SpinCo, Inc. (BB-/B1)(c)  (1M LIBOR + 2.500%)

    2,776,186       2.678     06/21/24   2,581,853

Severin Acquisition LLC (B-/B2)(c)  (1M LIBOR + 3.250%)

    5,060,210       3.425     08/01/25   4,845,151

Sirius Computer Solutions, Inc. (B/Ba3)(c)  (1M LIBOR + 3.500%)

    2,725,921       3.678     07/01/26   2,637,329

Syncsort, Inc. (B-/B2)(c)  (3M LIBOR + 6.000%)

    5,248,625       7.000     08/16/24   5,075,840

The Dun & Bradstreet Corp. (B+/B1)(c)  (1M LIBOR + 4.000%)

    5,710,688       4.184     02/06/26   5,553,644

The Ultimate Software Group, Inc. (B/B1)(c)  (1M LIBOR + 3.750%)

    4,912,875       3.928     05/04/26   4,751,536

TriTech Software Systems (B-/Caa1)(c)  (1M LIBOR + 3.750%)

    8,470,080       3.928     08/29/25   7,393,702

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology – Software/Services – (continued)

TTM Technologies, Inc. (BB+/Ba3)(c)  (1M LIBOR + 2.500%)

$

    2,891,547       2.673   09/28/24   $       2,790,343

Ultra Clean Holdings, Inc. (B+/B1)(c)  (1M LIBOR + 4.500%)

    2,992,199       4.678     08/27/25   2,902,433

Upland Software, Inc. (B/B2)(c)  (1M LIBOR + 3.750%)

    4,391,812       3.928     08/06/26   4,216,140

Vertafore, Inc. (B-/B2)(c)  (1M LIBOR + 3.250%)

    3,210,190       3.434     07/02/25   3,019,601

Vertafore, Inc. (CCC/Caa2)(c)(1M LIBOR + 7.250%)

    2,125,000       7.434     07/02/26   2,084,774
       

 

        156,966,206

 

Telecommunication Services(c) – 3.5%

Buzz Merger Sub Ltd. (B+/B1)(1M LIBOR + 2.750%)

    2,618,438       2.928     01/29/27   2,516,973

CenturyLink, Inc. (BBB-/Ba3)  (1M LIBOR + 2.250%)

    6,442,184       2.428     03/15/27   6,059,260

Connect Finco S.a.r.l. (B+/B1)  (1M LIBOR + 4.500%)

    4,339,125       5.500     12/11/26   4,070,663

Imperva, Inc. (B-/B2)  (3M LIBOR + 4.000%)

    5,358,201       5.000     01/12/26   5,082,254

Intelsat Jackson Holdings SA (NR/NR)  (3M LIBOR + 5.500%)

    320,721       6.500     07/14/21   324,933

MH Sub I LLC (B/B2)  (3M LIBOR + 3.750%)

    700,000       4.058     09/13/24   673,750

MLN US Holding Co. LLC (B-/B3)  (1M LIBOR + 4.500%)

    3,339,472       4.678     11/30/25   2,715,425

Project Alpha Intermediate Holding, Inc. (B/B3)  (3M LIBOR + 3.500%)

    5,119,331       5.380     04/26/24   4,906,009

Rackspace Hosting, Inc. (B+/B1)  (3M LIBOR + 3.000%)

    1,745,501       4.000     11/03/23   1,660,408

Vivid Seats Ltd. (B-/B3) (6M LIBOR + 3.500%)

    7,403,897       4.572     06/30/24   6,182,254

Web.com Group, Inc. (B+/B2)  (1M LIBOR + 3.750%)

    5,425,000       3.940     10/10/25   5,117,565

Zayo Group Holdings, Inc. (B/B1)

    4,139,625       3.178     03/09/27   3,919,894
       

 

        43,229,388

 

Textiles(c) – 0.4%

Kontoor Brands, Inc. (B+/Ba2)  (1M LIBOR + 4.250%)

    1,709,667       4.430     05/15/26   1,615,635

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Textiles(c) – (continued)

Renfro Corp. (NR/NR) (1M LIBOR + 5.500%)

$

    703,297       8.129   03/31/21   $          659,716

Renfro Corp. (D/Caa3)(d) (3M LIBOR + 5.500%)

    6,892,401       6.750     03/31/21   2,395,109
       

 

        4,670,460

 

Transportation Services(c) – 0.6%

 

Hornblower Sub LLC (CCC+/B3) (3M LIBOR + 4.500%)

    3,957,781       5.500     04/27/25   3,146,436

XPO Logistics, Inc. (BBB-/Baa3) (1M LIBOR + 2.500%)

    3,975,000       2.694     02/24/25   3,878,130
       

 

        7,024,566

 

Utilities – Electric(c) – 0.9%

 

Calpine Corp. (BB/Ba2)

(1M LIBOR + 2.250%)

    1,307,699       2.430     01/15/24   1,259,928

(1M LIBOR + 2.000%)

    1,240,625       2.178     08/12/26   1,191,000

LMBE-MC Holdco II LLC (BB-/Ba3) (3M LIBOR + 4.000%)

    5,236,355       4.310     12/03/25   5,092,355

Lonestar II Generation Holdings LLC (B+/Ba3)

(3M LIBOR + 5.000%)

    3,335,391       5.760     04/20/26   3,231,160

(3M LIBOR + 5.000%)

    404,463       5.760     04/20/26   391,823
       

 

        11,166,266

 

Wireless Telecommunications(c) – 0.8%

 

Digicel International Finance Ltd. (NR/Caa1) (6M LIBOR + 3.250%)

    5,840,792       4.250     05/28/24   4,885,823

Intelsat Jackson Holdings Ltd. (NR/WR) (6M LIBOR + 8.625%)

    3,375,000       8.625     01/02/24   3,368,149

Telesat Canada (BB-/Ba3) (1M LIBOR + 2.750%)

    2,012,506       2.930     12/07/26   1,930,335
       

 

        10,184,307

 

Wirelines Telecommunications(c) – 1.2%

 

Consolidated Communications, Inc. (B+/B1) (1M LIBOR + 3.000%)

    3,324,845       4.000     10/04/23   3,147,996

GTT Communications, Inc. (CCC+/B2) (1M LIBOR + 2.750%)

    2,817,498       2.930     05/31/25   2,065,001

Level 3 Financing, Inc. (BBB-/Ba1) (1M LIBOR + 1.750%)

    3,823,623       1.928     03/01/27   3,609,232

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(a) – (continued)

Wirelines Telecommunications(c) – (continued)

 

Zacapa LLC (B-/B2) (3M LIBOR + 4.500%)

$

    6,443,893       4.808   07/02/25   $       6,202,247
       

 

        15,024,476

 

TOTAL BANK LOANS

(Cost $1,224,308,315)

  $1,129,297,821

 

       
Corporate Obligations – 5.5%

Aerospace & Defense(f) – 0.1%

Howmet Aerospace, Inc. (BBB-/Ba3)

$

    531,000       6.875   05/01/25   $          576,767

TransDigm, Inc. (B+/Ba3)(g)

    319,000       8.000     12/15/25   334,551
       

 

        911,318

 

Airlines(f) – 0.3%

 

Delta Air Lines, Inc. (BB-/Baa3)

    2,079,000       7.375     01/15/26   2,011,433

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd. (NR/Baa3)(g)

    1,585,000       6.500     06/20/27   1,586,981
       

 

        3,598,414

 

Automotive(f) – 0.7%

 

Allison Transmission, Inc. (NR/Ba3)(g)

    1,300,000       5.000     10/01/24   1,303,250

Dana, Inc. (BB-/B2)

    945,000       5.625     06/15/28   937,912

Ford Motor Co. (BB+/Ba2)

    2,019,000       9.000     04/22/25   2,182,969

Ford Motor Credit Co. LLC (BB+/Ba2)

    2,650,000       4.140     02/15/23   2,593,364
    650,000       4.687     06/09/25   633,297

Navistar International Corp. (B/B2)(g)

    705,000       9.500     05/01/25   756,113

The Goodyear Tire & Rubber Co. (B+/B2)

    710,000       5.125     11/15/23   678,050
       

 

        9,084,955

 

Building Materials(f)(g) – 0.2%

 

JELD-WEN, Inc. (BB+/Ba2)

    2,870,000       6.250     05/15/25   2,995,562

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Capital Goods(f)(g) – 0.1%

Vertical US New Co., Inc. (B/B1)

$

    700,000       5.250   07/15/27   $          700,000

 

Chemicals(f)(g) – 0.2%

Illuminate Buyer LLC/Illuminate Holdings IV, Inc. (B-/Caa1)

    553,000       9.000     07/01/28   577,194

Tronox, Inc. (B+/Ba3)

    2,000,000       6.500     05/01/25   1,997,500
       

 

        2,574,694

 

Commercial Services(c)(f)(g) – 0.0%

Verisure Holding AB (B/B1)(3M EURIBOR + 5.000%)

EUR

    260,000       5.000     04/15/25   294,680

 

Computers(f)(g) – 0.1%

Tempo Acquisition LLC/Tempo Acquisition Finance Corp. (B/B1)

$

    1,540,000       5.750     06/01/25   1,578,500

 

Electrical(f) – 0.3%

PG&E Corp. (BB-/B1)

    4,165,000       5.000     07/01/28   4,138,969

 

Electrical Components & Equipment(f)(g) – 0.4%

Energizer Holdings, Inc. (B+/B2)

    375,000       6.375     07/15/26   386,250
    1,850,000       4.750     06/15/28   1,808,375

Wesco Distribution, Inc. (BB-/B2)

    2,108,000       7.125     06/15/25   2,213,400
       

 

        4,408,025

 

Entertainment(f)(g) – 0.1%

Colt Merger Sub, Inc. (B/B1)

    1,785,000       6.250     07/01/25   1,793,925

 

Food & Drug Retailing(f) – 0.2%

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC (BB-/B2)

    1,215,000       6.625     06/15/24   1,245,375

US Foods, Inc. (BB/B3)(g)

    1,019,000       6.250     04/15/25   1,036,833
       

 

        2,282,208

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Food Service(f)(g) – 0.0%

Aramark Services, Inc. (BB-/B1)

$

    400,000       6.375   05/01/25   $          412,500

 

Healthcare Providers & Services(f) – 0.5%

Acadia Healthcare Co., Inc. (B-/Caa1)

    1,935,000       6.500     03/01/24   1,968,862

LifePoint Health, Inc. (B/B1)(g)

    2,450,000       6.750     04/15/25   2,523,500

Tenet Healthcare Corp. (BB-/B1)(g)

    1,900,000       7.500     04/01/25   2,014,000
       

 

        6,506,362

 

Internet(f)(g) – 0.3%

Match Group, Inc. (BB/Ba3)

    1,797,000       4.625     06/01/28   1,814,970

Uber Technologies, Inc. (CCC+/B3)

    1,780,000       7.500     05/15/25   1,791,125
       

 

        3,606,095

 

Leisure Time(f)(g) – 0.0%

Sabre GLBL, Inc. (B+/Ba3)

    416,000       9.250     04/15/25   437,840

 

Lodging – 0.4%

Hilton Domestic Operating Co., Inc. (BB/Ba2)(f)

    2,000,000       4.250     09/01/24   1,935,000
    225,000       5.375 (g)    05/01/25   225,562
    526,000       5.750 (g)    05/01/28   532,575

MGM Resorts International (BB-/Ba3)

    1,875,000       7.750     03/15/22   1,905,469
       

 

        4,598,606

 

Machinery-Diversified(f)(g) – 0.1%

Clark Equipment Co. (BB+/Ba3)

    899,000       5.875     06/01/25   919,228

 

Media – 0.3%

DISH DBS Corp. (B-/B2)

    1,425,000       5.875     07/15/22   1,451,719

iHeartCommunications, Inc. (B+/B1)(f)

    1,393,436       6.375     05/01/26   1,391,695

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Media – (continued)

Univision Communications, Inc. (B/B2)(f)(g)

$

    1,500,000       6.625     06/01/27   $       1,425,000
       

 

        4,268,414

 

Oil Field Services(f) – 0.4%

Exterran Energy Solutions LP/EES Finance Corp. (B+/B1)

    5,800,000       8.125     05/01/25   4,785,000

Noble Holding International Ltd. (D/Caa3)

    1,008,000       7.750     01/15/24   15,120
       

 

        4,800,120

 

Packaging(f)(g) – 0.2%

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (BB/B1)

    1,800,000       5.250     04/30/25   1,847,250

 

Pharmaceuticals(f)(g) – 0.2%

Herbalife Nutrition Ltd./HLF Financing, Inc. (BB-/B1)

    2,017,000       7.875     09/01/25   2,082,553

 

Real Estate(f)(g) – 0.1%

Realogy Group LLC/Realogy Co.-Issuer Corp. (CCC+/B3)

    717,000       7.625     06/15/25   717,000

 

Real Estate Investment Trust(f) – 0.0%

Service Properties Trust (BB+/Baa3)

    455,000       7.500     09/15/25   478,972

 

Restaurants(f)(g) – 0.0%

Yum! Brands, Inc. (B+/B1)

    141,000       7.750     04/01/25   152,104

 

Retailing(f)(g) – 0.3%

1011778 BC ULC/New Red Finance, Inc. (BB+/Ba2)

    637,000       5.750     04/15/25   668,850

PetSmart, Inc. (CCC+/Caa2)

    1,875,000       8.875     06/01/25   1,875,000

Staples, Inc. (B/B1)

    1,375,000       7.500     04/15/26   1,079,375
       

 

        3,623,225

 

TOTAL CORPORATE OBLIGATIONS

(Cost $70,577,775)

  $     68,811,519

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(c)(g) – 0.8%

Collateralized Loan Obligations – 0.8%

Golub Capital Partners 48 LP Series 2020-48A, Class D (BBB-/NR) (3M USD LIBOR + 3.800%)

$

    5,400,000       4.672   04/17/33   $    5,151,562

ICG US CLO LLC Series 2015-2RA, Class C (NR/Baa3)(3M USD LIBOR + 3.500%)

    2,100,000       5.213     01/16/33   1,784,212

Race Point VIII CLO Ltd. Series 2013-8A, Class DR2 (BBB/NR)(3M USD LIBOR + 3.500%)

    3,235,000       3.877     02/20/30   3,023,551

 

TOTAL ASSET-BACKED SECURITIES

(Cost $10,715,997)

 

 

    $    9,959,325

 

       
    Shares         Description         Value
Common Stocks – 0.1%

Media – 0.1%

    162,749       Bright Pattern Holding Co.   $       204,250
    579,399      
Clear Channel Outdoor
Holdings, Inc.(e)
  602,575

 

TOTAL COMMON STOCKS

(Cost $3,684,246)

 

 

    $       806,825

 

       
    Units        

Expiration

Date

  Value
Warrant(e) – 0.0%

Aspect Software, Inc. Class B (NR/NR)(d)

    162,749         $         40,687

True Religion Warrant (NR/NR)

    2,145       10/27/22  

True Religion Warrant 2 (NR/NR)

    8,103       10/27/22  

 

TOTAL WARRANT

(Cost $ — )

  $         40,687

 

       
    Shares         Description         Value
Exchange Traded Funds – 2.0%
    273,342      

Eaton Vance Floating-
Rate Income Trust (NR/
NR)
  3,116,099
    281,021      

Eaton Vance Senior
Floating-Rate Trust (NR/
NR)
  3,181,158
    289,000      
Invesco Senior Loan
ETF (NR/NR)
  6,170,150
    349,789      
Nuveen Floating Rate
Income Fund (NR/NR)
  2,763,333
    348,796      

Nuveen Floating Rate
Income Opportunity
Fund (NR/NR)
  2,738,048
    158,000      



SPDR
Blackstone/GSO
Senior
Loan ETF
(NR/NR)
 
 
 
 
 
    6,854,040

 

TOTAL EXCHANGE TRADED FUNDS

(Cost $26,757,878)

 

 

    $   24,822,828

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

    Shares   Dividend
Rate
  Value
Investment Company(h) – 1.0%

Goldman Sachs Financial Square Government Fund - Institutional Shares

12,938,071

  0.155%   $     12,938,071

(Cost $12,938,071)

 

TOTAL INVESTMENTS – 99.7%

(Cost $1,348,982,282)

  $1,246,677,076

 

OTHER ASSETS IN EXCESS OF

    LIABILITIES – 0.3%

  3,641,552

 

NET ASSETS – 100.0%

  $1,250,318,628

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2020. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the London-Interbank Offered Rate (“LIBOR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(b)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(d)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(e)   Security is currently in default and/or non-income producing.
(f)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(g)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(h)   Represents an affiliated fund.

 

 

Currency Abbreviations:
EUR  

— Euro

USD  

— U.S. Dollar

Investment Abbreviations:
CLO  

— Collateralized Loan Obligation

ETF  

— Exchange Traded Fund

EURIBOR  

— European Interbank Offered Rate

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PLC  

— Public Limited Company

REIT  

— Real Estate Investment Trust

 

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


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2020, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
       Current
Value
       Unrealized
Gain (Loss)
 

 

 

Intelsat Jackson Holdings SA (NR/NR)07/14/2021, due 07/14/21

     $ 320,721        $ 324,932        $ 4,211  

OEConnection LLC (NR/B2)09/25/2026, due 09/25/26

       281,385          264,502          (15,628

 

 

TOTAL

               $ (11,417

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2020, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

EUR

     1,592,271          USD        1,729,782          08/12/20        $ 60,848  
    

USD

     2,530,329          EUR        2,232,000          08/12/20          20,277  

 

 

TOTAL

                          $ 81,125  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC

    

EUR

     69,399          USD        78,182          08/12/20        $ (137
    

USD

     31,010,701          EUR        28,554,711          08/12/20          (1,101,226

 

 

TOTAL

                          $ (1,101,363

 

 

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 

Short position contracts:

                 

2 Year U.S. Treasury Notes

     (144)      09/30/20      $ (31,799,250    $ (21,804

5 Year U.S. Treasury Notes

     (121)      09/30/20        (15,214,805      (40,905

10 Year U.S. Treasury Notes

     (81)      09/21/20        (11,272,922      (42,133

10 Year U.S. Treasury Bonds

     (10)      09/21/20        (1,574,844      (10,847

 

 

TOTAL FUTURES CONTRACTS

                  $ (115,689

 

 

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACT

 

Referenced
Obligation/Index
   Financing Rate
Received/(Paid) by
the Fund(a)
    Credit
Spread at
June 30,
2020(b)
    Termination
Date
     Notional
Amount
(000s)
   Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                
CDX.NA.HY Index 34      5.000     5.148%       06/20/25      $11,543    $ (57,286   $ (646,510   $ 589,224  

 

 

 

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


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER TOTAL RETURN SWAP CONTRACTS ON COMMODITY INDICES

 

Reference

Obligation/ Index

     Financing Rate
Paid
by the Fund(a)
   Counterparty      Termination
Date(b)
     Notional
Amount
(000s)
     Unrealized
Appreciation/
(Depreciation)*
 

 

 
IBXXLLTR Index      1.000%    Barclays Bank PLC      09/20/20      $          67      $ 517,011  

 

 

 

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

 

 

Abbreviations:
CDX.NA.HY Index 34  

— Markit North American High Yield CDX Index 34

IBXXLLTR Index  

— Markit iBoxx USD Liquid Leveraged Loans Index

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 86.7%

Aerospace & Defense – 2.2%

Boeing Co.(a)

$

    1,750,000       5.805   05/01/50   $  2,063,425

General Dynamics Corp.(a)

    450,000       4.250     04/01/50   581,400

Lockheed Martin Corp.

    850,000       4.070     12/15/42   1,090,567
    125,000       4.700 (a)    05/15/46   170,579

Northrop Grumman Corp.

    1,175,000       4.750     06/01/43   1,524,703
    380,000       4.030 (a)    10/15/47   459,348
    1,425,000       5.250 (a)    05/01/50   2,054,565

Raytheon Technologies Corp.

    2,550,000       4.125 (a)    11/16/28   3,003,568
    370,000       5.700     04/15/40   514,748
    550,000       4.050 (a)    05/04/47   655,924
    450,000       4.625 (a)    11/16/48   582,791

The Boeing Co.(a)

    800,000       3.450     11/01/28   801,728
    500,000       3.550     03/01/38   437,690
    400,000       3.625     03/01/48   350,392
       

 

        14,291,428

 

Agriculture – 0.9%

Altria Group, Inc.(a)

    1,325,000       3.800     02/14/24   1,449,974
    675,000       2.350     05/06/25   709,654
    1,100,000       4.400     02/14/26   1,264,835

Archer-Daniels-Midland Co.(a)

    350,000       3.250     03/27/30   396,435

BAT Capital Corp.(a)

    620,000       3.222     08/15/24   662,625
    200,000       3.557     08/15/27   215,364
    175,000       5.282     04/02/50   211,780

Reynolds American, Inc.

    700,000       4.850     09/15/23   776,531
       

 

        5,687,198

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Airlines(a) – 0.2%

Delta Air Lines, Inc.

$

    1,300,000       7.375   01/15/26   $  1,257,750

 

Apparel(a) – 0.2%

NIKE, Inc.

    825,000       3.250     03/27/40   920,081
    275,000       3.375     03/27/50   316,451
       

 

        1,236,532

 

Automotive – 0.9%

Ford Motor Credit Co. LLC

    1,475,000       5.875     08/02/21   1,489,617

General Motors Co.

    1,475,000       5.400     10/02/23   1,595,582
    625,000       6.600 (a)    04/01/36   672,950
    125,000       5.950 (a)    04/01/49   130,205

General Motors Financial Co., Inc.(a)

    1,425,000       5.650     01/17/29   1,586,994
       

 

        5,475,348

 

Banks – 19.6%

AIB Group PLC(b)

    1,975,000       4.750     10/12/23   2,127,746

Banco Santander SA

    1,000,000       2.746     05/28/25   1,034,100
    1,000,000       4.250     04/11/27   1,105,930
    1,000,000       3.306     06/27/29   1,081,490

Bank of America Corp.

    1,023,000       4.000     04/01/24   1,134,957
    4,850,000       4.200     08/26/24   5,380,978
    4,400,000       3.950     04/21/25   4,869,700

(3M USD LIBOR + 0.990%)

    275,000       2.496 (a)(c)    02/13/31   287,779

(3M USD LIBOR + 1.040%)

    5,363,000       3.419 (a)(c)    12/20/28   5,970,574

(3M USD LIBOR + 1.070%)

    2,300,000       3.970 (a)(c)    03/05/29   2,635,823

(3M USD LIBOR + 1.210%)

    400,000       3.974 (a)(c)    02/07/30   464,956

(3M USD LIBOR + 1.310%)

    1,125,000       4.271 (a)(c)    07/23/29   1,323,742

(3M USD LIBOR + 3.150%)

    1,225,000       4.083 (a)(c)    03/20/51   1,519,906

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Barclays PLC(a)(c) (3M USD LIBOR + 1.400%)

$

    2,425,000       4.610   02/15/23   $  2,552,894

BNP Paribas SA(b)

    6,800,000       3.500     03/01/23   7,199,500
    775,000       3.375     01/09/25   837,992

(5 Year USD Swap + 4.149%)

    550,000       6.625 (a)(c)    12/31/99   559,895

BPCE SA(b)

    2,775,000       5.700     10/22/23   3,092,599
    1,350,000       4.625     09/12/28   1,577,880

CIT Bank NA(a)(c) (SOFR + 1.715%)

    650,000       2.969     09/27/25   608,043

CIT Group, Inc.(a)

    75,000       4.750     02/16/24   75,750

Citigroup, Inc.

    1,800,000       3.875     03/26/25   1,969,218
    575,000       3.400     05/01/26   637,796
    800,000       4.450     09/29/27   910,440
    1,200,000       4.750     05/18/46   1,517,796

(SOFR + 1.422%)

    1,050,000       2.976 (a)(c)    11/05/30   1,115,237

(SOFR + 3.914%)

    575,000       4.412 (a)(c)    03/31/31   679,179

Credit Agricole SA(a)(b)(c)

(5 Year USD Swap + 4.319%)

    1,400,000       6.875     12/31/99   1,449,644

(SOFR + 1.676%)

    700,000       1.907     06/16/26   709,128

Credit Agricole SA, Class B

    2,350,000       4.375     03/17/25   2,602,578

Credit Suisse AG

    1,800,000       6.500 (b)    08/08/23   1,975,356
    425,000       2.950     04/09/25   459,480

Credit Suisse Group AG(a)(b)

    1,345,000       4.282     01/09/28   1,504,423

(SOFR + 3.730%)

    1,625,000       4.194 (c)    04/01/31   1,851,379

Credit Suisse Group Funding Guernsey Ltd.

    884,000       4.550     04/17/26   1,016,777

First Horizon National Corp.(a)

    825,000       3.550     05/26/23   849,742
    1,475,000       4.000     05/26/25   1,529,870

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

HSBC Bank USA NA

$

    300,000       7.000   01/15/39   $    447,375

HSBC Holdings PLC

    350,000       4.950     03/31/30   419,594

(3M USD LIBOR + 1.000%)

    725,000       1.386 (a)(c)    05/18/24   720,114

(3M USD LIBOR + 1.211%)

    1,775,000       3.803 (a)(c)    03/11/25   1,916,805

ING Groep NV(a)(b)(c) (1 Year CMT + 1.100%)

    1,400,000       1.400     07/01/26   1,403,892

JPMorgan Chase & Co.

    3,950,000       3.875     09/10/24   4,373,361
    2,353,000       3.625 (a)    12/01/27   2,596,394

(3M USD LIBOR + 1.000%)

    1,125,000       4.023 (a)(c)    12/05/24   1,239,469

(3M USD LIBOR + 1.245%)

    1,300,000       3.960 (a)(c)    01/29/27   1,479,140

(3M USD LIBOR + 1.360%)

    600,000       3.882 (a)(c)    07/24/38   708,738

(3M USD LIBOR + 3.800%)

    2,375,000       4.487 (a)(c)    12/29/49   2,234,970

(SOFR + 2.515%)

    525,000       2.956 (a)(c)    05/13/31   556,374

(SOFR + 3.125%)

    2,225,000       4.600 (a)(c)    12/31/99   1,983,031

(SOFR + 3.790%)

    275,000       4.493 (a)(c)    03/24/31   335,266

Macquarie Group Ltd.(a)(b)(c) (3M USD LIBOR + 1.372%)

    700,000       3.763     11/28/28   751,513

Mitsubishi UFJ Financial Group, Inc.

    1,275,000       3.751     07/18/39   1,447,520

Morgan Stanley, Inc.

    1,300,000       4.875     11/01/22   1,413,737
    3,000,000       3.950     04/23/27   3,361,800
    500,000       4.300     01/27/45   627,760

(3M USD LIBOR + 1.455%)

    770,000       3.971 (a)(c)    07/22/38   916,362

(3M USD LIBOR + 1.628%)

    3,550,000       4.431 (a)(c)    01/23/30   4,228,298

(SOFR + 1.152%)

    1,075,000       2.720 (a)(c)    07/22/25   1,136,469

(SOFR + 3.120%)

    925,000       3.622 (a)(c)    04/01/31   1,058,015

(SOFR + 4.840%)

    1,075,000       5.597 (a)(c)    03/24/51   1,622,143

Royal Bank of Scotland Group PLC

    700,000       6.100     06/10/23   771,476
    2,001,000       3.875     09/12/23   2,159,199

(3M USD LIBOR + 1.480%)

    1,008,000       3.498 (a)(c)    05/15/23   1,046,989

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Royal Bank of Scotland Group PLC – (continued)

(3M USD LIBOR + 1.550%)

$

    1,475,000       4.519 %(a)(c)    06/25/24   $    1,602,558

(3M USD LIBOR + 1.762%)

    700,000       4.269 (a)(c)    03/22/25   760,991

(5 Year CMT + 2.100%)

    925,000       3.754 (a)(c)    11/01/29   958,531

Santander Holdings USA, Inc.(a)

    1,275,000       4.500     07/17/25   1,381,692

Santander UK PLC

    1,475,000       2.875     06/18/24   1,571,568

State Street Corp.(a)(b)(c)(SOFR + 2.650%)

    75,000       3.152     03/30/31   84,332

Sumitomo Mitsui Financial Group, Inc.

    1,075,000       2.784     07/12/22   1,119,075

Truist Bank(a)

    1,100,000       2.250     03/11/30   1,110,714

UniCredit SpA(a)(b)(c) (5 Year USD ICE Swap + 4.750%)

    700,000       5.459     06/30/35   705,964

Wells Fargo & Co.

    1,325,000       3.000     02/19/25   1,428,005
    700,000       4.300     07/22/27   800,562
    850,000       3.900     05/01/45   994,696

(3M USD LIBOR + 1.170%)

    1,200,000       3.196 (a)(c)    06/17/27   1,298,808

(3M USD LIBOR + 4.240%)

    250,000       5.013 (a)(c)    04/04/51   344,445

(SOFR + 2.000%)

    1,175,000       2.188 (a)(c)    04/30/26   1,213,963

Wells Fargo Bank NA

    799,000       5.950     08/26/36   1,100,966

Westpac Banking Corp.(a)(c)

(5 Year CMT + 2.000%)

    625,000       4.110     07/24/34   689,775

(5 Year USD ICE Swap + 2.236%)

    625,000       4.322     11/23/31   693,531
       

 

        125,036,257

 

Beverages – 4.9%

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.(a)

    2,550,000       4.700     02/01/36   2,983,066
    4,600,000       4.900     02/01/46   5,579,616

Anheuser-Busch InBev Worldwide, Inc.

    2,625,000       4.750 (a)    01/23/29   3,169,162
    175,000       5.450 (a)    01/23/39   220,799
    325,000       4.950     01/15/42   391,999

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Beverages – (continued)

Anheuser-Busch InBev Worldwide, Inc. – (continued)

$

    250,000       4.600 %(a)    04/15/48   $      291,993
    2,725,000       5.550 (a)    01/23/49   3,643,597
    475,000       4.600 (a)    06/01/60   566,514

Bacardi Ltd.(a)(b)

    1,075,000       4.500     01/15/21   1,084,352
    1,000,000       5.300     05/15/48   1,241,180

Constellation Brands, Inc.(a)

    3,800,000       4.400     11/15/25   4,387,214
    350,000       3.700     12/06/26   392,228
    600,000       4.500     05/09/47   712,152

Keurig Dr Pepper, Inc.(a)

    3,275,000       4.057     05/25/23   3,565,165
    1,725,000       4.597     05/25/28   2,068,292
    500,000       4.500     11/15/45   604,380
    175,000       5.085     05/25/48   232,523
    200,000       3.800     05/01/50   228,242

PepsiCo., Inc.(a)

    100,000       3.625     03/19/50   121,222
       

 

        31,483,696

 

Biotechnology(a) – 0.2%

Amgen, Inc.

    800,000       4.400     05/01/45   996,992

 

Building Materials(a)(b) – 1.2%

Carrier Global Corp.

    2,975,000       2.493     02/15/27   3,027,063
    4,775,000       2.722     02/15/30   4,783,881
       

 

        7,810,944

 

Chemicals – 1.5%

Air Products and Chemicals, Inc.(a)

    300,000       2.050     05/15/30   314,901
    200,000       2.800     05/15/50   211,732

Bluestar Finance Holdings Ltd.(a)(c) (-1x Year CMT + 6.651%)

    200,000       3.875     12/31/99   199,250

Celanese US Holdings LLC(a)

    600,000       3.500     05/08/24   634,398

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Chemicals – (continued)

DuPont de Nemours, Inc.(a)

$

    1,175,000       4.493   11/15/25   $    1,351,203
    925,000       4.725     11/15/28   1,112,183
    125,000       5.319     11/15/38   158,099

Huntsman International LLC(a)

    1,600,000       4.500     05/01/29   1,682,651

Sasol Financing International Ltd.

    200,000       4.500     11/14/22   180,540

Sasol Financing USA LLC(a)

    200,000       5.875     03/27/24   179,500

Syngenta Finance NV(b)

    970,000       3.933     04/23/21   975,927

The Sherwin-Williams Co.(a)

    2,050,000       3.125     06/01/24   2,206,743
    475,000       4.000     12/15/42   515,503
       

 

        9,722,630

 

Commercial Services(a) – 1.3%

CoStar Group, Inc.(b)

    1,150,000       2.800     07/15/30   1,179,017

Global Payments, Inc.

    1,225,000       2.650     02/15/25   1,300,913

IHS Markit Ltd.

    900,000       3.625     05/01/24   963,918
    2,000,000       4.000 (b)    03/01/26   2,211,340

PayPal Holdings, Inc.

    1,375,000       2.850     10/01/29   1,503,851
    750,000       3.250     06/01/50   820,185
       

 

        7,979,224

 

Computers – 3.6%

Amdocs Ltd.(a)

    1,675,000       2.538     06/15/30   1,657,798

Apple, Inc.

    1,652,000       3.850     05/04/43   2,047,538

Dell International LLC/EMC Corp.(a)(b)

    4,950,000       5.450     06/15/23   5,416,290
    4,025,000       6.020     06/15/26   4,604,801
    125,000       8.100     07/15/36   161,775
    75,000       8.350     07/15/46   99,503

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Computers – (continued)

Hewlett Packard Enterprise Co.(a)

$

    1,300,000       4.450   10/02/23   $    1,420,783
    700,000       4.650     10/01/24   785,855
    5,299,000       4.900     10/15/25   6,108,316
    355,000       6.350     10/15/45   434,176
       

 

        22,736,835

 

Diversified Financial Services – 2.5%

AerCap Ireland Capital DAC/AerCap Global Aviation Trust(a)

    875,000       3.950     02/01/22   873,696
    1,275,000       4.875     01/16/24   1,262,288
    835,000       6.500     07/15/25   873,844

Air Lease Corp.

    850,000       2.250     01/15/23   839,095
    2,150,000       3.375 (a)    07/01/25   2,148,043
    2,000,000       3.750 (a)    06/01/26   2,017,860

Ally Financial, Inc.

    825,000       4.125     02/13/22   845,625

American Express Co.(a)(c) (3M USD LIBOR + 3.285%)

    527,000       3.598     12/29/49   449,926

Avolon Holdings Funding Ltd.(a)(b)

    750,000       3.950     07/01/24   656,903

Avolon Holdings Funding, Ltd.(a)(b)

    900,000       3.250     02/15/27   737,433

GE Capital International Funding Co.

    1,750,000       3.373     11/15/25   1,832,267
    1,450,000       4.418     11/15/35   1,470,402

Huarong Finance 2019 Co. Ltd.

    200,000       3.750     05/29/24   205,625

Huarong Finance II Co. Ltd.

    200,000       5.500     01/16/25   219,493
    200,000       5.000     11/19/25   217,750

Intercontinental Exchange, Inc.(a)

    725,000       3.000     06/15/50   751,318

Nasdaq, Inc.(a)

    175,000       3.250     04/28/50   183,020
       

 

        15,584,588

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Electrical – 5.0%

AEP Transmission Co. LLC(a)

$

    175,000       3.650   04/01/50   $      202,806

Ameren Corp.(a)

    350,000       3.500     01/15/31   392,263

American Electric Power Co., Inc.(a)

    350,000       2.300     03/01/30   357,347

Arizona Public Service Co.(a)

    275,000       3.750     05/15/46   312,969

Avangrid, Inc.(a)

    650,000       3.200     04/15/25   710,262

Berkshire Hathaway Energy Co.

    725,000       3.250 (a)    04/15/28   820,142
    450,000       3.700 (a)(b)    07/15/30   526,428
    1,767,000       6.125     04/01/36   2,546,512
    475,000       4.250 (a)(b)    10/15/50   597,816

CMS Energy Corp.(a)

    500,000       4.875     03/01/44   651,635

Dominion Energy, Inc.(a)

    1,225,000       3.900     10/01/25   1,383,196
    650,000       3.375     04/01/30   720,128

Duke Energy Corp.(a)

    400,000       4.800     12/15/45   520,532

Entergy Corp.(a)

    875,000       2.950     09/01/26   963,830

Exelon Corp.(a)

    1,125,000       3.497     06/01/22   1,174,331
    400,000       4.450     04/15/46   485,700
    125,000       4.700     04/15/50   159,695

FirstEnergy Corp.(a)

    525,000       2.050     03/01/25   543,611
    875,000       2.650     03/01/30   915,197

Florida Power & Light Co.(a)

    325,000       3.950     03/01/48   408,769

NRG Energy, Inc.(a)(b)

    1,635,000       4.450     06/15/29   1,732,397

Ohio Power Co.(a)

    450,000       2.600     04/01/30   482,693

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pacific Gas and Electric Co.(a)

$

    675,000       2.100   08/01/27   $      666,650
    1,625,000       2.500     02/01/31   1,588,730
    375,000       3.300     08/01/40   365,363
    825,000       3.500     08/01/50   797,527

Progress Energy, Inc.

    1,000,000       7.000     10/30/31   1,386,380

Public Service Electric & Gas Co.(a)

    1,525,000       3.950     05/01/42   1,838,082

Puget Sound Energy, Inc.(a)

    325,000       4.223     06/15/48   409,588

Sempra Energy(a)

    570,000       3.400     02/01/28   626,601
    1,125,000       3.800     02/01/38   1,221,109

(5 Year CMT + 4.550%)

    565,000       4.875 (c)    12/31/99   564,621

Southern California Edison Co.(a)

    500,000       4.200     03/01/29   578,090
    275,000       4.050     03/15/42   313,940
    805,000       4.125     03/01/48   939,540
    25,000       4.875     03/01/49   32,258

The Southern Co.(a)

    1,800,000       3.250     07/01/26   2,001,456

Vistra Operations Co. LLC(a)(b)

    2,050,000       4.300     07/15/29   2,159,675
       

 

  32,097,869

 

Electronics(a) – 0.3%

PerkinElmer, Inc.

    1,200,000       3.300     09/15/29   1,285,356

Roper Technologies, Inc.

    800,000       3.800     12/15/26   912,040
       

 

  2,197,396

 

Engineering & Construction(a) – 0.1%

Mexico City Airport Trust

    240,000       3.875 (b)    04/30/28   218,700
    200,000       5.500     07/31/47   176,300
    220,000       5.500 (b)    07/31/47   193,930
       

 

  588,930

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Food & Drug Retailing(a) – 0.3%

Grupo Bimbo SAB de CV

$

    1,070,000       4.700   11/10/47   $    1,172,653

Sysco Corp.

    150,000       6.600     04/01/40   202,896
    600,000       6.600     04/01/50   828,936
       

 

        2,204,485

 

Gas(a) – 0.3%

NiSource, Inc.

    825,000       3.650     06/15/23   891,140
    225,000       3.600     05/01/30   257,067

Piedmont Natural Gas Co., Inc.

    325,000       3.350     06/01/50   357,084

The East Ohio Gas Co.(b)

    400,000       2.000     06/15/30   399,860
       

 

        1,905,151

 

Healthcare Providers & Services – 1.1%

Centene Corp.(a)

    1,250,000       4.250     12/15/27   1,289,125

CommonSpirit Health

    $150,000       4.350     11/01/42   155,254

DENTSPLY SIRONA, Inc.(a)

    450,000       3.250     06/01/30   471,861

DH Europe Finance II S.a.r.l.(a)

    1,775,000       2.600     11/15/29   1,887,819

Stryker Corp.(a)

    2,025,000       1.950     06/15/30   2,036,137

Thermo Fisher Scientific, Inc.(a)

    250,000       4.497     03/25/30   308,075

Zimmer Biomet Holdings, Inc.(a)

    1,025,000       3.550     03/20/30   1,105,432
       

 

        7,253,703

 

Home Furnishings(a) – 0.1%

Whirlpool Corp.

    550,000       4.600     05/15/50   624,943

 

Household Products(a) – 0.0%

Kimberly-Clark Corp.

    150,000       3.100     03/26/30   170,829

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Insurance – 2.4%

American International Group, Inc.

$

    1,850,000       3.900 %(a)    04/01/26   $    2,086,522
    325,000       4.200 (a)    04/01/28   368,651
    1,775,000       3.400 (a)    06/30/30   1,922,254
    700,000       6.250     05/01/36   941,773
    598,000       4.500 (a)    07/16/44   687,281
    375,000       4.800 (a)    07/10/45   452,981

Arch Capital Finance LLC(a)

    400,000       4.011     12/15/26   452,764
    323,000       5.031     12/15/46   417,797

Arch Capital Group Ltd.

    845,000       7.350     05/01/34   1,273,415

Great-West Lifeco Finance 2018 LP(a)(b)

    425,000       4.047     05/17/28   481,670

Marsh & McLennan Cos., Inc.(a)

    1,500,000       4.375     03/15/29   1,801,410

MetLife, Inc.

    475,000       4.721     12/15/44   598,567

New York Life Insurance Co.(a)(b)

    300,000       3.750     05/15/50   338,529

Teachers Insurance & Annuity Association of America(b)

    890,000       4.900     09/15/44   1,139,503

The Hartford Financial Services Group, Inc.

    200,000       6.625     04/15/42   291,502

The Progressive Corp.(a)

    150,000       3.950     03/26/50   189,119

Willis North America, Inc.(a)

    400,000       2.950     09/15/29   424,568

XLIT Ltd.

    998,000       4.450     03/31/25   1,121,602
       

 

        14,989,908

 

Internet(a) – 0.6%

Amazon.com, Inc.

    900,000       4.950     12/05/44   1,277,883

Booking Holdings, Inc.

    375,000       4.100     04/13/25   421,099

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Internet(a) – (continued)

Expedia Group, Inc.

$

    2,000,000       3.250   02/15/30   $    1,859,560

Prosus NV(b)

    200,000       3.680     01/21/30   209,812
       

 

  3,768,354

 

Iron/Steel(a) – 0.0%

Steel Dynamics, Inc.

    195,000       2.400     06/15/25   200,445

 

Machinery - Construction & Mining(a) – 0.1%

Caterpillar, Inc.

    400,000       3.250     04/09/50   447,012

 

Machinery-Diversified(a) – 0.6%

Deere & Co.

    275,000       3.750     04/15/50   337,857

Otis Worldwide Corp.(b)

    3,175,000       2.565     02/15/30   3,333,464
    325,000       3.112     02/15/40   333,947
       

 

  4,005,268

 

Media – 2.0%

Charter Communications Operating LLC/Charter Communications Operating Capital(a)

    3,875,000       4.908     07/23/25   4,440,169
    375,000       5.750     04/01/48   465,398

Comcast Corp.

    638,000       3.300 (a)    02/01/27   715,632
    175,000       3.400 (a)    04/01/30   199,988
    150,000       3.250 (a)    11/01/39   165,489
    250,000       6.400     03/01/40   379,898
    475,000       3.750 (a)    04/01/40   557,322
    525,000       3.400 (a)    07/15/46   583,075
    1,400,000       4.700 (a)    10/15/48   1,871,674
    263,000       3.999 (a)    11/01/49   319,327

Discovery Communications LLC(a)

    150,000       5.200     09/20/47   174,195
    75,000       5.300     05/15/49   91,412

Fox Corp.(a)

    225,000       5.476     01/25/39   300,647

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Media – (continued)

The Walt Disney Co.(a)

$

    350,000       4.625   03/23/40   $      437,955
    500,000       4.700     03/23/50   653,370

Time Warner Cable LLC(a)

    500,000       5.875     11/15/40   616,330

ViacomCBS, Inc.(a)

    450,000       5.850     09/01/43   529,699
       

 

  12,501,580

 

Mining – 0.8%

Glencore Finance Canada Ltd.(b)

    825,000       4.250     10/25/22   871,266

Glencore Funding LLC(b)

    781,000       4.625     04/29/24   854,961

Newcrest Finance Pty Ltd.(a)(b)

    375,000       3.250     05/13/30   402,173

Newmont Corp.(a)

    1,600,000       2.250     10/01/30   1,619,024

Teck Resources Ltd.(a)(b)

    1,225,000       3.900     07/15/30   1,220,749
       

 

  4,968,173

 

Miscellaneous Manufacturing – 0.8%

3M Co.(a)

    175,000       3.700     04/15/50   208,037

General Electric Co.

    600,000       3.450 (a)    05/15/24   637,740
    325,000       3.450 (a)    05/01/27   332,930
    500,000       3.625 (a)    05/01/30   499,460
    600,000       6.750     03/15/32   730,404
    1,069,000       5.875     01/14/38   1,197,750
    1,125,000       4.350 (a)    05/01/50   1,113,795

Parker-Hannifin Corp.(a)

    270,000       4.000     06/14/49   309,868
       

 

  5,029,984

 

Oil Field Services – 3.7%

BP Capital Markets America, Inc.(a)

    450,000       3.410     02/11/26   497,741
    950,000       3.119     05/04/26   1,035,956
    175,000       4.234     11/06/28   204,143

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Continental Resources, Inc.(a)

$

    1,075,000       4.500   04/15/23   $    1,026,625

Devon Energy Corp.(a)

    3,167,000       5.850     12/15/25   3,511,190

Diamondback Energy, Inc.(a)

    1,525,000       4.750     05/31/25   1,631,247

Gazprom PJSC Via Gaz Capital SA

    200,000       5.150 (b)    02/11/26   222,000
    70,000       8.625 (d)    04/28/34   106,838
    110,000       7.288     08/16/37   158,159

Gazprom PJSC Via Gaz Finance PLC(b)

    450,000       3.250     02/25/30   447,469

Lukoil International Finance B.V.

    1,030,000       4.563     04/24/23   1,094,375

Marathon Petroleum Corp.(a)

    725,000       3.625     09/15/24   771,472
    1,920,000       3.800     04/01/28   2,035,622

Newfield Exploration Co.

    1,750,000       5.625     07/01/24   1,662,517

Occidental Petroleum Corp.(a)

    2,075,000       2.900     08/15/24   1,773,855
    1,425,000       5.550     03/15/26   1,300,312
    425,000       3.500     08/15/29   311,959
    325,000       4.400     08/15/49   224,250

Phillips 66

    625,000       3.700     04/06/23   669,500
    200,000       3.850 (a)    04/09/25   222,048

Shell International Finance BV

    225,000       6.375     12/15/38   336,542

Suncor Energy, Inc.

    400,000       2.800     05/15/23   417,644
    900,000       3.600 (a)    12/01/24   975,924
    850,000       3.100 (a)    05/15/25   908,182

Valero Energy Corp.

    1,175,000       2.700     04/15/23   1,219,403
    650,000       2.850 (a)    04/15/25   685,633
       

 

  23,450,606

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pharmaceuticals(a) – 7.1%

AbbVie, Inc.

$

    1,575,000       3.750   11/14/23   $    1,720,577
    4,375,000       3.200 (b)    11/21/29   4,800,512
    3,025,000       4.050 (b)    11/21/39   3,531,869
    75,000       4.875     11/14/48   97,757
    4,900,000       4.250 (b)    11/21/49   5,923,757

Bayer US Finance II LLC(b)

    1,100,000       3.875     12/15/23   1,204,060
    1,475,000       3.375     07/15/24   1,595,655

Becton Dickinson & Co.

    3,114,000       3.700     06/06/27   3,477,279
    500,000       4.685     12/15/44   614,405
    1,450,000       3.794     05/20/50   1,603,599

Bristol-Myers Squibb Co.(b)

    1,100,000       4.550     02/20/48   1,485,682
    675,000       4.250     10/26/49   888,941

Cigna Corp.

    6,900,000       4.125     11/15/25   7,913,403
    1,425,000       2.400     03/15/30   1,478,053
    650,000       4.900     12/15/48   855,420

CVS Health Corp.

    2,675,000       3.875     07/20/25   3,004,185
    325,000       4.780     03/25/38   401,801
    170,000       5.125     07/20/45   219,337
    825,000       4.250     04/01/50   992,401

Takeda Pharmaceutical

    1,545,000       2.050     03/31/30   1,543,687

Zoetis, Inc.

    1,550,000       2.000     05/15/30   1,584,302
    75,000       4.450     08/20/48   96,705
       

 

  45,033,387

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pipelines – 5.3%

Abu Dhabi Crude Oil Pipeline LLC(b)

$

    490,000       4.600   11/02/47   $      580,803

Energy Transfer Operating LP(a)

    650,000       4.650     06/01/21   663,572
    1,540,000       5.200     02/01/22   1,613,797
    1,575,000       2.900     05/15/25   1,611,209
    2,525,000       4.200     04/15/27   2,642,286
    456,000       5.150     03/15/45   432,297
    450,000       6.250     04/15/49   479,502

Enterprise Products Operating LLC(a)

    575,000       4.800     02/01/49   685,998

(3M USD LIBOR + 2.778%)

    4,420,000       3.128 (c)    06/01/67   3,447,600

EQM Midstream Partners LP(a)

    1,639,000       4.750     07/15/23   1,653,341
    425,000       5.500     07/15/28   404,813

Kinder Morgan Energy Partners LP

    650,000       6.550     09/15/40   839,657

MPLX LP(a)

    400,000       4.500     04/15/38   399,832
    400,000       4.700     04/15/48   400,984
    520,000       5.500     02/15/49   576,014

Plains All American Pipeline LP/PAA Finance Corp.(a)

    400,000       3.650     06/01/22   408,536
    2,175,000       3.850     10/15/23   2,258,694
    519,000       4.650     10/15/25   554,323
    1,275,000       3.800     09/15/30   1,255,684

Sabine Pass Liquefaction LLC(a)

    1,875,000       6.250     03/15/22   1,997,569
    4,700,000       5.625     03/01/25   5,382,957
    475,000       5.000     03/15/27   530,461

Sunoco Logistics Partners Operations LP(a)

    550,000       5.950     12/01/25   627,715
    150,000       5.400     10/01/47   147,251

The Williams Cos., Inc.

    1,630,000       3.600 (a)    03/15/22   1,692,184
    150,000       6.300     04/15/40   179,924

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Western Midstream Operating LP(a)

$

    1,025,000       3.100   02/01/25   $      974,877
    650,000       4.050     02/01/30   624,000
    1,000,000       5.450     04/01/44   830,000
       

 

  33,895,880

 

Real Estate Investment Trust – 3.1%

Alexandria Real Estate Equities, Inc.(a)

    500,000       3.800     04/15/26   562,830
    500,000       3.375     08/15/31   559,610
    475,000       4.000     02/01/50   579,101

American Campus Communities Operating Partnership LP(a)

    1,100,000       3.875     01/30/31   1,153,713

American Tower Corp.

    1,550,000       5.000     02/15/24   1,767,511
    1,400,000       3.375 (a)    05/15/24   1,521,184
    1,300,000       4.000 (a)    06/01/25   1,462,539
    1,400,000       2.100 (a)    06/15/30   1,401,288

Camden Property Trust(a)

    700,000       3.150     07/01/29   776,384

Crown Castle International Corp.(a)

    275,000       4.300     02/15/29   318,670
    225,000       3.300     07/01/30   247,381
    975,000       4.000     11/15/49   1,101,477
    575,000       4.150     07/01/50   656,115

Duke Realty LP(a)

    925,000       1.750     07/01/30   917,415

Essex Portfolio LP(a)

    700,000       3.000     01/15/30   761,397

Kimco Realty Corp.(a)

    550,000       3.800     04/01/27   587,263

MPT Operating Partnership LP/MPT Finance Corp.(a)

    950,000       4.625     08/01/29   956,678

National Retail Properties, Inc.(a)

    700,000       3.600     12/15/26   741,853

Spirit Realty LP(a)

    1,675,000       4.000     07/15/29   1,643,979

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Real Estate Investment Trust – (continued)

VEREIT Operating Partnership LP(a)

$

    350,000       3.400   01/15/28   $352,380
    975,000       3.100     12/15/29   939,793

WP Carey, Inc.(a)

    700,000       3.850     07/15/29   726,390
       

 

  19,734,951

 

Retailing – 1.6%

AutoNation, Inc.(a)

    1,075,000       4.750     06/01/30   1,166,633

Lowe’s Cos., Inc.(a)

    425,000       5.000     04/15/40   550,022
    775,000       4.550     04/05/49   980,569
    1,100,000       5.125     04/15/50   1,518,319

McDonald’s Corp.(a)

    150,000       4.450     09/01/48   185,159
    275,000       4.200     04/01/50   332,835

Starbucks Corp.(a)

    400,000       3.800     08/15/25   451,540
    1,125,000       3.500     11/15/50   1,183,500

The Home Depot, Inc.

    400,000       5.875     12/16/36   592,328
    500,000       4.875 (a)    02/15/44   682,920
    200,000       4.400 (a)    03/15/45   254,320

Walgreens Boots Alliance, Inc.(a)

    2,325,000       4.100     04/15/50   2,342,182
       

 

  10,240,327

 

Savings & Loans(a)(b)(c) – 0.1%

Nationwide Building Society(3M USD LIBOR + 1.855%)

    750,000       3.960     07/18/30   840,120

 

Semiconductors – 3.5%

Applied Materials, Inc.(a)

    350,000       1.750     06/01/30   356,878
    425,000       2.750     06/01/50   433,317

Broadcom Corp./Broadcom Cayman Finance Ltd.(a)

    1,775,000       3.625     01/15/24   1,907,592
    600,000       3.125     01/15/25   639,570

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Semiconductors – (continued)

Broadcom Corp./Broadcom Cayman Finance Ltd.(a) – (continued)

$

    5,375,000       3.875   01/15/27   $5,806,182
    64,000       3.500     01/15/28   67,677

Broadcom, Inc.(a)(b)

    3,675,000       3.625     10/15/24   3,993,328
    1,875,000       4.700     04/15/25   2,111,269
    2,075,000       4.250     04/15/26   2,308,645

KLA Corp.(a)

    550,000       3.300     03/01/50   568,304

Lam Research Corp.(a)

    825,000       1.900     06/15/30   840,791

Microchip Technology, Inc.(b)

    1,750,000       2.670     09/01/23   1,800,732

NXP B.V./NXP Funding LLC(b)

    450,000       3.875     09/01/22   475,353

NXP B.V./NXP Funding LLC/NXP USA, Inc.(a)(b)

    1,125,000       3.400     05/01/30   1,209,308
       

 

  22,518,946

 

Software(a) – 1.2%

Citrix Systems, Inc.

    1,275,000       3.300     03/01/30   1,361,776

Fiserv, Inc.

    2,100,000       3.200     07/01/26   2,321,193
    1,025,000       4.400     07/01/49   1,240,978

Intuit, Inc.

    500,000       1.350     07/15/27   501,715
    350,000       1.650     07/15/30   349,447

Oracle Corp.

    750,000       3.600     04/01/40   847,328
    725,000       3.600     04/01/50   811,688
       

 

  7,434,125

 

Telecommunication Services – 6.8%

AT&T, Inc.

    2,500,000       4.450 (a)    04/01/24   2,800,900
    1,948,000       3.400 (a)    05/15/25   2,137,833
    1,724,000       3.600 (a)    07/15/25   1,912,709
    195,000       4.125 (a)    02/17/26   221,733

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

AT&T, Inc. – (continued)

$

    2,950,000       2.300 %(a)    06/01/27   $      3,054,223
    1,300,000       2.750 (a)    06/01/31   1,351,298
    550,000       6.150     09/15/34   746,719
    175,000       4.900 (a)    08/15/37   209,319
    1,450,000       4.850 (a)    03/01/39   1,759,604
    300,000       6.000 (a)    08/15/40   401,679
    925,000       3.500 (a)    06/01/41   969,048
    125,000       4.300 (a)    12/15/42   139,925
    275,000       4.850 (a)    07/15/45   328,328
    250,000       4.750 (a)    05/15/46   293,630
    1,050,000       5.150 (a)    11/15/46   1,290,649
    575,000       3.650 (a)    06/01/51   600,565
    525,000       3.850 (a)    06/01/60   559,088

British Telecommunications PLC(a)(b)

    1,610,000       4.250     11/08/49   1,848,425

Deutsche Telekom International Finance B.V.(a)(b)

    575,000       4.375     06/21/28   681,427

T-Mobile USA, Inc.(a)(b)

    1,200,000       3.500     04/15/25   1,308,792
    775,000       1.500     02/15/26   774,953
    2,325,000       3.750     04/15/27   2,570,550
    1,225,000       2.050     02/15/28   1,224,730
    2,575,000       3.875     04/15/30   2,852,812

Verizon Communications, Inc.

    4,581,000       4.329     09/21/28   5,513,783
    750,000       3.875 (a)    02/08/29   885,817
    2,551,000       4.016 (a)    12/03/29   3,045,792
    475,000       3.150 (a)    03/22/30   535,506
    375,000       5.250     03/16/37   509,123
    295,000       4.125     08/15/46   365,664
    400,000       4.862     08/21/46   542,152
    846,000       5.012     04/15/49   1,177,505

Vodafone Group PLC

    525,000       4.375     05/30/28   623,396
       

 

        43,237,677

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Transportation – 0.6%

Burlington Northern Santa Fe LLC

$

    425,000       6.150   05/01/37   $         627,504
    825,000       5.750 (a)    05/01/40   1,156,436

CSX Corp.(a)

    100,000       3.800     04/15/50   118,785

FedEx Corp.(a)

    700,000       4.050     02/15/48   717,724

Union Pacific Corp.(a)

    275,000       3.550     08/15/39   307,637
    525,000       4.300     03/01/49   670,992
       

 

        3,599,078

 

TOTAL CORPORATE OBLIGATIONS
(Cost $513,954,029)
  $  552,238,549

 

       
Foreign Debt Obligations – 3.3%

Sovereign – 3.3%

Abu Dhabi Government International Bond

$

    1,680,000       4.125   10/11/47   2,047,500

Mexico Government International Bond(a)

    2,540,000       3.250     04/16/30   2,518,410

Perusahaan Penerbit SBSN Indonesia III

    1,580,000       4.550     03/29/26   1,750,837

Republic of Chile(a)

    200,000       3.500     01/25/50   225,250

Republic of Colombia(a)

    1,221,000       4.000     02/26/24   1,286,629
    350,000       4.500     03/15/29   383,031
    690,000       3.000     01/30/30   681,806
    200,000       5.200     05/15/49   234,200

Republic Of Colombia(a)

    490,000       4.125     05/15/51   493,063

Republic of Indonesia

    200,000       3.700 (b)    01/08/22   207,438
    387,000       5.875     01/15/24   438,398
    1,610,000       4.350     01/08/27   1,789,616

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Foreign Debt Obligations – (continued)

Sovereign – (continued)

Republic of Indonesia – (continued)

$

    350,000       4.350 %(b)    01/08/27   $      389,047
    470,000       6.750     01/15/44   685,119

Republic of Panama(a)

    200,000       3.870     07/23/60   226,875

Republic of Peru(a)

    610,000       2.783     01/23/31   650,718

Republic of Philippines

EUR

    340,000       0.000 (e)    02/03/23   373,395
    450,000       0.700     02/03/29   477,926

Republic of Qatar(b)

$

    1,800,000       5.103     04/23/48   2,447,437

Republic of Romania(b)

EUR

    90,000       2.124     07/16/31   96,249
    70,000       2.000     01/28/32   73,287
    80,000       4.625     04/03/49   102,772

State of Israel(f)

$

    200,000       4.500     04/03/20   258,000

United Mexican States

EUR

    1,770,000       1.625     04/08/26   1,935,772

$

    740,000       3.750     01/11/28   772,375
    250,000       4.500 (a)    01/31/50   257,750

 

TOTAL FOREIGN DEBT OBLIGATIONS

(Cost $19,086,412)

  $  20,802,900

 

       
Municipal Debt Obligations – 0.7%

California(a) – 0.1%

California State GO Bonds Build America Taxable Series 2009

$

    455,000       7.300   10/01/39   $       760,687

 

Illinois – 0.5%

Illinois State GO Bonds Build America Series 2010(a)

    1,625,000       6.630     02/01/35   1,791,709

Illinois State GO Bonds Taxable-Pension Series 2003

    1,360,000       5.100     06/01/33   1,379,652
       

 

  3,171,361

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Municipal Debt Obligations – (continued)

New Jersey(a) – 0.1%

New Jersey State Turnpike Authority RB Build America Bonds Taxable Series 2009 F

$

    350,000       7.414   01/01/40   $       593,135

 

TOTAL MUNICIPAL DEBT OBLIGATIONS

(Cost $3,797,118)

  $    4,525,183

 

       
U.S. Treasury Obligation(g) – 0.2%

United States Treasury Bond

    700,000       3.375   11/15/48   $    1,027,797

(Cost $858,721)

 

       
    Shares         Dividend
Rate
  Value
Investment Company(h) – 4.5%

Goldman Sachs Financial Square Government Fund - Institutional Shares

    28,769,145       0.155%   $28,769,145

(Cost $28,769,145)

 

TOTAL INVESTMENTS – 95.4%

(Cost $566,465,425)

  $607,363,574

 

OTHER ASSETS IN EXCESS OF
LIABILITIES – 4.6%

  29,437,964

 

NET ASSETS – 100.0%

  $636,801,538

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(d)   Security with “Put” features and resetting interest rates. Maturity dates disclosed are the puttable dates. Interest rate disclosed is that which is in effect on June 30, 2020.
(e)   Issued with a zero coupon. Income is recognized through the accretion of discount.
(f)   Actual maturity date is April 03, 2120.
(g)   All or a portion of security is segregated as collateral for initial margin requirements on futures transactions.
(h)   Represents an affiliated issuer.

 

 

Currency Abbreviations:
CAD  

— Canadian Dollar

EUR  

— Euro

USD  

— U.S. Dollar

Investment Abbreviations:
CDOR  

— Canadian Dollar Offered Rate

CMT  

— Constant Maturity Treasury Indexes

EURO  

— Euro Offered Rate

GO  

— General Obligation

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PLC  

— Public Limited Company

RB  

— Revenue Bond

SOFR  

— Secured Overnight Funding Rate

 

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


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS At June 30, 2020, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

BofA Securities LLC

    

USD

     2,789,013        EUR      2,568,128          08/12/20        $ (99,041

 

 

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 
Long position contracts:                              

Ultra Long U.S. Treasury Bonds

     89      09/21/20      $ 19,415,906      $ 149,865  

2 Year U.S. Treasury Notes

     175      09/30/20        38,644,922        6,258  

10 Year U.S. Treasury Notes

     258      09/21/20        35,906,344        134,545  

20 Year U.S. Treasury Bonds

     246      09/21/20        43,926,375        428,682  

 

 

Total

 

   $ 719,350  

 

 
Short position contracts:                              

Eurodollars

     (1)      12/14/20        (249,275      (4,524

5 Year U.S. Treasury Notes

     (352)      09/30/20        (44,261,250      (85,932

10 Year U.S. Treasury Bonds

     (209)      09/21/20        (32,914,235      (111,710

 

 

Total

 

   $ (202,166

 

 

TOTAL FUTURES CONTRACTS

 

   $ 517,184  

 

 

SWAP CONTRACTS — At June 30, 2020, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made
by the Fund
   Payments
Received by
Fund
  Termination
Date
    Notional
Amount
(000s)
    Market
Value
    Upfront
Premium
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

6M CDOR(a)

   0.840%     06/24/24     CAD   23,220 (b)    $ (1,666   $ 11,073     $ (12,739

0.000%(c)

   3M LIBOR(c)     07/25/24     $ 10,400       1,190       166       1,024  

3M LIBOR(c)

   0.500(a)     09/16/25       2,970 (b)      23,346       22,887       459  

3M LIBOR(c)

   0.980(a)     05/21/30       5,390 (b)      7,855       (7,035     14,890  

1.140(a)

   6M CDOR(a)     06/24/30     CAD   4,990 (b)      (1,468     (5,848     4,380  

0.250(a)

   6M EURO(d)     09/16/30     EUR   440 (b)      (20,948     (19,282     (1,666

1.160(c)

   3M LIBOR(c)     05/21/35     $ 5,450 (b)      (1,003     8,386       (9,389

0.855(c)

   3M LIBOR(c)     04/09/45       2,770 (b)      21,245       100       21,145  

3M LIBOR(c)

   0.845(a)     04/10/50       2,860 (b)      (16,313     103       (16,416

 

 

TOTAL

         $ 12,238     $ 10,550     $ 1,688  

 

 

 

(a)   Payments made semi-annually.
(b)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2020.
(c)   Payments made quarterly.
(d)   Payments made annually.


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced

Obligation/Index

  Financing Rate
Received/(Paid) by
the Fund (a)
    Credit
Spread at
June 30,
2020 (b)
    Termination
Date
    Notional
Amount
(000s)
    Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased:

             

CDX.NA.IG Index 33

    (1.000)%       0.724%       12/20/24     $ 75     $ (929   $ (392   $ (537

Protection Sold:

             

AT&T, Inc., 2.450%, 06/30/20

    1.000%       0.955          06/20/24       2,325       4,813       4,300       513  

CDX.NA.IG Index 28

    1.000          0.841          06/20/22       28,500       97,908       388,507       (290,599

CDX.NA.IG Index 34

    1.000          0.622          06/20/23       18,800       214,766       238,956       (24,190

CDX.NA.IG Index 34

    1.000          0.755          06/20/25       113,150       1,376,733       1,012,097       364,636  

General Electric Co. 2.700%, 10/09/22

    1.000          1.566          06/20/24       1,175       (25,136     (15,944     (9,192

General Electric Co. 2.700%, 10/09/22

    1.000          1.699          12/20/24       550       (16,288     (7,832     (8,456

Prudential Financial, Inc., 3.500%, 05/15/24

    1.000          0.434          06/20/24       1,150       26,179       13,641       12,538  

Republic of Colombia, 10.375%, 01/28/33

    1.000          1.287          06/20/24       1,830       (19,957     (8,150     (11,807

Republic of Indonesia, 5.875%, 03/13/20

    1.000          1.074          06/20/24       70       (181     (126     (55

Republic of Peru, 8.750%, 11/21/33

    1.000          0.737          06/20/24       550       5,895       7,076       (1,181

The Boeing Co., 8.750%, 08/15/21

    1.000          2.435          06/20/24       1,750       (92,382     30,160       (122,542

United Mexican States, 4.150%, 03/28/27

    1.000          1.279          06/20/24       640       (6,792     (7,528     736  

 

 

TOTAL

          $ 1,564,629     $ 1,654,765     $ (90,136

 

 

 

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

OVER THE COUNTER TOTAL RETURN SWAP CONTRACTS ON COMMODITY INDICES

 

Reference

Obligation/Index

     Financing
Rate Paid by
the Fund
    Counterparty   Termination
Date
       Notional
Amount
(000s)
     Unrealized
Appreciation/
(Depreciation)*
 

 

 

IBOXIG Index(a)

       (0.000 )%(b)    Credit Suisse
International
(London)
    09/20/20        $ 30      $ 72,519  

 

 

 

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


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

WRITTEN OPTIONS CONTRACTS — At June 30, 2020, the Fund had the following written options:

OVER-THE-COUNTER INTEREST RATE SWAPTIONS

 

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

 

 

Written option contracts

                 

Calls

                    

1Y IRS

   JPMorgan Securities, Inc.      0.490     05/18/2021      (3,600,000)    $ (3,600,000    $ (39,887   $ (36,360   $ (3,527

1Y IRS

   JPMorgan Securities, Inc.      0.480       05/19/2021      (3,700,000)      (3,700,000      (39,969     (37,620     (2,349

6M IRS

   JPMorgan Securities, Inc.      0.410       11/23/2020      (3,300,000)      (3,300,000      (23,041     (23,265     224  

 

 
           (10,600,000)    $ (10,600,000    $ (102,896   $ (97,245   $ (5,652

 

 

Puts

                    

1Y IRS

   JPMorgan Securities, Inc.      0.490       05/18/2021      (3,600,000)      (3,600,000      (25,596     (36,360     10,764  

1Y IRS

   JPMorgan Securities, Inc.      0.480       05/19/2021      (3,700,000)      (3,700,000      (27,194     (37,620     10,426  

6M IRS

   JPMorgan Securities, Inc.      0.410       11/23/2020      (3,300,000)      (3,300,000      (14,797     (23,265     8,468  

 

 
           (10,600,000)    $ (10,600,000    $ (67,587   $ (97,245   $ 29,658  

 

 

TOTAL

           (21,200,000)    $ (21,200,000    $ (170,483   $ (194,490   $ 24,006  

 

 

 

 

Abbreviations:
CDX.NA.IG Index 28   — CDX North America Investment Grade Index 28
CDX.NA.IG Index 33   — CDX North America Investment Grade Index 32
CDX.NA.IG Index 34   — CDX North America Investment Grade Index 33
IBOXG   — Markit iBoxx $ Liquid Investment Grade Index

 

 


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – 71.8%

Argentina – 0.2%

Republic of Argentina (CC/Ca)

$

    110,000       6.875   01/26/27   $         44,055
    40,000       5.875     01/11/28   15,920
    30,000       6.875 (a)    01/11/48   11,578

Republic of Argentina (D/Ca)

    150,000       7.500     04/22/26   60,281
       

 

        131,834

 

Brazil – 2.9%

Brazil Notas do Tesouro Nacional (BB-/NR)

BRL

    541,000       10.000     01/01/29   119,697

Brazil Notas do Tesouro Nacional (BB-/Ba2)

    8,473,000       10.000     01/01/25   1,825,730
    1,790,000       10.000     01/01/27   390,876
       

 

        2,336,303

 

Chile – 5.5%

Bonos de la Tesoreria de la Republica en Pesos (NR/NR)

CLP

    890,000,000       5.000     03/01/35   1,346,363

Bonos de la Tesoreria de la Republica en Pesos (NR/A1)

    840,000,000       4.500     03/01/26   1,196,743

Republic of Chile (A+/A1)

    1,504,000,000       5.500     08/05/20   1,838,464
       

 

        4,381,570

 

Colombia – 6.1%

Republic of Colombia (NR/NR)

COP

    1,283,769,675       3.300     03/17/27   351,684
    2,538,700,000       5.750     11/03/27   681,612
    5,325,500,000       7.000     06/30/32   1,437,006
    1,316,900,000       7.250     10/18/34   362,049

Republic of Colombia (NR/Baa2)(b)

    1,851,000,000       4.375     03/21/23   494,618

Republic of Colombia (BBB/Baa2)

    2,430,900,000       7.500     08/26/26   732,977
    3,130,500,000       6.000     04/28/28   842,553
       

 

        4,902,499

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Czech Republic – 4.9%

Czech Republic Government Bond (NR/NR)

CZK

    33,200,000       1.000   06/26/26   $    1,429,982
    43,810,000       0.250     02/10/27   1,794,786

Czech Republic Government Bond (NR/Aa3)

    11,320,000       4.200     12/04/36   696,826
       

 

        3,921,594

 

Dominican Republic – 2.0%

Dominican Republic (NR/NR)

DOP

    2,800,000       10.500     04/07/23   46,474
    5,400,000       11.500     05/10/24   92,990
    39,400,000       11.375     07/06/29   635,891
    49,900,000       12.000     03/05/32   836,729
       

 

        1,612,084

 

Egypt(c) – 0.2%

Republic of Egypt (B/B2u)

$

    200,000       8.875     05/29/50   197,500

 

Hungary – 2.9%

Hungary Government Bond (NR/NR)

HUF

    105,800,000       2.750     12/22/26   361,144

Hungary Government Bond (NR/Baa3)

    65,720,000       3.000     08/21/30   224,101

Hungary Government Bond (BBB/NR)

    194,960,000       5.500     06/24/25   743,006
    292,160,000       3.000     10/27/27   1,009,845
       

 

        2,338,096

 

Indonesia – 0.5%

Republic of Indonesia (NR/Baa2)

IDR

    6,000,000,000       7.000     05/15/27   420,651

 

Mexico – 8.8%

United Mexican States (NR/Baa1)

MXN

    30,974,500       8.000     09/05/24   1,508,919
    4,741,100       5.750     03/05/26   211,286
    1,907,500       8.000     11/07/47   92,269

 

 


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Mexico – (continued)

United Mexican States (BBB+/Baa1)

MXN

    18,528,500       7.500   06/03/27   $         896,659
    37,057,300       8.500     05/31/29   1,903,773
    5,456,000       7.750     05/29/31   267,619
    11,706,100       10.000     11/20/36   685,472
    29,149,400       8.500     11/18/38   1,499,924
       

 

  7,065,921

 

Peru – 3.8%

Republic of Peru (NR/A3)

PEN

    963,000       6.714     02/12/55   321,195

Republic of Peru (A-/A3)

    935,000       8.200     08/12/26   340,879
    1,145,000       5.940 (c)    02/12/29   372,265
    18,000       6.950     08/12/31   6,175
    2,960,000       6.150 (c)    08/12/32   952,467
    2,225,000       5.400 (c)    08/12/34   661,517
    246,000       6.900     08/12/37   83,200
    1,050,000       5.350 (c)    08/12/40   296,666
       

 

  3,034,364

 

Philippines – 0.3%

Republic of Philippines (BBB+/Baa2)

PHP

    10,000,000       6.250     01/14/36   248,055

 

Poland – 6.0%

Republic of Poland Government Bond (NR/NR)

PLN

    9,170,000       0.750     04/25/25   2,333,537

Republic of Poland Government Bond (A/NR)

    7,010,000       2.750     10/25/29   1,995,378

Republic of Poland Government Bond (A/A2)

    1,660,000       2.750     04/25/28   466,338
       

 

  4,795,253

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Romania – 0.4%

Republic of Romania (BBB-/Baa3)

EUR

    100,000       3.624 %(c)    05/26/30   $         121,338
    150,000       2.000 (c)    01/28/32   157,044
    30,000       3.375     01/28/50   32,589
       

 

  310,971

 

Russia – 4.4%

Russian Federation Bond (NR/NR)

RUB

    33,630,000       7.650     04/10/30   535,410
    23,220,000       7.250     05/10/34   362,163
    161,060,000       7.700     03/16/39   2,649,962
       

 

  3,547,535

 

Serbia(c) – 0.2%

Republic of Serbia (NR/Ba3)

EUR

    100,000       3.125     05/15/27   117,687

 

South Africa – 9.8%

Republic of South Africa (BB/Ba1)

ZAR

    23,310,000       10.500     12/21/26   1,532,922
    20,630,000       8.000     01/31/30   1,095,838
    6,930,000       7.000     02/28/31   328,294
    47,200,000       8.875     02/28/35   2,332,913
    23,010,000       8.500     01/31/37   1,069,800
    2,790,000       6.500     02/28/41   102,183
    25,784,300       8.750     01/31/44   1,170,753
    4,620,000       8.750     02/28/48   209,420
       

 

  7,842,123

 

Thailand – 9.1%

Thailand Government Bond (NR/NR)

THB

    8,440,000       3.300     06/17/38   337,958
    1,220,000       3.600     06/17/67   52,441

Thailand Government Bond (NR/Baa1)

    51,746,995       1.250     03/12/28   1,476,904
    79,990,000       3.775     06/25/32   3,216,464

Thailand Government Bond (A-/Baa1)

    58,690,000       3.850     12/12/25   2,192,848
       

 

  7,276,615

 

 


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – (continued)

Turkey – 3.4%

Republic of Turkey (NR/NR)

TRY

    14,040,000       12.200   01/18/23   $  2,162,285
    1,610,000       10.600     02/11/26   231,158
    2,080,000       11.000     02/24/27   296,817
       

 

  2,690,260

 

Ukraine(c) – 0.1%

Ukraine Government Bond (B/NR)

EUR

    100,000       4.375     01/27/30   96,340

 

Uruguay – 0.3%

Republic of Uruguay (NR/NR)

UYU

    4,225,000       3.875     07/02/40   100,185

Republic of Uruguay (BBB/Baa2)

    4,391,963       4.375     12/15/28   109,435
       

 

  209,620

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $60,398,356)
  $  57,476,875

 

       
Corporate Obligations – 5.2%

Brazil(b)(d) – 0.2%

Banco do Brasil SA (CCC+/NR)(10 Year CMT + 4.398%)

$

    200,000       6.250   04/15/49   $       175,400

 

British Virgin Islands – 0.3%

Huarong Finance II Co. Ltd. (BBB+/Baa1)

    260,000       5.500     01/16/25   285,341

 

Colombia – 0.3%

Banco de Bogota SA (NR/Ba2)

    200,000       6.250     05/12/26   210,000

 

Peru(b)(c) – 3.1%

Banco de Credito del Peru (BBB+/Baa1)

PEN

    643,000       4.850     10/30/20   182,282

Banco de Credito del Peru (BBB+/NR)

    8,200,000       4.650     09/17/24   2,338,491
       

 

  2,520,773

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

South Africa – 0.5%

Eastern & Southern African Trade & Development Bank (NR/Baa3)

$

    390,000       4.875   05/23/24   $     390,753

 

Turkey – 0.3%

Yapi ve Kredi Bankasi AS (NR/B2)

    200,000       8.250     10/15/24   207,425

 

United States(b) – 0.2%

Sasol Financing USA LLC (BB/Ba2)

    200,000       5.875     03/27/24   179,500

 

Venezuela(a) – 0.3%

Petroleos de Venezuela SA (NR/NR)

    9,280,000       6.000     10/28/22   208,800

 

TOTAL CORPORATE OBLIGATIONS
(Cost $7,342,330)
  $  4,177,992

 

       
Structured Notes – 8.1%

United Kingdom(c) – 4.5%

Republic of Indonesia (Issuer Standard Chartered Bank) (NR/NR)

IDR

    35,723,000,000       8.750   05/19/31   $  2,719,549
    12,570,000,000       7.500     08/19/32   868,945
       

 

  3,588,494

 

United States – 3.6%

Republic of Columbia (Issuer Citibank NA) (NR/NR)

COP

    4,226,000,000       11.000     07/25/24   1,380,568

Republic of Indonesia (Issuer JPMorgan Chase Bank NA) (NR/NR)(c)

IDR

    15,558,000,000       7.000     05/17/27   1,090,748
    6,568,000,000       7.500     08/19/32   454,036
       

 

  2,925,352

 

TOTAL STRUCTURED NOTES
(Cost $7,796,330)
  $  6,513,846

 

       
U.S. Treasury Obligations(e) – 0.2%

United States Treasury Notes

$

    28,000       2.875   10/15/21   $       28,974
    72,000       1.750     09/30/22   74,554
    47,000       2.875     05/31/25   52,919

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $150,195)
  $     156,447

 

       
    Shares         Dividend
Rate
        Value
Investment Company(f) – 8.2%

Goldman Sachs Financial Square Government Fund – Institutional Shares

    6,588,037       0.155     $  6,588,037

(Cost $6,588,037)

 

TOTAL INVESTMENTS – 93.5%
(Cost $82,275,248)
  $74,913,197

 

OTHER ASSETS IN EXCESS OF
    LIABILITIES – 6.5%
  5,175,087

 

NET ASSETS – 100.0%   $80,088,284

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security is currently in default and/or non-income producing.
 


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

(b)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(c)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(d)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(e)   All or a portion of security is segregated as collateral for initial margin requirements on futures transactions.
(f)   Represents an affiliated issuer.
Security ratings disclosed, if any, are obtained from by Standard & Poor’s /Moody’s Investor Service and are unaudited. A brief description of the ratings is available in the Fund’s Statement of Additional Information.

 

 

Currency Abbreviations:
AUD  

— Australian Dollar

BRL  

— Brazilian Real

CAD  

— Canadian Dollar

CHF  

— Swiss Franc

CLP  

— Chilean Peso

CNH  

— Chinese Yuan Renminbi Offshore

CNY  

— Chinese Yuan Renminbi

COP  

— Colombian Peso

CZK  

— Czech Koruna

DOP  

— Dominican Peso

EUR  

— Euro

GBP  

— British Pound

HUF  

— Hungarian Forint

IDR  

— Indonesian Rupiah

ILS  

— Israeli Shekel

INR  

— Indian Rupee

JPY  

— Japanese Yen

KRW  

— South Korean Won

MXN  

— Mexican Peso

MYR  

— Malaysian Ringgit

NOK  

— Norwegian Krone

NZD  

— New Zealand Dollar

PEN  

— Peruvian Nuevo Sol

PHP  

— Philippine Peso

PLN  

— Polish Zloty

RON  

— New Romanian Leu

RUB  

— Russian Ruble

SEK  

— Swedish Krona

THB  

— Thai Baht

TRY  

— Turkish Lira

TWD  

— Taiwan Dollar

USD  

— U.S. Dollar

UYU  

— Uruguayan Peso

ZAR  

— South African Rand

Investment Abbreviations:
CLICP  

— Sinacofi Chile Interbank Rate

CMT  

— Constant Maturity Treasury Indexes

EURO  

— Euro Offered Rate

KLIBOR  

— Kuala Lumpur Interbank Offered Rate

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

MIBOR  

— Mumbai Interbank Offered Rate

NR  

— Not Rated

PLC  

— Public Limited Company

PRIBOR  

— Prague Interbank Offered Rate

TIIE  

— La Tasa de Interbank Equilibrium Interest Rate

WIBOR  

— Warsaw Interbank Offered Rate

 

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


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2020, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

AUD

     1,302,332        USD      894,495          09/16/20        $ 4,479  
    

BRL

     30,373,738        USD      5,435,414          07/02/20          149,475  
    

CAD

     1,113,541        EUR      726,248          09/16/20          3,015  
    

CAD

     710,237        USD      521,382          09/16/20          1,857  
    

CHF

     316,552        EUR      296,284          09/16/20          1,434  
    

CHF

     466,942        USD      493,206          09/16/20          773  
    

CNH

     38,291,433        USD      5,381,158          09/16/20          11,454  
    

COP

     13,586,201,448        USD      3,487,931          07/06/20          125,415  
    

EUR

     152,828        CAD      233,130          09/16/20          248  
    

EUR

     146,006        CHF      155,186          09/16/20          148  
    

EUR

     142,681        GBP      129,515          09/16/20          23  
    

EUR

     153,770        NOK      1,654,899          09/16/20          1,075  
    

EUR

     419,191        USD      471,221          09/16/20          550  
    

GBP

     271,616        EUR      297,371          09/16/20          2,043  
    

IDR

     36,648,387,699        USD      2,428,764          07/20/20          86,634  
    

IDR

     3,832,475,348        USD      236,777          07/28/20          25,766  
    

ILS

     606,694        USD      174,005          09/16/20          1,505  
    

INR

     26,908,846        USD      352,987          07/15/20          2,569  
    

KRW

     1,058,833,412        USD      876,652          07/15/20          6,000  
    

KRW

     419,802,163        USD      347,645          09/02/20          2,356  
    

MYR

     11,720,886        USD      2,671,123          07/27/20          59,577  
    

MYR

     11,720,886        USD      2,672,950          07/30/20          57,600  
    

NOK

     1,571,329        EUR      144,492          09/16/20          682  
    

RUB

     263,419,894        USD      3,512,607          08/17/20          167,116  
    

SEK

     6,574,930        EUR      622,886          09/16/20          5,257  
    

SEK

     1,555,300        USD      166,364          09/16/20          704  
    

THB

     7,448,106        USD      237,876          09/16/20          3,071  
    

TRY

     1,146,373        USD      156,649          07/13/20          10,132  
    

TRY

     1,974,242        USD      280,550          09/16/20          1,398  
    

TWD

     10,388,592        USD      348,610          07/06/20          5,053  
    

TWD

     10,822,942        USD      363,953          07/20/20          5,517  
    

USD

     196,758        AUD      282,659          09/16/20          1,644  
    

USD

     6,897,832        BRL      35,744,331          07/02/20          325,438  
    

USD

     1,540,580        CAD      2,065,695          09/16/20          18,765  
    

USD

     2,228,990        CLP      1,793,313,188          07/03/20          45,540  
    

USD

     724,144        CLP      587,966,293          08/27/20          7,726  
    

USD

     342,626        CLP      278,349,030          09/16/20          3,358  
    

USD

     1,047,076        COP      3,796,271,673          07/06/20          37,431  
    

USD

     173,846        COP      648,829,683          07/27/20          1,608  
    

USD

     1,149,680        CZK      26,903,771          09/16/20          15,014  
    

USD

     1,608,484        EUR      1,421,143          09/16/20          9,084  
    

USD

     2,773,166        GBP      2,198,478          09/16/20          47,796  
    

USD

     354,258        HUF      108,452,580          09/16/20          10,318  
    

USD

     793,946        IDR      11,366,796,915          07/20/20          13,775  
    

USD

     262,563        ILS      901,579          09/16/20          1,746  
    

USD

     1,387,235        JPY      148,529,381          09/16/20          10,210  
    

USD

     770,806        MXN      17,349,484          09/17/20          23,755  
    

USD

     172,881        NOK      1,646,453          09/16/20          1,776  
    

USD

     3,191,769        PEN      10,906,673          07/21/20          113,374  
    

USD

     642,884        PLN      2,532,958          09/16/20          2,496  
    

USD

     1,758,971        RUB      123,014,097          08/17/20          40,580  
    

USD

     172,826        SEK      1,601,200          09/16/20          827  
    

USD

     178,777        TRY      1,221,652          07/13/20          1,044  
    

USD

     176,373        TRY      1,215,104          07/27/20          321  
    

USD

     173,019        TRY      1,194,471          07/29/20          58  
    

USD

     178,777        TRY      1,248,647          09/16/20          452  
    

USD

     2,163,581        ZAR      36,702,883          09/16/20          65,311  

 

 

TOTAL

                          $ 1,542,373  

 

 


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC

    

AUD

     1,185,355        USD      826,279          09/16/20        $ (8,052
    

BRL

     7,491,660        USD      1,464,714          07/02/20          (87,206
    

BRL

     29,222,167        USD      5,639,003          08/04/20          (274,897
    

CAD

     2,126,038        USD      1,582,074          09/16/20          (15,803
    

CHF

     1,282,729        USD      1,362,768          09/16/20          (5,767
    

CLP

     1,793,313,188        USD      2,266,732          07/03/20          (83,282
    

CLP

     1,117,354,549        USD      1,362,129          08/27/20          (668
    

CNH

     4,951,349        USD      698,094          09/16/20          (792
    

COP

     1,944,754,898        USD      525,727          07/06/20          (8,506
    

CZK

     28,788,611        USD      1,224,519          09/16/20          (10,359
    

EUR

     236,879        CAD      364,910          09/16/20          (2,241
    

EUR

     308,260        CHF      329,892          09/16/20          (2,069
    

EUR

     144,068        GBP      131,213          09/16/20          (522
    

EUR

     469,678        PLN      2,098,629          09/16/20          (1,991
    

EUR

     613,743        SEK      6,457,638          09/16/20          (2,946
    

EUR

     5,509,378        USD      6,258,672          09/16/20          (58,250
    

GBP

     1,178,725        EUR      1,310,621          09/16/20          (13,792
    

GBP

     282,623        USD      354,862          09/16/20          (4,506
    

HUF

     288,223,967        USD      942,160          09/16/20          (28,103
    

IDR

     10,007,357,772        USD      705,006          07/20/20          (18,142
    

IDR

     3,955,857,808        USD      278,562          07/28/20          (7,566
    

ILS

     176,132        USD      51,422          09/16/20          (469
    

INR

     17,127,624        USD      227,240          07/28/20          (1,180
    

JPY

     37,961,093        AUD      519,157          09/16/20          (6,424
    

JPY

     18,664,918        GBP      140,118          09/16/20          (655
    

JPY

     222,349,510        USD      2,078,710          09/16/20          (17,291
    

MXN

     60,850,345        USD      2,733,910          09/17/20          (113,753
    

NOK

     1,737,068        EUR      164,319          09/16/20          (4,407
    

NOK

     1,647,927        SEK      1,625,795          09/16/20          (3,383
    

NOK

     14,833,436        USD      1,594,326          09/16/20          (52,784
    

NZD

     156,732        USD      102,320          09/16/20          (1,189
    

PEN

     752,622        USD      216,907          07/21/20          (4,480
    

PLN

     2,052,310        EUR      461,744          09/16/20          (791
    

PLN

     12,285,395        USD      3,134,629          09/16/20          (28,605
    

RON

     11,141,859        USD      2,581,824          09/16/20          (6,375
    

RUB

     170,059,900        USD      2,444,078          08/17/20          (68,503
    

SEK

     4,659,619        USD      503,250          09/16/20          (2,719
    

TRY

     2,505,080        USD      361,042          09/16/20          (3,284
    

USD

     517,396        AUD      759,244          09/16/20          (6,697
    

USD

     379,650        BRL      2,121,066          07/02/20          (10,355
    

USD

     503,012        BRL      2,754,656          08/04/20          (2,641
    

USD

     168,060        CAD      228,211          09/16/20          (65
    

USD

     1,331,523        CHF      1,270,953          09/16/20          (13,023
    

USD

     2,660,458        CLP      2,188,359,643          08/27/20          (5,989
    

USD

     1,091,646        CNH      7,761,982          09/16/20          (1,479
    

USD

     3,039,715        COP      11,734,684,674          07/06/20          (81,209
    

USD

     1,694,649        COP      6,392,978,754          07/27/20          (2,436
    

USD

     897,641        COP      3,577,736,825          08/25/20          (49,768
    

USD

     378,129        EUR      336,496          09/16/20          (574
    

USD

     238,830        IDR      3,634,086,363          07/20/20          (10,599
    

USD

     701,137        ILS      2,447,153          09/16/20          (6,798
    

USD

     442,854        INR      33,800,554          07/15/20          (3,763
    

USD

     1,355,443        INR      103,865,357          07/28/20          (15,429
    

USD

     173,135        KRW      209,648,527          07/15/20          (1,630
    

USD

     378,665        KRW      465,395,194          09/02/20          (9,348
    

USD

     190,923        KRW      229,619,101          09/16/20          (589
    

USD

     172,206        MXN      4,015,694          09/17/20          (706
    

USD

     292,655        MYR      1,273,781          07/27/20          (4,107
    

USD

     173,181        NOK      1,676,853          09/16/20          (1,083
    

USD

     178,689        NZD      279,795          09/16/20          (1,849
    

USD

     583,448        PLN      2,315,719          09/16/20          (2,017


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS (continued)

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC (continued)

                         
    

USD

     175,200        RUB      12,685,575          08/17/20        $ (2,005
    

USD

     247,976        THB      7,733,221          09/16/20          (2,195
    

USD

     505,340        TRY      3,672,192          07/13/20          (28,911
    

USD

     427,597        TRY      3,045,334          07/20/20          (14,541
    

USD

     174,000        TRY      1,207,697          07/27/20          (979
    

USD

     842,852        TRY      5,952,844          09/16/20          (7,292
    

USD

     538,679        TWD      15,906,225          07/15/20          (3,899
    

USD

     917,141        TWD      27,161,604          07/20/20          (10,093
    

USD

     1,040,739        TWD      30,596,947          08/06/20          (6,142
    

USD

     198,162        TWD      5,802,985          09/16/20          (1,295
    

ZAR

     3,069,317        USD      179,056          09/16/20          (3,586

 

 

TOTAL

 

     $ (1,264,844

 

 

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

Eurodollars

     1      12/14/20      $ 249,275      $ 4,193  

Ultra Long U.S. Treasury Bonds

     23      09/21/20        5,017,594        4,870  

Ultra 10 Year U.S. Treasury Notes

     67      09/21/20        10,551,453        53,271  

5 Year U.S. Treasury Notes

     4      09/30/20        502,969        712  

10 Year U.S. Treasury Notes

     1      09/21/20        139,172        233  

 

 

Total

 

   $ 63,279  

 

 

Short position contracts:

                 

2 Year U.S. Treasury Notes

     (16)      09/30/20        (3,533,250      (961

20 Year U.S. Treasury Bonds

     (87)      09/21/20        (15,534,938      (96,801

 

 

Total

 

   $ (97,762

 

 

TOTAL FUTURES CONTRACTS

 

   $ (34,483

 

 

SWAP CONTRACTS — At June 30, 2020, the Fund had the following swap contracts:

OVER THE COUNTER INTEREST RATE SWAP CONTRACTS

 

Payments Made by
the Fund
   Payments
Received by
the Fund
  Counterparty   Termination
Date
  Notional
Amount
(000s)
    Value     Upfront
Payments
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

3M TELBOR(a)

       1.020%(b)   BofA Securities LLC   03/18/30   ILS   1,925     $ 25,176     $ 260     $ 24,916  

3M KLIBOR(a)

   3.650(a)   Citibank NA   02/27/24   MYR   3,020       40,626             40,626  

3M KLIBOR(a)

   3.693(a)   MS & Co. Int. PLC   03/01/24     5,490       75,652             75,652  

3M KLIBOR(a)

   3.605(a)   MS & Co. Int. PLC   03/06/24     25,010       326,551             326,551  

3M KLIBOR(a)

   3.330(a)   MS & Co. Int. PLC   05/31/24     2,610       29,592             29,592  

3M KLIBOR(a)

   3.250(a)   MS & Co. Int. PLC   12/18/24     2,000       23,446       483       22,963  

 

 

TOTAL

           $ 521,043     $ 743     $ 520,300  

 

 

 

(a)   Payments made quarterly.
(b)   Payments made annually.


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

  

Payments
Received by

Fund

  Termination
Date
   

Notional
Amount

(000s)

    Market
Value
    Upfront
Premium
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

1M BID Average(a)

   4.120%(a)     01/03/22     BRL   24,625       $86,862     $ (60,787   $ 147,649  

1M BID Average (a)

   5.440(a)     01/03/22       10,070       80,764       (106,506     187,270  

Mexico Interbank TIIE 28 Days(a)

   4.500(a)     09/15/22     MXN   76,390 (b)      10,484       (2,005     12,489  

6M MIBOR(c)

   3.750        09/16/22     INR   549,960       10,700       (4,186     14,886  

6.244%(d)

   1M BID Average(d)     01/02/23     BRL   6,150       (63,485)             (63,485

6.943(a)

   1M BID Average(a)     01/02/23       4,525       (59,777)             (59,777

7.223(a)

   1M BID Average(a)     01/02/23       5,075       (72,815)             (72,815

1M BID Average (a)

   6.660(a)     01/02/23       16,091       219,232       (233,510     452,742  

6.844(a)

   1M BID Average(a)     01/02/24       12,250       (139,437)             (139,437

1M BID Average(a)

   4.930(a)     01/02/24       16,070 (b)      5,841       (535     6,376  

1M BID Average (a)

   5.330(a)     01/02/24       12,250       39,856       (2,348     42,204  

1M BID Average(a)

   6.260(a)     01/02/25       5,125       33,261       14,621       18,640  

6M CNY(e)

   2.500(e)     06/17/25     CNY   78,760       88,410       42,325       46,085  

Mexico Interbank TIIE 28 Days(a)

   5.400(a)     09/11/25     MXN   72,860 (b)      77,142       8,088       69,054  

6M CLICP(c)

   1.600        09/16/25     CLP   1,819,060       41,518       23,514       18,004  

3.750(f)

   6M MIBOR(c)     09/16/25     COP   3,302,990       (16,620)       (404     (16,216

0.750(f)

   6M WIBOR(c)     12/16/25     PLN   6,920 (b)      (13,672)       18       (13,690

2.010(f)

   6M PRIBOR(c)     09/16/26     CZK   13,130 (b)      (48,876)       (7,499     (41,377

Mexico Interbank TIIE 28 Days(a)

   5.700(a)     09/09/27     MXN   27,160 (b)      30,103       5,332       24,771  

0.000(f)

   6M EURO(c)     09/16/27     EUR   70 (b)      (1,599)       (1,361     (238

0.750(c)

   3M LIBOR(e)     09/16/30     $ 1,160 (b)      (10,595)       (9,075     (1,520

0.250(f)

   6M EURO(c)     09/16/30     EUR   220 (b)      (10,474)       (9,641     (833

4.700(e)

   6M MIBOR     09/16/30     COP   3,842,180       (16,989)       6,230       (23,219

 

 

TOTAL

         $ 269,834     $ (337,729   $ 607,563  

 

 

 

(a)   Payments made monthly.
(b)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2020.
(c)   Payments made semi-annually.
(d)   Payments made at termination date.
(e)   Payments made quarterly.
(f)   Payments made annually.

OVER THE COUNTER CREDIT DEFAULT SWAP CONTRACTS

 

Reference
Obligation/Index
  

Financing Rate
Paid by

the Fund(a)

   Credit
Spread at
June 30,
2020(b)
  Counterparty    Termination
Date
   Notional
Amount
(000s)
     Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased:

                    

People’s Republic of China, 7.500%, 10/28/27

       (1.000)%       0.121%   BofA Securities LLC    12/20/20      2,320      $ (10,498   $ 2,459     $ (12,957

People’s Republic of China, 7.500%, 10/28/27

   (1.000)    0.135   BofA Securities LLC    06/20/21      70        (617     159       (776

People’s Republic of China, 7.500%, 10/28/27

   (1.000)    0.121   Citibank NA    12/20/20      3,400        (15,384     4,198       (19,582

People’s Republic of China, 7.500%, 10/28/27

   (1.000)    0.135   Citibank NA    06/20/21      2,190        (19,304     4,517       (23,821


GOLDMAN SACHS LOCAL EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER CREDIT DEFAULT SWAP CONTRACTS (continued)

 

Reference
Obligation/Index
  

Financing Rate
Paid by

the Fund(a)

   Credit
Spread at
June 30,
2020(b)
    Counterparty     Termination
Date
   Notional
Amount
(000s)
     Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased (continued)

 

             

People’s Republic of China, 7.500%, 10/28/27

       (1.000)%         0.135%       JPMorgan Securities, Inc.     06/20/21    $ 250      $ (2,204   $ 495     $ (2,699

People’s Republic of China, 7.500%, 10/28/27

   (1.000)      0.135       UBS AG (London)     06/20/21      280        (2,469     239       (2,708

 

 

TOTAL

 

   $ (50,476   $ 12,067     $ (62,543

 

 

Protection Sold:

                   

People’s Republic of China, 7.500%, 10/28/27

   1.000%      0.335%       MS & Co. Int. PLC     12/20/23      6,780        159,199       115,612       43,587  

 

 

TOTAL

 

   $ 108,723     $ 127,679     $ (18,956

 

 

 

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

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
    

Financing Rate
Received by

the Fund (a)

     Credit
Spread at
June 30,
2020(b)
     Termination
Date
       Notional
Amount
(000s)
       Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                         

People’s Republic of China, 7.500%, 10/28/27

       1.000%        0.177%        06/20/22        $ 1,210        $ 20,187      $ 17,251     $ 2,936  

Republic of Colombia, 10.375%, 01/28/33

       1.000           1.287           06/20/24          1,230          (13,413      6,018       (19,431

Republic of Peru, 8.750%, 11/21/33

       1.000           0.838           12/20/24          1,000          7,493        18,820       (11,327

Russian Federation, 7.500%, 03/31/30

       1.000           1.102           06/20/25          200          (943      (915     (28

State of Qatar, 9.750%, 06/15/30

       1.000           0.678           12/20/24          950          13,910        24,119       (10,209

 

 

TOTAL

 

     $ 27,234      $ 65,293     $ (38,059

 

 

 

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

 

Abbreviations:
1M BID Avg  

— 1 month Brazilian Interbank Deposit Average

BofA Securities LLC  

— Bank of America Securities LLC

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – 130.8%

Collateralized Mortgage Obligations – 6.9%

Interest Only(a) – 2.5%

FHLMC REMIC Series 3852, Class SW(b) (-1x1M USD LIBOR + 6.000%)

$

    342,187       5.815   05/15/41   $         58,969

FHLMC REMIC Series 4286, Class SN(b) (-1x1M USD LIBOR + 6.000%)

    2,812,789       5.815     12/15/43   523,938

FHLMC REMIC Series 4314, Class SE(b) (-1x1M USD LIBOR + 6.050%)

    269,782       5.865     03/15/44   47,563

FHLMC REMIC Series 4320, Class SD(b) (-1x1M USD LIBOR + 6.100%)

    143,474       5.915     07/15/39   29,655

FHLMC REMIC Series 4456, Class IO

    161,533       4.500     10/15/44   24,847

FHLMC REMIC Series 4468, Class SY(b) (-1x1M USD LIBOR + 6.100%)

    267,773       5.915     05/15/45   54,188

FHLMC REMIC Series 4583, Class ST(b) (-1x1M USD LIBOR + 6.000%)

    1,149,229       5.815     05/15/46   228,385

FHLMC REMIC Series 4936, Class ES(b) (-1x1M USD LIBOR + 6.000%)

    434,209       5.815     12/25/49   56,070

FHLMC REMIC Series 4936, Class PS(b) (-1x1M USD LIBOR + 6.000%)

    384,900       5.815     12/25/49   49,037

FHLMC STRIPS Series 304, Class C45

    192,901       3.000     12/15/27   11,350

FNMA REMIC Series 2007-36, Class SN(b) (-1x1M USD LIBOR + 6.770%)

    344,298       6.586     04/25/37   79,290

FNMA REMIC Series 2008-17, Class SI(b) (-1x1M USD LIBOR + 6.300%)

    441,992       6.116     03/25/38   90,850

FNMA REMIC Series 2011-124, Class SC(b) (-1x1M USD LIBOR + 6.550%)

    236,711       6.366     12/25/41   44,256

FNMA REMIC Series 2012-88, Class SB(b) (-1x1M USD LIBOR + 6.670%)

    322,819       6.486     07/25/42   58,867

FNMA REMIC Series 2015-34, Class LS(b) (-1x1M USD LIBOR + 6.100%)

    1,886,028       5.916     06/25/45   376,057

FNMA REMIC Series 2017-104, Class SB(b) (-1x 1M USD LIBOR + 6.150%)

    883,388       5.966     01/25/48   153,984

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Interest Only(a) – (continued)

FNMA REMIC Series 2017-69, Class SG(b) (-1x 1M USD LIBOR + 6.150%)

$

    1,171,244       5.966   09/25/47   $       233,021

FNMA REMIC Series 2017-86, Class SB(b) (-1x 1M USD LIBOR + 6.150%)

    986,307       5.966     11/25/47   183,787

FNMA REMIC Series 2018-8, Class SA(b) (-1x1M USD LIBOR + 6.150%)

    856,742       5.966     02/25/48   127,725

FNMA REMIC Series 2019-81, Class SD(b) (-1x1M USD LIBOR + 6.000%)

    524,639       5.816     01/25/50   79,001

GNMA REMIC Series 2010-101, Class S(b) (-1x1M USD LIBOR + 6.000%)

    766,170       5.810     08/20/40   147,905

GNMA REMIC Series 2010-20, Class SE(b) (-1x1M USD LIBOR + 6.250%)

    321,485       6.060     02/20/40   65,438

GNMA REMIC Series 2010-85, Class SN(b) (-1x1M USD LIBOR + 5.940%)

    31,571       5.750     07/20/40   7,055

GNMA REMIC Series 2013-124, Class CS(b) (-1x1M USD LIBOR + 6.050%)

    1,390,092       5.860     08/20/43   285,514

GNMA REMIC Series 2013-134, Class DS(b) (-1x1M USD LIBOR + 6.100%)

    72,580       5.910     09/20/43   14,768

GNMA REMIC Series 2014-11, Class KI

    162,604       4.500     12/20/42   12,833

GNMA REMIC Series 2014-117, Class SJ(b) (-1x1M USD LIBOR + 5.600%)

    3,308,060       5.410     08/20/44   607,295

GNMA REMIC Series 2014-132, Class SL(b) (-1x1M USD LIBOR + 6.100%)

    526,847       5.910     10/20/43   74,346

GNMA REMIC Series 2014-133, Class BS(b) (-1x1M USD LIBOR + 5.600%)

    251,621       5.410     09/20/44   45,958

GNMA REMIC Series 2014-158, Class SA(b) (-1x1M USD LIBOR + 5.600%)

    1,551,176       5.405     10/16/44   289,957

GNMA REMIC Series 2015-110, Class MS(b) (-1x1M USD LIBOR + 5.710%)

    986,446       5.520     08/20/45   161,681

GNMA REMIC Series 2015-111, Class IM

    841,625       4.000     08/20/45   94,670

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Interest Only(a) – (continued)

GNMA REMIC Series 2015-111, Class SM(b) (-1x1M USD LIBOR + 6.200%)

$

    306,734       6.010   08/20/45   $         54,442

GNMA REMIC Series 2015-112, Class SB(b) (-1x1M USD LIBOR + 5.740%)

    292,280       5.550     08/20/45   48,507

GNMA REMIC Series 2015-119, Class SN(b) (-1x1M USD LIBOR + 6.250%)

    636,114       6.060     08/20/45   113,559

GNMA REMIC Series 2015-129, Class IC

    610,700       4.500     09/16/45   99,484

GNMA REMIC Series 2015-168, Class SD(b) (-1x1M USD LIBOR + 6.200%)

    167,091       6.010     11/20/45   34,423

GNMA REMIC Series 2015-57, Class AS(b) (-1x1M USD LIBOR + 5.600%)

    1,828,471       5.410     04/20/45   309,832

GNMA REMIC Series 2015-72, Class JI

    61,687       3.500     05/20/45   3,841

GNMA REMIC Series 2015-83, Class PI

    126,663       3.500     06/20/45   8,396

GNMA REMIC Series 2015-90, Class PI

    80,890       3.500     04/20/45   4,076

GNMA REMIC Series 2016-1, Class ST(b) (-1x1M USD LIBOR + 6.200%)

    307,502       6.010     01/20/46   53,456

GNMA REMIC Series 2016-138, Class DI

    190,565       4.000     10/20/46   23,820

GNMA REMIC Series 2016-27, Class IA

    650,401       4.000     06/20/45   60,164

GNMA REMIC Series 2016-4, Class SM(b) (-1x1M USD LIBOR + 5.650%)

    477,246       5.460     01/20/46   90,406

GNMA REMIC Series 2017-112, Class SJ(b) (-1x 1M USD LIBOR + 5.660%)

    929,096       5.470     07/20/47   144,204

GNMA REMIC Series 2018-105, Class SC(b) (-1x1M USD LIBOR + 6.200%)

    563,623       6.010     08/20/48   85,917

GNMA REMIC Series 2018-124, Class SN(b) (-1x 1M USD LIBOR + 6.200%)

    1,511,014       6.010     09/20/48   291,146

GNMA REMIC Series 2018-139, Class SQ(b) (-1x1M USD LIBOR + 6.150%)

    1,006,392       5.960     10/20/48   149,681

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Interest Only(a) – (continued)

GNMA REMIC Series 2018-67, Class PS(b)(c) (-1x 1M USD LIBOR + 6.200%)

$

    1,519,534       6.010   05/20/48   $       236,820

GNMA REMIC Series 2018-72, Class IB

    2,286,952       4.000     04/20/46   284,866

GNMA REMIC Series 2019-1, Class SN(b) (-1x1M USD LIBOR + 6.050%)

    838,770       5.860     01/20/49   123,728

GNMA REMIC Series 2019-110, Class SD(b) (-1x1M USD LIBOR + 6.100%)

    1,329,243       5.910     09/20/49   215,560

GNMA REMIC Series 2019-110, Class SE(b) (-1x1M USD LIBOR + 6.100%)

    1,444,091       5.910     09/20/49   204,752

GNMA REMIC Series 2019-128, Class IO

    1,188,516       4.000     10/20/49   141,590

GNMA REMIC Series 2019-129, Class AI

    1,650,143       3.500     10/20/49   205,417

GNMA REMIC Series 2019-151, Class IA

    5,096,857       3.500     12/20/49   600,673

GNMA REMIC Series 2019-151, Class NI

    4,204,664       3.500     10/20/49   378,517

GNMA REMIC Series 2019-20, Class SF(b) (-1x1M USD LIBOR + 3.790%)

    1,469,817       3.600     02/20/49   125,444

GNMA REMIC Series 2019-4, Class SJ(b)(c) (-1x 1M USD LIBOR + 6.050%)

    1,402,746       5.860     01/20/49   225,672

GNMA REMIC Series 2019-6, Class SA(b) (-1x1M USD LIBOR + 6.050%)

    531,161       5.860     01/20/49   79,429

GNMA REMIC Series 2019-78, Class SE(b) (-1X 1M USD LIBOR + 6.100%)

    568,381       5.910     06/20/49   85,094

GNMA REMIC Series 2019-97, Class SC(b) (-1x1M USD LIBOR + 6.100%)

    1,089,066       5.910     08/20/49   159,333

GNMA REMIC Series 2019-98, Class SC(b) (-1x1M USD LIBOR + 6.050%)

    1,794,432       5.860     08/20/49   262,584

GNMA Series 2018-7, Class DS(b) (-1x 1M USD LIBOR + 5.700%)

    1,025,342       5.510     01/20/48   172,060
       

 

        9,395,153

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Regular Floater(b) – 1.7%

FHLMC REMIC Series 2020-DNA3, Class M2(c) (1M USD LIBOR + 3.000%)

$

    530,000       3.162   06/25/50   $       530,000

FHLMC REMIC Series 4103, Class BF (1M USD LIBOR + 0.350%)

    289,944       0.535     12/15/38   289,919

FNMA REMIC Series 2011-63, Class FG (1M USD LIBOR + 0.450%)

    84,681       0.635     07/25/41   85,003

FNMA REMIC Series 2017-96, Class FA (1M USD LIBOR + 0.400%)

    1,971,437       0.585     12/25/57   1,974,732

GNMA REMIC Series 2017-182, Class FN (1M USD LIBOR + 0.300%)

    3,539,279       0.495     12/16/47   3,531,355
       

 

        6,411,009

 

Sequential Fixed Rate – 2.0%

FHLMC REMIC Series 2042, Class N

    31,423       6.500     03/15/28   35,312

FHLMC REMIC Series 3748, Class D

    297,219       4.000     11/15/39   309,676

FHLMC REMIC Series 4577, Class HM(d)

    602,597       4.000     12/15/50   678,174

FNMA REMIC Series 2000-16, Class ZG

    112,443       8.500     06/25/30   137,324

FNMA REMIC Series 2005-59, Class KZ

    681,015       5.500     07/25/35   790,818

FNMA REMIC Series 2011-52, Class GB

    379,478       5.000     06/25/41   436,050

FNMA REMIC Series 2011-99, Class DB

    409,939       5.000     10/25/41   469,842

FNMA REMIC Series 2012-111, Class B

    56,554       7.000     10/25/42   69,953

FNMA REMIC Series 2012-153, Class B

    228,564       7.000     07/25/42   288,977

FNMA REMIC Series 2017-87, Class EA

    3,999,081       3.000     04/25/44   4,291,914
       

 

        7,508,040

 

Sequential Floating Rate(b) – 0.7%

Adjustable Rate Mortgage Trust Series 2004-5, Class 2A1

    44,363       3.577     04/25/35   44,129

Bear Stearns ALT-A Trust Series 2005-5, Class 21A1

    229,639       3.758     07/25/35   223,312

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Sequential Floating Rate(b) – (continued)

Countrywide Alternative Loan Trust Series 2005-38, Class A1 (12M MTA + 1.500%)

$

    69,128       3.004   09/25/35   $         60,793

FHLMC Structured Agency Credit Risk Debt Notes Series 2015-HQ2, Class M3 (1M USD LIBOR + 3.250%)

    850,000       3.435     05/25/25   883,229

FNMA Connecticut Avenue Securities Series 2016-C03, Class 1M2 (1M USD LIBOR + 5.300%)

    32,064       5.485     10/25/28   33,605

FNMA Connecticut Avenue Securities Series 2016-C06, Class 1M2 (1M USD LIBOR + 4.250%)

    286,155       4.435     04/25/29   297,917

HarborView Mortgage Loan Trust Series 2005-16, Class 2A1A (1M USD LIBOR + 0.480%)

    63,016       0.674     01/19/36   60,033

Impac CMB Trust Series 2004-08, Class 1A (1M USD LIBOR + 0.720%)

    28,673       0.905     10/25/34   27,246

Morgan Stanley Mortgage Loan Trust Series 2004-8AR, Class 4A1

    250,148       3.920     10/25/34   252,583

New Residential Mortgage Loan Trust Series 2015-1A, Class A1(e)

    196,747       3.750     05/28/52   208,882

Wells Fargo Mortgage Backed Securities Trust Series 2019-3, Class A1(e)

    286,604       3.500     07/25/49   293,581
       

 

        2,385,310

 

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS   $  25,699,512

 

Commercial Mortgage-Backed Securities – 3.0%

Sequential Fixed Rate – 2.6%

BBCMS Mortgage Trust Series 2018-C2, Class A4

    2,650,000       4.047     12/15/51   3,085,504

Morgan Stanley Capital I Trust Series 2018-L1, Class A3

    3,800,000       4.139     10/15/51   4,431,349

Cantor Commercial Real Estate Lending Series 2019-CF3, Class A4

    1,900,000       3.006     01/15/53   2,072,799
       

 

        9,589,652

 

Sequential Floating Rate(b) – 0.4%

Bancorp Commercial Mortgage Trust Series 2018-CRE4, Class A(e) (1M USD LIBOR + 0.900%)

    462,535       1.085     09/15/35   445,022

BANK 2018-BNK15 Series 2018-BN15, Class A4

    900,000       4.407     11/15/61   1,076,202

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Sequential Floating Rate(b) – (continued)

Exantas Capital Corp. Ltd. Series 2018-RSO6, Class A(e) (1M USD LIBOR + 0.830%)

$

    104,915       1.024   06/15/35   $       103,867
       

 

        1,625,091

 

TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES   $  11,214,743

 

Federal Agencies – 120.9%

Adjustable Rate FHLMC(b) – 0.0%

(1 Year CMT + 2.107%)

    7,421       4.001     10/01/34   7,771

(1 Year CMT + 2.206%)

 

   
    11,512       4.278     09/01/33   12,010

(1 Year CMT + 2.250%)

 

   
    24,711       3.759     04/01/33   25,932

(1 Year CMT + 2.250%)

 

   
    10,279       4.006     11/01/34   10,746

(1 Year CMT + 2.250%)

 

   
    9,532       3.777     02/01/35   10,016

(1 Year CMT + 2.250%)

 

   
    33,417       3.821     06/01/35   35,025
       

 

        101,500

 

Adjustable Rate FNMA(b) – 0.1%

(1 Year CMT + 2.196%)

    11,963       3.851     02/01/35   12,559

(1 Year CMT + 2.208%)

    3,477       3.506     07/01/33   3,631

(1 Year CMT + 2.263%)

    80,897       4.209     06/01/33   84,397

(1 Year CMT + 2.306%)

    953       3.982     04/01/34   995

(12M USD LIBOR + 1.621%)

    23,473       3.621     03/01/35   24,544

(12M USD LIBOR + 1.651%)

    23,985       3.678     12/01/33   24,977

(12M USD LIBOR + 1.670%)

    10,617       3.719     11/01/34   11,084

(12M USD LIBOR + 1.810%)

    15,844       3.807     04/01/35   16,711

(12M USD LIBOR + 1.978%)

    30,493       3.889     05/01/35   32,207

(6M USD LIBOR + 1.412%)

    4,219       3.034     06/01/33   4,335

(COF + 1.250%)

    601       2.234     07/01/22   599

(COF + 1.250%)

    6,664       2.134     07/01/27   6,631

(COF + 1.250%)

    7,754       2.134     11/01/27   7,715

(COF + 1.250%)

    4,419       2.134     01/01/31   4,391

(COF + 1.250%)

    6,107       2.134     06/01/32   6,067

(COF + 1.250%)

    6,206       2.234     08/01/32   6,165

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Adjustable Rate FNMA(b) – (continued)

(COF + 1.250%)

$

    9,039       2.234   05/01/33   $           8,978

(COF + 1.250%)

    73,097       2.239     08/01/33   72,647

(COF + 1.250%)

    2,850       2.134     11/01/35   2,831

(COF + 1.250%)

    17,917       2.134     12/01/37   17,820

(COF + 1.250%)

    10,786       2.134     01/01/38   10,730

(COF + 1.250%)

    7,010       2.134     11/01/40   6,966
       

 

        366,980

 

Adjustable Rate GNMA(b) – 0.2%

(1 Year CMT + 1.500%)

    6,564       3.875     06/20/23   6,673

(1 Year CMT + 1.500%)

    3,392       3.250     07/20/23   3,453

(1 Year CMT + 1.500%)

    3,397       3.250     08/20/23   3,460

(1 Year CMT + 1.500%)

    7,409       3.250     09/20/23   7,522

(1 Year CMT + 1.500%)

    2,567       3.000     03/20/24   2,616

(1 Year CMT + 1.500%)

    23,617       3.875     04/20/24   24,091

(1 Year CMT + 1.500%)

    3,256       3.875     05/20/24   3,331

(1 Year CMT + 1.500%)

    26,685       3.875     06/20/24   27,207

(1 Year CMT + 1.500%)

    16,678       3.250     07/20/24   16,986

(1 Year CMT + 1.500%)

    23,111       3.250     08/20/24   23,531

(1 Year CMT + 1.500%)

    7,137       3.250     09/20/24   7,262

(1 Year CMT + 1.500%)

    9,330       3.125     11/20/24   9,534

(1 Year CMT + 1.500%)

    10,253       3.125     12/20/24   10,522

(1 Year CMT + 1.500%)

    6,174       3.000     01/20/25   6,316

(1 Year CMT + 1.500%)

    3,821       3.000     02/20/25   3,911

(1 Year CMT + 1.500%)

    14,567       3.875     05/20/25   14,917

(1 Year CMT + 1.500%)

    11,989       3.250     07/20/25   12,266

(1 Year CMT + 1.500%)

    5,276       3.000     02/20/26   5,399

(1 Year CMT + 1.500%)

    272       3.250     07/20/26   278

(1 Year CMT + 1.500%)

    13,272       3.000     01/20/27   13,616

(1 Year CMT + 1.500%)

    5,429       3.000     02/20/27   5,564

(1 Year CMT + 1.500%)

    43,618       3.875     04/20/27   44,679

(1 Year CMT + 1.500%)

    4,389       3.875     05/20/27   4,498

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

Adjustable Rate GNMA(b) – (continued)

(1 Year CMT + 1.500%)

$

    6,319       3.875   06/20/27   $           6,475

(1 Year CMT + 1.500%)

    2,316       3.125     11/20/27   2,373

(1 Year CMT + 1.500%)

    6,872       3.125     12/20/27   7,046

(1 Year CMT + 1.500%)

    15,764       3.000     01/20/28   16,177

(1 Year CMT + 1.500%)

    5,051       3.000     02/20/28   5,183

(1 Year CMT + 1.500%)

    5,760       3.000     03/20/28   5,915

(1 Year CMT + 1.500%)

    24,563       3.250     07/20/29   25,169

(1 Year CMT + 1.500%)

    16,249       3.250     08/20/29   16,660

(1 Year CMT + 1.500%)

    3,043       3.250     09/20/29   3,121

(1 Year CMT + 1.500%)

    13,059       3.125     10/20/29   13,416

(1 Year CMT + 1.500%)

 

   
    19,421       3.125     11/20/29   19,959

(1 Year CMT + 1.500%)

 

   
    3,602       3.125     12/20/29   3,701

(1 Year CMT + 1.500%)

    5,202       3.000     01/20/30   5,352

(1 Year CMT + 1.500%)

    2,292       3.000     02/20/30   2,359

(1 Year CMT + 1.500%)

    15,963       3.000     03/20/30   16,435

(1 Year CMT + 1.500%)

    15,592       3.875     04/20/30   16,030

(1 Year CMT + 1.500%)

 

   
    41,928       3.875     05/20/30   43,241

(1 Year CMT + 1.500%)

    4,519       3.875     06/20/30   4,646

(1 Year CMT + 1.500%)

    37,813       3.250     07/20/30   39,142

(1 Year CMT + 1.500%)

    7,666       3.250     09/20/30   7,938

(1 Year CMT + 1.500%)

    11,830       3.125     10/20/30   12,173
       

 

        530,143

 

FHLMC – 13.5%

    53,451       5.000     10/01/33   61,316
    2,791       5.000     07/01/35   3,214
    1,857       4.500     08/01/35   2,020
    4,796       4.500     09/01/35   5,217
    1,836       4.500     10/01/35   1,998
    66,646       5.000     12/01/35   76,605
    1,959       5.000     02/01/37   2,253
    25,929       4.500     01/01/38   28,203
    1,103       4.500     06/01/38   1,200
    43,094       4.500     09/01/38   47,093
    198       4.500     01/01/39   222
    23,392       4.500     02/01/39   26,212
    9,345       4.500     03/01/39   10,473
    2,065       4.500     04/01/39   2,314
    68,821       4.500     05/01/39   77,124
    163,673       5.000     05/01/39   186,982

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

FHLMC – (continued)

$

    204,226       4.500   06/01/39   $       228,863
    2,774       4.500     07/01/39   3,109
    293,793       5.000     07/01/39   336,345
    4,828       4.500     08/01/39   5,411
    10,787       4.500     09/01/39   12,088
    2,588       4.500     10/01/39   2,900
    1,698       4.500     11/01/39   1,902
    5,901       4.500     12/01/39   6,613
    6,992       4.500     01/01/40   7,836
    5,070       4.500     04/01/40   5,647
    7,700       4.500     05/01/40   8,576
    17,252       4.000     06/01/40   18,958
    11,000       4.500     06/01/40   12,251
    7,173       4.500     07/01/40   7,989
    1,709       4.500     08/01/40   1,903
    8,284       5.000     08/01/40   9,447
    12,009       5.000     10/01/40   13,718
    154,628       4.000     02/01/41   169,664
    43,145       4.500     02/01/41   48,160
    7,689       4.500     03/01/41   8,586
    17,584       4.500     04/01/41   19,635
    17,365       4.500     05/01/41   19,390
    35,567       4.500     06/01/41   39,717
    2,320       5.000     06/01/41   2,647
    85,551       4.500     08/01/41   95,526
    89,976       4.500     09/01/41   100,209
    60,688       4.000     10/01/41   67,402
    10,545       4.000     11/01/41   11,541
    5,669       4.500     12/01/41   6,330
    617,380       4.000     03/01/42   678,708
    69,651       4.500     03/01/42   77,774
    33,324       3.000     05/01/42   35,632
    370,392       3.500     06/01/42   404,292
    791,470       4.500     06/01/42   879,420
    110,722       3.000     08/01/42   119,886
    106,164       3.500     08/01/42   114,767
    42,019       3.000     10/01/42   45,449
    260,432       3.500     10/01/42   281,536
    584,558       3.000     11/01/42   637,702
    177,947       3.500     11/01/42   192,367
    1,023,216       3.000     12/01/42   1,116,820
    1,791,126       3.000     01/01/43   1,954,749
    171,449       3.000     02/01/43   184,166
    2,300,975       3.500     08/01/43   2,489,055
    1,012,251       4.000     08/01/43   1,111,038
    587,977       4.000     01/01/44   644,522
    635,450       3.500     02/01/44   687,369
    514,824       3.500     06/01/44   563,782
    14,994       4.000     11/01/44   16,732
    67,819       3.500     02/01/45   74,629
    105,116       3.500     03/01/45   115,671
    18,813       3.500     08/01/45   20,220
    28,758       3.500     09/01/45   30,908
    48,862       3.500     11/01/45   52,517
    3,612,871       3.500     03/01/46   3,924,673
    567,990       3.500     05/01/46   614,271
    758,564       3.500     06/01/46   814,344
    283,197       3.500     07/01/46   304,022
    42,052       3.500     10/01/46   45,117
    65,899       3.500     12/01/46   70,704
    12,563,330       3.000     05/01/47   13,575,942
    444,480       3.500     12/01/47   483,415

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

FHLMC – (continued)

$

    3,934,142       3.000   01/01/48   $    4,233,161
    3,204,178       4.000     06/01/48   3,444,989
    2,904,805       4.000     07/01/48   3,123,117
    4,827,556       3.500     12/01/48   5,086,830
       

 

        50,055,105

 

FNMA – 7.3%

    2,529       7.000     08/01/31   2,976
    117,553       3.500     07/01/42   127,038
    110,388       3.500     08/01/42   119,293
    92,588       3.500     09/01/42   100,058
    10,979       3.500     10/01/42   11,865
    21,159       3.500     11/01/42   22,866
    11,251       3.500     01/01/43   12,159
    250,535       3.500     02/01/43   270,747
    27,664       3.500     05/01/43   29,896
    1,056,728       3.500     07/01/43   1,141,984
    540,657       3.500     01/01/44   584,276
    20,633       3.500     12/01/44   22,188
    426,656       4.000     03/01/45   463,723
    208,839       4.000     04/01/45   226,983
    2,285,414       4.500     06/01/51   2,546,992
    4,207,853       4.000     05/01/56   4,652,327
    4,676,351       4.000     07/01/56   5,186,863
    2,635,190       3.500     08/01/56   2,867,558
    4,286,973       3.500     10/01/56   4,697,146
    3,407,313       4.000     02/01/57   3,767,226
       

 

        26,854,164

 

GNMA – 42.8%

    19       5.500     07/15/20   19
    3,611       6.000     04/15/26   3,872
    181       6.500     01/15/32   200
    917       6.500     02/15/32   1,064
    283,236       5.500     04/15/33   328,016
    4,680       5.000     11/15/33   5,270
    798       6.500     08/15/34   949
    578       6.500     02/15/36   679
    1,531       6.500     03/15/36   1,799
    3,107       6.500     04/15/36   3,624
    10,814       6.500     05/15/36   12,716
    5,447       6.500     06/15/36   6,403
    28,735       6.500     07/15/36   34,073
    30,231       6.500     08/15/36   35,745
    56,846       6.500     09/15/36   67,699
    22,421       6.500     10/15/36   26,442
    34,118       6.500     11/15/36   40,783
    14,854       6.500     12/15/36   17,466
    9,894       6.500     01/15/37   11,637
    1,644       6.500     03/15/37   1,930
    3,502       6.500     04/15/37   4,126
    2,204       6.500     05/15/37   2,621
    2,567       6.500     08/15/37   3,013
    9,604       6.500     09/15/37   11,294
    9,752       6.500     10/15/37   11,928
    4,285       6.500     11/15/37   5,031
    2,262       6.500     05/15/38   2,678
    2,192       6.500     02/15/39   2,573
    293,961       5.000     01/20/40   334,569
    295,030       4.500     05/15/40   332,607

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

GNMA – (continued)

$

    126,542       5.000   07/15/40      $       134,799
    154,266       3.500     09/15/42      168,779
    299,997       3.500     02/15/45      327,274
    72,202       4.000     05/20/45      78,279
    56,679       4.000     07/20/45      61,450
    105,585       4.000     10/20/45      114,242
    321,524       4.000     01/20/46      347,382
    1,203,619       4.500     03/20/46      1,316,375
    3,329,599       3.000     06/20/46      3,535,107
    888,574       3.500     10/20/46      949,281
    13,320       3.500     02/20/47      14,231
    5,425,648       4.500     02/20/47      5,894,837
    20,762       3.500     03/20/47      22,071
    640,464       4.500     03/20/47      698,261
    11,969       3.500     04/20/47      12,723
    36,237       3.500     05/20/47      38,522
    3,643,573       4.500     05/20/47      3,964,410
    5,521,728       4.000     06/20/47      5,936,464
    626,164       4.500     06/20/47      681,302
    191,575       4.500     07/20/47      208,444
    51,989       3.500     08/20/47      55,268
    1,891,503       4.500     08/20/47      2,053,332
    12,749       3.500     09/20/47      13,552
    20,822       3.500     10/20/47      22,135
    1,352,206       3.500     TBA-30yr      1,437,473
    19,218       3.500     12/20/47      20,429
    3,748,293       3.500     01/20/48      3,984,649
    1,061,375       4.500     09/20/48      1,141,237
    1,455,676       5.000     09/20/48      1,588,760
    7,158,397       5.000     11/20/48      7,792,153
    3,320,049       4.500     12/20/48      3,558,189
    3,268,839       5.000     12/20/48      3,553,388
    102,627       3.500     01/20/49      109,098
    3,615,383       4.500     01/20/49      3,868,775
    3,133,984       5.000     01/20/49      3,403,856
    3,746,065       4.000     02/20/49      3,983,825
    2,386,339       4.500     03/20/49      2,551,912
    5,158,594       5.000     03/20/49      5,597,165
    4,655,545       4.000     04/20/49      4,943,391
    2,972,781       4.000     05/20/49      3,152,172
    1,152,146       5.000     05/20/49      1,249,199
    545,695       5.000     06/20/49      591,492
    45,000,000       2.500     TBA-30yr(f)   47,346,134
    7,000,000       3.000     TBA-30yr(f)   7,412,392
    11,000,000       3.500     TBA-30yr(f)   11,606,035
    7,000,000       4.500     TBA-30yr(f)   7,474,846
    3,000,000       5.000     TBA-30yr(f)   3,254,898
    1,000,000       4.000     TBA-30yr(f)   1,059,994
       

 

        158,640,808

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

UMBS – 22.6%

$

    206       5.500   01/01/21   $              207
    1,402       7.000     09/01/21   1,432
    9,148       7.000     06/01/22   9,491
    4,117       7.000     07/01/22   4,299
    464       4.500     04/01/23   480
    49,140       5.000     07/01/23   52,618
    6,840       5.000     12/01/23   7,149
    12,248       5.000     07/01/25   13,364
    4,864,362       5.000     09/01/31   5,307,166
    2,648       5.000     01/01/33   3,038
    218,019       4.500     07/01/36   243,421
    21,273       4.500     12/01/36   23,752
    199,044       4.500     02/01/39   223,018
    4,252       4.500     03/01/39   4,781
    5,505       4.500     05/01/39   6,158
    3,941       4.500     07/01/39   4,408
    3,877       4.000     08/01/39   4,261
    9,906       4.500     09/01/39   11,099
    14,416       4.500     10/01/39   16,153
    34,448       4.500     02/01/40   38,531
    5,360       4.500     03/01/40   6,006
    79,900       4.500     04/01/40   88,962
    27,439       4.500     06/01/40   30,708
    5,511       4.500     09/01/40   6,168
    6,835       4.500     12/01/40   7,610
    77,478       4.500     01/01/41   86,265
    22,828       4.500     04/01/41   25,487
    37,841       4.500     06/01/41   42,249
    34,145       4.500     07/01/41   38,124
    156,090       4.500     08/01/41   173,250
    154,576       4.500     09/01/41   172,585
    131,574       3.500     10/01/41   143,999
    111,950       4.500     10/01/41   124,994
    37,351       3.500     11/01/41   40,878

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

UMBS – (continued)

$

    101,137       4.500   11/01/41   $       112,921
    76,406       4.500     12/01/41   85,308
    128,703       3.500     01/01/42   140,857
    68,092       4.500     01/01/42   76,026
    15,627       3.500     02/01/42   16,991
    551,714       4.000     03/01/42   606,409
    6,728       4.500     03/01/42   7,668
    99,751       4.000     04/01/42   109,640
    20,102       4.500     04/01/42   22,600
    13,480       3.500     05/01/42   14,618
    47,908       3.500     06/01/42   52,447
    88,494       3.000     09/01/42   95,017
    34,694       3.500     09/01/42   37,991
    208,188       3.500     10/01/42   227,977
    497,288       3.000     12/01/42   534,737
    93,001       3.500     12/01/42   101,812
    103,782       3.000     01/01/43   113,475
    37,837       3.000     02/01/43   41,371
    302,741       3.500     02/01/43   330,955
    1,022,091       3.000     03/01/43   1,117,556
    1,272,188       3.500     03/01/43   1,383,814
    1,106,584       3.000     04/01/43   1,209,941
    1,376,848       3.500     04/01/43   1,489,096
    454,634       2.500     05/01/43   481,095
    1,358,549       3.000     05/01/43   1,485,593
    215,531       3.500     05/01/43   232,958
    48,093       3.000     06/01/43   52,615
    836,137       3.500     06/01/43   910,081
    411,038       3.000     07/01/43   449,687
    3,140,852       3.500     07/01/43   3,405,096
    1,579,159       3.500     08/01/43   1,708,488
    46,702       3.500     09/01/43   51,141
    103,709       3.500     01/01/44   113,469
    43,437       3.500     08/01/44   46,565
    95,485       3.500     09/01/44   103,642
    127,123       3.500     10/01/44   140,955
    50,789       5.000     12/01/44   56,227
    37,254       3.500     01/01/45   40,981
    468,146       4.000     02/01/45   512,958
    141,678       3.500     03/01/45   155,163

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

UMBS – (continued)

$

    91,629       3.500   04/01/45   $         98,506
    888,707       3.500     05/01/45   984,569
    2,312,923       4.500     06/01/45   2,559,604
    131,714       3.500     07/01/45   141,518
    21,747       3.500     11/01/45   23,365
    520,258       4.000     11/01/45   565,358
    404,955       3.500     01/01/46   435,348
    746,401       3.500     03/01/46   824,895
    355,030       4.000     03/01/46   383,995
    108,014       3.500     04/01/46   119,462
    707,697       3.500     05/01/46   766,784
    222,520       4.000     06/01/46   239,756
    574,377       4.500     06/01/46   620,732
    611,522       3.000     07/01/46   645,182
    619,712       4.000     07/01/46   667,715
    352,415       3.000     08/01/46   371,813
    769,953       4.000     08/01/46   829,594
    1,199,655       3.000     09/01/46   1,265,687
    439,125       3.000     10/01/46   463,297
    368,660       4.000     10/01/46   397,216
    1,555,066       3.000     11/01/46   1,646,169
    685,989       3.000     12/01/46   723,748
    2,820,917       3.000     01/01/47   2,976,189
    127,274       3.000     02/01/47   134,279
    2,364,090       4.000     02/01/47   2,547,618
    1,546,409       4.500     02/01/47   1,711,339
    442,344       3.000     04/01/47   467,321
    1,642,420       3.500     06/01/47   1,732,979
    395,537       4.500     11/01/47   431,167
    3,622,142       4.000     02/01/48   3,924,381
    763,708       4.500     05/01/48   848,255
    1,616,649       3.500     06/01/48   1,705,927
    16,886       5.000     10/01/48   19,068
    3,718,683       3.500     11/01/48   3,924,044
    3,564,175       5.000     11/01/48   4,006,430
    4,432,670       4.000     01/01/49   4,801,156

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Mortgage-Backed Obligations – (continued)

UMBS – (continued)

$

    2,461,880       5.000   02/01/49   $     2,829,674
    1,673,194       3.500     07/01/49   1,812,050
    5,406,139       5.000     07/01/49   5,938,375
    1,068,704       3.500     08/01/49   1,158,600
    2,910,024       5.000     01/01/50   3,196,517
       

 

           83,777,734

 

UMBS, 30 Year, Single Family(f) – 34.4%

    88,000,000       2.500     TBA-30yr   91,653,833
    3,000,000       4.500     TBA-30yr   3,223,125
    11,000,000       3.500     TBA-30yr   11,567,187
    20,000,000       3.000     TBA-30yr   21,055,468
       

 

        127,499,613

 

TOTAL FEDERAL AGENCIES   $ 447,826,047

 

TOTAL MORTGAGE-BACKED OBLIGATIONS
(Cost $470,958,220)
  $ 484,740,302

 

       
Asset-Backed Securities – 9.5%

Collateralized Loan Obligations(b)(e) – 5.3%

Arbor Realty Commercial Real Estate Notes Ltd. Series 2018-FL1,
Class A (1M USD LIBOR + 1.150%)

$

    1,300,000       1.335   06/15/28   $     1,275,790

Battalion CLO Ltd. Series 2018-12A, Class A1 (3M USD LIBOR + 1.070%)

    800,000       1.456     05/17/31   780,151

Crown City CLO I Series 2020-1A, Class A2 (3M USD LIBOR + 2.550%)

    1,000,000       0.000     07/20/30   999,994

Crown City CLO I Series 2020-1A, Class B (3M USD LIBOR + 3.030%)

    600,000       0.000     07/20/30   597,313

Crown City CLO I Series 2020-1A, Class C (3M USD LIBOR + 4.620%)

    2,500,000       0.000     07/20/30   2,401,570

Cutwater Ltd. Series 2014-1A, Class A1AR (3M USD LIBOR + 1.250%)

    510,427       2.469     07/15/26   505,101

Elmwood CLO IV Ltd. Series 2020-1A, Class A (3M USD LIBOR + 1.240%)

    1,500,000       2.422     04/15/33   1,464,033

Halseypoint CLO 2 Ltd. Series 2020-2A, Class A1 (3M USD LIBOR + 1.860%)

    1,850,000       0.000     07/20/31   1,831,500

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)

Collateralized Loan Obligations(b)(e) – (continued)

Madison Park Funding XII Ltd. Series 2014-12A, Class AR (3M USD LIBOR + 1.260%)

$

    367,740       2.395   07/20/26   $       367,442

Magnetite XVI Ltd. Series 2015-16A, Class AR (3M USD LIBOR + 0.800%)

    1,490,467       1.935     01/18/28   1,470,459

Nassau Ltd. Series 2019-IA, Class ANA (3M USD LIBOR + 1.510%)

    1,000,000       2.729     04/15/31   954,916

Pikes Peak CLO 6 Series 2020-6A, Class C (3M USD LIBOR + 4.040%)

    800,000       4.436     08/18/30   801,602

Ready Capital Mortgage Financing LLC Series 2018-FL2, Class A (1M USD LIBOR + 0.850%)

    31,190       1.035     06/25/35   29,895

Sound Point CLO XVIII Ltd. Series 2017-4A, Class A2A (3M USD LIBOR + 1.400%)

    850,000       2.535     01/21/31   801,450

Sound Point CLO XVIII Ltd. Series 2017-4A, Class B (3M USD LIBOR + 1.800%)

    550,000       2.935     01/21/31   513,025

TCW CLO Ltd. Series 2020-1A, Class C (3M USD LIBOR + 4.300%)

    1,250,000       5.060     04/20/28   1,256,581

Thacher Park CLO Ltd. Series 2014-1A, Class AR (3M USD LIBOR + 1.160%)

    694,785       2.295     10/20/26   693,679

York CLO 1 Ltd. Series 2014-1A, Class ARR (3M USD LIBOR + 1.120%)

    2,100,000       2.218     10/22/29   2,055,289

Zais CLO Ltd. Series 2020-15A, Class A1 (3M USD LIBOR + 2.555%)

    925,000       2.917     07/28/30   929,713
       

 

        19,729,503

 

Student Loan(b) – 4.2%

Academic Loan Funding Trust Series 2013-1A, Class A(e) (1M USD LIBOR + 0.800%)

    3,287,803       0.985     12/26/44   3,064,655

Brazos Education Loan Authority, Inc. Series 2012-1, Class A1 (1M USD LIBOR + 0.700%)

    283,521       0.885     12/26/35   277,879

ECMC Group Student Loan Trust Series 2017-1A, Class A(e) (1M USD LIBOR + 1.200%)

    2,590,919       1.385     12/27/66   2,539,287

Education Loan Asset-Backed Trust I Series 2013-1, Class A1(e) (1M USD LIBOR + 0.800%)

    107,402       0.985     06/25/26   107,127

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities – (continued)

Student Loan(b) – (continued)

Goal Capital Funding Trust Series 2010-1, Class A(e) (3M USD LIBOR + 0.700%)

$

    1,116,490       1.060   08/25/48   $      1,048,915

Higher Education Funding I Series 2014-1, Class A(e) (3M USD LIBOR + 1.050%)

    1,266,899       1.410     05/25/34   1,206,387

Illinois Student Assistance Commission Series 2010-1, Class A3 (3M USD LIBOR + 0.900%)

    782,273       1.891     07/25/45   759,631

PHEAA Student Loan Trust Series 2011-1A, Class A1(e) (3M USD LIBOR + 1.100%)

    1,519,553       1.397     06/25/38   1,451,510

PHEAA Student Loan Trust Series 2014-3A, Class A(e) (1M USD LIBOR + 0.590%)

    3,451,977       0.775     08/25/40   3,256,355

PHEAA Student Loan Trust Series 2016-1A, Class A(e) (1M USD LIBOR + 1.150%)

    806,558       1.335     09/25/65   788,989

PHEAA Student Loan Trust Series 2016-2A, Class A(e) (1M USD LIBOR + 0.950%)

    920,433       1.135     11/25/65   894,442
       

 

        15,395,177

 

TOTAL ASSET-BACKED SECURITIES
(Cost $36,117,209)
  $    35,124,680

 

       
Municipal Debt Obligation(b)(c) – 0.2%

New Hampshire – 0.2%

New Hampshire Higher Education Loan Corp. Series 2011-1, Class A3 (3M USD LIBOR + 0.000%)

$

    948,548       1.841   10/25/37   $         896,480

(Cost $941,097)

 

       
U.S. Treasury Obligations(g) – 15.0%

United States Treasury Bills

$

    7,500,000       0.000   07/16/20   $      7,499,645
    16,500,000       0.000     07/28/20   16,498,360
    31,500,000       0.000     09/17/20   31,490,445

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $55,487,914)
  $    55,488,450

 

TOTAL INVESTMENTS – 155.5%
(Cost $563,504,440)
  $  576,249,912

 

LIABILITIES IN EXCESS OF
    OTHER ASSETS – (55.5)%
  (205,642,573)

 

NET ASSETS – 100.0%   $  370,607,339

 

 


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with a notional or nominal principal amount. The actual effective yield of this security is different than the stated interest rate.
(b)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2020.
(c)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(d)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2020.
(e)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(f)   TBA (To Be Announced) Securities are purchased on a forward commitment basis with an approximate principal amount and no defined maturity date. The actual principal and maturity date will be determined upon settlement when the specific mortgage pools are assigned. Total market value of TBA securities (excluding forward sales contracts, if any) amounts to $205,653,912 which represents approximately 55.5% of the Fund’s net assets as of June 30, 2020.
(g)   Issued with a zero coupon. Income is recognized through the accretion of discount.

 

 

Currency Abbreviations:
CAD  

— Canadian Dollar

USD  

— U.S. Dollar

Investment Abbreviations:
CDOR  

— Canadian Dollar Offered Rate

CLO  

— Collateralized Loan Obligation

CMT  

— Constant Maturity Treasury Indexes

COF  

— Cost of Funds Index

FHLMC  

— Federal Home Loan Mortgage Corp.

FNMA  

— Federal National Mortgage Association

GNMA  

— Government National Mortgage Association

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

MTA  

— Monthly Treasury Average

PI  

— Private Investment

REMIC  

— Real Estate Mortgage Investment Conduit

STRIPS  

— Separate Trading of Registered Interest and Principal of Securities

 

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


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD SALES CONTRACTS — At June 30, 2020, the Fund had the following forward sales contracts:

 

Description      Interest
Rate
     Maturity
Date(a)
       Settlement
Date
       Principal
Amount
       Value  

 

 

UMBS, 30 Year, Single Family

       5.000      TBA-30yr          07/14/20        $ (6,000,000)        $ (6,552,825)  

UMBS, 30 Year, Single Family

       4.000        TBA-30yr          08/13/20          (9,000,000)          (9,540,000)  

 

 

TOTAL (Proceeds Receivable: $16,100,469)

                       $ (16,092,825)  

 

 

 

(a)   TBA (To Be Announced) Securities are purchased on a forward commitment basis with an approximate principal amount and no defined maturity date. The actual principal and maturity date will be determined upon settlement when the specific mortgage pools are assigned.

FUTURES CONTRACTS — At June 30, 2020, the Fund had the following futures contracts:

 

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

 

 

Short position contracts:

 

Ultra Long U.S. Treasury Bonds

     (10)      09/21/20      $ (2,181,563    $ (54,993

2 Year U.S. Treasury Notes

     (208)      09/30/20        (45,932,250      (14,927

5 Year U.S. Treasury Notes

     (93)      09/30/20        (11,694,023      (3,528

10 Year U.S. Treasury Bonds

     (23)      09/21/20        (3,622,141      (34,991

10 Year U.S. Treasury Notes

     (30)      09/21/20        (4,175,156      (22,285

20 Year U.S. Treasury Bonds

     (1)      09/21/20        (178,563      (1,423

 

 

TOTAL FUTURES CONTRACTS

 

   $ (132,147

 

 

SWAP CONTRACTS — At June 30, 2020, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

     Payments
Received by
Fund
     Termination
Date
     Notional
Amount (000s)
     Market
Value
     Upfront
Premium
(Received)
Paid
     Unrealized
Appreciation/
(Depreciation)
 

 

 

6M CDOR(a)

     0.840%      06/24/24      CAD   13,910 (b)     $ (997    $ 4,288      $ (5,285

0.000%

     3M LIBOR(c)      07/25/24      $ 9,700        1,110        157        953  

3M LIBOR(c)

     0.500(a)      09/16/25        1,940 (b)       15,250        15,641        (391

3M LIBOR(c)

     0.980(a)      05/21/30        2,540 (b)       3,701        (4,130      7,831  

1.140

     6M CDOR(a)      06/24/30      CAD 2,990 (b)       (880      (729      (151

1.160

     3M LIBOR(c)      05/21/35      $ 2,540 (b)       (467      2,079        (2,546

0.855

     3M LIBOR(c)      04/09/45        2,500 (b)       19,174        90        19,084  

3M LIBOR(c)

     0.845(a)      04/10/50        2,590 (b)       (14,773      93        (14,866

 

 

TOTAL

                  $ 22,118      $ 17,489      $ 4,629  

 

 

 

(a)   Payments made semi-annually.
(b)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2020.
(c)   Payments made quarterly.


GOLDMAN SACHS U.S. MORTGAGES FUND

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER CREDIT DEFAULT SWAP CONTRACTS

 

Reference
Obligation/Index
   Financing Rate
Paid by
the Fund(a)
 

Credit

Spread at
June 30,
2020(b)

    Counterparty     Termination
Date
    Notional
Amount
(000s)
    Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                

Markit CMBX Series 10

   3.000%     7.040%      
JPMorgan
Securities, Inc.
 
 
    11/17/59     $ 2,450     $ (499,621   $ (7,349   $ (492,272

Markit CMBX Series 11

   2.000        3.580         
JPMorgan
Securities, Inc.
 
 
    11/18/54       2,500       (250,060     (396,158     146,098  

Markit CMBX Series 11

   3.000        6.580         
JPMorgan
Securities, Inc.
 
 
    11/18/54       2,400       (490,029     (32,844     (457,185

Markit CMBX Series 9

   3.000        7.540         
JPMorgan
Securities, Inc.
 
 
    09/17/58       2,450       (480,069     (11,315     (468,754

 

 

TOTAL

 

      $ (1,719,779   $ (447,666   $ (1,272,113

 

 

 

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

WRITTEN OPTIONS CONTRACTS — At June 30, 2020, the Fund had the following written options:

OVER-THE-COUNTER INTEREST RATE SWAPTIONS

 

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

 

 

Written option contracts

 

           

Calls

                

6M IRS

   Deutsche Bank AG (London)     0.395     10/02/2020     (3,000,000)   $ (3,000,000   $ (13,667   $ (27,150   $ 13,483  

1Y IRS

   Deutsche Bank AG (London)     0.506       04/06/2021     (3,100,000)     (3,100,000     (34,885     (34,255     (630

1Y IRS

   Deutsche Bank AG (London)     0.448       05/12/2021     (4,100,000)     (4,100,000     (40,399     (43,030     2,631  

1M IRS

   Deutsche Bank AG (London)     0.395       09/30/2020     (3,000,000)     (3,000,000     (13,271     (38,100     24,829  

6M IRS

   Deutsche Bank AG (London)     0.395       09/30/2020     (3,000,000)     (3,000,000     (13,271     (31,200     17,929  

 

 
         (16,200,000)   $ (16,200,000   $ (115,492   $ (173,735   $ 58,242  

 

 

Puts

                

3M IRS

   Deutsche Bank AG (London)     0.600       09/08/2020     (4,800,000)     (4,800,000     (1,804     (17,220     15,416  

1Y IRS

   Deutsche Bank AG (London)     0.506       04/06/2021     (3,100,000)     (3,100,000     (17,955     (34,255     16,300  

1Y IRS

   Deutsche Bank AG (London)     0.448       05/12/2021     (4,100,000)     (4,100,000     (32,292     (43,029     10,737  

 

 
         (12,000,000)   $ (12,000,000   $ (52,052   $ (94,504   $ 42,453  

 

 

TOTAL

 

    (28,200,000)   $ (28,200,000   $ (167,544   $ (268,239   $ 100,695  

 

 


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS

 

 

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

INVESTMENTS AND FAIR VALUE MEASUREMENTS

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

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

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

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

The Board of Trustees (“Trustees”) has approved Valuation Procedures that govern the valuation of the portfolio investments held by the Funds, including investments for which market quotations are not readily available. The Trustees have delegated to GSAM day-to-day responsibility for implementing and maintaining internal controls and procedures related to the valuation of the Funds’ 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 may be valued at the closing bid price for long positions and at the closing 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. Certain equity securities containing unique attributes may be classified as Level 2.

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

Private Investments — Private investments may include, but are not limited to, investments in private equity or debt instruments. The investment manager estimates the fair value of private investments based upon various factors, including, but not limited to, transactions in similar instruments, completed or pending third-party transactions in underlying investments or comparable entities, subsequent rounds of financing, recapitalizations, and other transactions across the capital structure, offerings in equity or debt capital markets, and changes in current and projected financial ratios or cash flows.

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Debt Securities — Debt securities for which market quotations are readily available are valued daily on the basis of quotations supplied by dealers or an independent pricing service approved by the Trustees. The pricing services may use valuation models or matrix pricing, which consider: (i) yield or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date or (ii) quotations from securities dealers to determine current value. With the exception of treasury securities of G7 countries, which are generally classified as Level 1, these investments are generally classified as Level 2 of the fair value hierarchy.

i. Bank Loans — Bank loans (“Loans”) are interests in amounts owed by corporate, governmental, or other borrowers to lenders or lending syndicates. Loans are arranged through private negotiations between the borrower and one or more financial institutions (“Lenders”). A Fund’s investments in Loans are in the form of either participations in Loans (“Participations”) or assignments of all or a portion of Loans from third parties (“Assignments”). With respect to Participations, a Fund has the right to receive payments of principal, interest and any fees to which it is entitled from the Lender selling the Participations and only upon receipt by the Lender of the payments from the borrower. A Fund generally has no right to enforce compliance by the borrower with the terms of the loan agreement with respect to Participations. Conversely, assignments result in a Fund having a direct contractual relationship with the borrower, and the Fund may be permitted to enforce compliance by the borrower with the terms of the loan agreement.

The High Yield and High Yield Floating Rate Funds may also enter into certain credit arrangements, all or a portion of which may be unfunded. Unfunded loan commitments represent the remaining obligation of a Fund to the borrower. A Fund is obligated to fund these commitments at the borrower’s discretion. A Fund may receive a commitment fee based on the undrawn portion of the underlying line of credit of a loan. All loans and unfunded loan commitments involve interest rate risk, liquidity risk and credit risk, including the potential default or insolvency of the borrower. Loans, including unfunded loan commitments, are marked to market daily using pricing vendor quotations and the change in value, if any, is recorded as an unrealized gain or loss.

ii. Commercial Paper — Commercial paper normally represents short-term unsecured promissory notes issued in bearer form by banks or bank holding companies, corporations, finance companies and other issuers. Commercial paper consists of direct U.S. dollar-denominated obligations of domestic or foreign issuers. Asset-backed commercial paper is issued by a special purpose entity that is organized to issue the commercial paper and to purchase trade receivables or other financial assets.

iii. Mortgage-Backed and Asset-Backed Securities — Mortgage-backed securities represent direct or indirect participations in, or are collateralized by and payable from, mortgage loans secured by residential and/or commercial real estate property. Asset-backed securities include securities whose principal and interest payments are collateralized by pools of other assets or receivables. The value of certain mortgage-backed and asset-backed securities (including adjustable rate mortgage loans) may be particularly sensitive to changes in prevailing interest rates. The value of these securities may also fluctuate in response to the market’s perception of the creditworthiness of the issuers.

Asset-backed securities may present credit risks that are not presented by mortgage-backed securities because they generally do not have the benefit of a security interest in collateral that is comparable to mortgage assets. Some asset-backed securities may only have a subordinated claim on collateral.

Stripped mortgage-backed securities are usually structured with two different classes: one that receives substantially all interest payments (interest-only, or “IO” and/or high coupon rate with relatively low principal amount, or “IOette”), and the other that receives substantially all principal payments (principal-only, or “PO”) from a pool of mortgage loans. Little to no principal will be received at the maturity of an IO; as a result, periodic adjustments are recorded to reduce the cost of the security until maturity. These adjustments are included in interest income.

iv. Mortgage Dollar Rolls — Mortgage dollar rolls are transactions whereby a Fund sells mortgage-backed-securities and simultaneously contracts with the same counterparty to repurchase similar securities on a specified future date. During the settlement period, a Fund will not be entitled to accrue interest and receive principal payments on the securities sold. The Funds account for mortgage dollar roll transactions as purchases and sales and realize gains and losses on these transactions.

v. Structured Notes — The values of structured notes are based on the price movements of a reference security or index. Upon termination, a Fund will receive a payment from the issuer based on the value of the referenced instrument (notional amount multiplied by price of the referenced instrument) and record a realized gain or loss. Structured notes that are exchange traded are generally classified as Level 1 of the fair value hierarchy.


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

vi. Treasury Inflation Protected Securities — TIPS are treasury securities in which the principal amount is adjusted daily to keep pace with inflation, as measured by the U.S. Consumer Pricing Index for Urban Consumers. The repayment of the original bond principal upon maturity is guaranteed by the full faith and credit of the U.S. Government.

vii. When-Issued Securities and Forward Commitments — When-issued securities, including TBA (“To Be Announced”) securities, are securities that are authorized but not yet issued in the market and purchased in order to secure what is considered to be an advantageous price or yield to a Fund. A forward commitment involves entering into a contract to purchase or sell securities, typically on an extended settlement basis, for a fixed price at a future date. The purchase of securities on a when-issued or forward commitment basis involves a risk of loss if the value of the security to be purchased declines before the settlement date. Conversely, the sale of securities on a forward commitment basis involves the risk that the value of the securities sold may increase before the settlement date. Although a Fund will generally purchase securities on a when-issued or forward commitment basis with the intention of acquiring the securities for its portfolio, the Fund may dispose of when-issued securities or forward commitments prior to settlement, which may result in a realized gain or loss. For financial reporting purposes, cash collateral that has been pledged to cover obligations of a Fund and cash collateral received, if any, is reported separately on the Statements of Assets and Liabilities as receivables/payables for collateral on other investments. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments.

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

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

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

A forward foreign currency exchange contract is a forward contract in which a Fund agrees to receive or deliver a fixed quantity of one currency for another, at a pre-determined price at a future date. All forward foreign currency exchange contracts are marked-to-market daily at the applicable forward rate. Non-deliverable forward foreign currency exchange contracts are settled with the counterparty in cash without the delivery of foreign currency.

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

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

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

An interest rate swap is an agreement that obligates two parties to exchange a series of cash flows at specified intervals, based upon or calculated by reference to changes in interest rates on a specified notional principal amount. The payment flows are usually netted against each other, with the difference being paid by one party to the other.

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

As a seller of protection, a Fund generally receives a payment stream throughout the term of the swap, provided that there is no credit event. In addition, if a Fund sells protection through a credit default swap, a Fund could suffer a loss because the value of the referenced obligation and the premium payments received may be less than the notional amount of the swap paid to the buyer of protection. Upon the occurrence of a specified credit event, a Fund, as a seller of credit protection, may be required to take possession of the defaulted reference obligation and pay the buyer an amount equal to the notional amount of the swap in a physically settled trade. A Fund may also pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade. Recovery values are at times established through the credit event auction process in which market participants are ensured that a transparent price has been set for the defaulted security or obligation. In addition, a Fund is entitled to a return of any assets, which have been pledged as collateral to the counterparty upon settlement.

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

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

Secured Borrowings — Secured borrowings are valued at their contractual amounts, which approximate fair value, and are generally classified as Level 2 of the fair value hierarchy.

i. Reverse Repurchase Agreements — Reverse repurchase agreements involve the sale of securities held by a Fund subject to the Fund’s agreement to repurchase the securities at a mutually agreed upon date and net price (including interest), under the terms of a Master Repurchase Agreement (“MRA”). The gross value of reverse repurchase agreements is included in the Statements of Assets and Liabilities for financial reporting purposes.

When a Fund enters into a reverse repurchase agreement, it is required to deliver securities as collateral to the counterparty that exceed the value of the reverse repurchase agreement. During the term of a reverse repurchase agreement, the value of the underlying securities pledged as collateral on behalf of a Fund, including accrued interest, is required to exceed the value of the reverse repurchase agreement, including accrued interest. If the value of those securities pledged as collateral, including accrued interest, becomes less than the value of the reverse repurchase agreement, including accrued interest, a Fund will be obligated to deliver additional collateral to the buyer. If the buyer defaults on its commitment to sell back the securities, a Fund could suffer a loss to the extent that the amount borrowed


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

is less than the replacement cost of similar securities and the Fund’s costs associated with delay and enforcement of the reverse repurchase agreement. In addition, in the event of default or insolvency of the buyer, a court could determine that the Fund’s interest in the amount borrowed is not enforceable, resulting in additional losses to a Fund.

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 a Fund’s investments may be determined under Valuation Procedures approved by the Trustees. GSAM, consistent with its procedures and applicable regulatory guidance, may make an adjustment to the most recent valuation prices of either domestic or foreign securities in light of significant events to reflect what it believes to be the fair value of the securities at the time of determining a Fund’s NAV. To the extent investments are valued using single source broker quotations obtained directly from the broker or passed through from third party pricing vendors, such investments are classified as Level 3 investments. GSAM did not develop the unobservable inputs for the valuation of Level 3 Assets and Liabilities.

C. Fair Value Hierarchy — The following is a summary of the Funds’ investments and derivatives classified in the fair value hierarchy as of June 30, 2020:

 

                                                                    
EMERGING MARKETS DEBT           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Sovereign Debt Obligations

     $      $ 791,162,337      $  

Corporate Obligations

              296,199,901         

Investment Company

       65,203,767                
Total      $ 65,203,767      $ 1,087,362,238      $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 4,068,230      $  

Futures Contracts

       1,130,472                

Interest Rate Swap Contracts

              2,832,922         

Credit Default Swap Contracts

              1,689,457         
Total      $ 1,130,472      $ 8,590,609      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (14,894,286    $  

Futures Contracts

       (83,486              

Interest Rate Swap Contracts

              (1,807,576       

Credit Default Swap Contracts

              (3,338,739       
Total      $ (83,486    $ (20,040,601    $  

 

                                                                    
HIGH YIELD           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Bank Loans

     $      $ 23,131,699      $  

Corporate Obligations

              1,855,175,879         

Structured Note

              1,419,600         

Common Stock and/or Other Equity Investments

          

North America

              1,808,400         

Unfunded Loan Commitment(a)

              262         
Total      $      $ 1,881,535,840      $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 67,305      $  

Futures Contracts

       1,319,475                

Credit Default Swap Contracts

              3,439,487         
Total      $ 1,319,475      $ 3,506,792      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (517,051    $  

Futures Contracts

       (59,586              
Total      $ (59,586    $ (517,051    $  

 

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
HIGH YIELD FLOATING RATE           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Bank Loans

     $      $ 1,114,972,900      $ 14,324,921  

Corporate Obligations

              68,811,519         

Asset-Backed Securities

              9,959,325         

Common Stock and/or Other Equity Investments

          

North America

       602,575        204,250         

Warrants

                     40,687  

Exchange Traded Funds

       24,822,828                

Investment Company

       12,938,071                
Total      $ 38,363,474      $ 1,193,947,994      $ 14,365,608  
Liabilities(a)           

Unfunded Loan Commitments

     $      $ (11,417    $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 81,125      $  

Credit Default Swap Contracts

              589,224         

Total Return Swap Contracts

              517,011         
Total      $      $ 1,187,360      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (1,101,363    $  

Futures Contracts

       (115,689              
Total      $ (115,689    $ (1,101,363    $  

The following is a reconciliation of Level 3 investments for the period ended June 30, 2020:

 

        Bank Loans      Warrant  

Beginning Balance as of April 1, 2020

     $ 96,748,223      $ 40,687  

Realized gain (loss)

       (5,615,644       

Net change in unrealized gain (loss) relating to instruments still held at reporting date

       2,292,971        40,687  

Purchases

       3,611,250         

Sales

       (1,907,099       

Amortization

       22,032         

Transfers into Level 3

       4,279,164         

Transfers out of Level 3

       (85,105,976       

Ending Balance as of June 30, 2020

     $ 14,324,921      $ 40,687  
       

 

                                                                    
INVESTMENT GRADE CREDIT           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Corporate Obligations

     $      $    552,238,549      $  

Foreign Debt Obligations

              20,802,900         

Municipal Debt Obligations

              4,525,183         

U.S. Treasury Obligations

       1,027,797                

Investment Company

       28,769,145                
Total      $ 29,796,942      $ 577,566,632      $  
Derivative Type                          
Assets(a)           

Futures Contracts

     $ 719,350      $      $  

Interest Rate Swap Contracts

              41,898         

Credit Default Swap Contracts

              378,423         

Total Return Swap Contracts

              72,519         
Total      $ 719,350      $ 492,840      $  
Liabilities           

Forward Foreign Currency Exchange Contracts(a)

     $      $ (99,041    $  

Futures Contracts(a)

       (202,166              

Interest Rate Swap Contracts(a)

              (40,210       

Credit Default Swap Contracts(a)

              (468,559       

Written option contracts

              (170,483       
Total      $ (202,166    $ (778,293    $  

 

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
LOCAL EMERGING MARKETS DEBT           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Sovereign Debt Obligations

     $      $ 57,476,875      $  

Corporate Obligations

              4,177,992         

Structured Notes

              6,513,846         

U.S. Treasury Obligations

       156,447                

Investment Company

       6,588,037                
Total      $         6,744,484      $ 68,168,713      $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 1,542,373      $  

Futures Contracts

       63,279                

Interest Rate Swap Contracts

              1,560,470         

Credit Default Swap Contracts

              46,523         
Total      $ 63,279      $ 3,149,366      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (1,264,844    $  

Futures Contracts

       (97,762              

Interest Rate Swap Contracts

              (432,607       

Credit Default Swap Contracts

              (103,538       
Total      $ (97,762    $ (1,800,989    $  
U.S. MORTGAGES           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Mortgage-Backed Obligations

     $      $ 484,740,302      $  

Asset-Backed Securities

              35,124,680         

Municipal Debt Obligation

              896,480         

U.S. Treasury Obligations

             55,488,450                
Total      $ 55,488,450      $ 520,761,462      $  
Liabilities           

Fixed Income

          

Mortgage-Backed Obligations — Forward Sales Contracts

     $      $ (16,092,825    $  
Total      $      $ (16,092,825    $  
Derivative Type                          
Assets(a)           

Interest Rate Swap Contracts

     $      $ 27,868      $  

Credit Default Swap Contracts

              146,098         
Total      $      $ 173,966      $  
Liabilities           

Futures Contracts(a)

     $ (132,147    $      $  

Interest Rate Swap Contracts(a)

              (23,239       

Credit Default Swap Contracts(a)

              (1,418,211       

Written option contracts

              (167,544       
Total      $ (132,147    $ (1,608,994    $  

 

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

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

Credit/Default Risk — An issuer or guarantor of a security held by the Fund, or a bank or other financial institution that has entered into a repurchase agreement with the Fund, may default on its obligation to pay interest and repay principal or default on any other obligation. Additionally, the credit quality of securities may deteriorate rapidly, which may impair the Fund’s liquidity and cause significant deterioration in NAV.

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

Floating and Variable Rate Obligations Risk — Floating rate and variable rate obligations are debt instruments issued by companies or other entities with interest rates that reset periodically (typically, daily, monthly, quarterly, or semiannually) in response to changes in the market rate of interest on which the interest rate is based. For floating and variable rate obligations, there may be a lag between an actual change in the underlying interest rate benchmark and the reset time for an interest payment of such an obligation, which could harm or benefit the Fund, depending on the interest rate environment or other circumstances. In a rising interest rate environment, for example, a floating or variable rate obligation that does not reset immediately would prevent the Fund from taking full advantage of rising interest rates in a timely manner. However, in a declining interest rate environment, the Fund may benefit from a lag due to an obligation’s interest rate payment not being immediately impacted by a decline in interest rates. In 2017, the United Kingdom’s Financial Conduct Authority (“FCA”) warned that LIBOR may cease to be available or appropriate for use by 2021. The unavailability or replacement of LIBOR may affect the value, liquidity or return on certain Fund investments and may result in costs incurred in connection with closing out positions and entering into new trades. Any pricing adjustments to the Fund’s investments resulting from a substitute reference rate may also adversely affect the Fund’s performance and/or NAV.

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

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. The imposition of exchange controls (including repatriation restrictions), confiscation of assets and property, trade restrictions (including tariffs) and other government restrictions by the United States or other governments, or from problems in share registration, settlement or custody, may also result in losses. Foreign risk also involves the risk of negative foreign currency rate fluctuations, which may cause the value of securities denominated in such foreign currency (or other instruments through which the Fund has exposure to foreign currencies) to decline in value. Currency exchange rates may fluctuate significantly over short periods of time. To the extent that the Funds also invest in securities of issuers located in emerging markets, these risks may be more pronounced.

Geographic Risk — If a Fund focuses its investments in securities of issuers located in a particular country or geographic region, the Fund may be subjected, to a greater extent than if its investments were less focused, to the risks of volatile economic cycles and/or conditions and developments that may be particular to that country or region, such as: adverse securities markets; adverse exchange rates; adverse social, political, regulatory, economic, business, environmental or other developments; or natural disasters.

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

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

Leverage Risk — Leverage creates exposure to potential gains and losses in excess of the initial amount invested. Borrowing and the use of derivatives may result in leverage and may make a Fund more volatile. When a Fund uses leverage, the sum of that Fund’s investment exposure may significantly exceed the amount of assets invested in the Fund, although these exposures may vary over time. Relatively small market movements may result in large changes in the value of a leveraged investment. A Fund will identify liquid assets on its books or otherwise cover transactions that may give rise to such risk, to the extent required by applicable law. The use of leverage may cause a Fund to liquidate portfolio positions to satisfy its obligations or to meet segregation requirements when it may not be advantageous to do so. The use of leverage by a Fund can substantially increase the adverse impact to which the Fund’s investment portfolio may be subject.

Liquidity Risk — A Fund may make investments that are illiquid or that may become less liquid in response to market developments or adverse investor perceptions. Illiquid investments may be more difficult to value. Liquidity risk may also refer to the risk that a Fund will not be able to pay redemption proceeds within the allowable time period or without significant dilution to remaining investors’ interests because of unusual market conditions, an unusually high volume of redemption requests, or other reasons. To meet redemption requests, a Fund may be forced to sell investments at an unfavorable time and/or under unfavorable conditions. If a Fund is forced to sell securities at an unfavorable time and/or under unfavorable conditions, such sales may adversely affect Fund’s NAV and dilute remaining investors’ interests. Liquidity risk may be the result of, among other things, the reduced number and capacity of traditional market participants to make a market in fixed income securities or the lack of an active market. The potential for liquidity risk may be magnified by a rising interest rate environment or other circumstances where investor redemptions from fixed income mutual funds may be higher than normal, potentially causing increased supply in the market due to selling activity. These risks may be more pronounced in connection with the Funds’ investments in securities of issuers located in emerging market countries. Redemptions by large shareholders may have a negative impact on a Fund’s liquidity.

Loan-Related Investments Risk — In addition to risks generally associated with debt investments (e.g., interest rate and default risk), loan-related investments such as loan participations and assignments are subject to other risks. Although a loan obligation may be fully collateralized at the time of acquisition, the collateral may decline in value, be relatively illiquid, or lose all or substantially all of its value subsequent to investment. Many loan investments are subject to legal or contractual restrictions on resale and certain loan investments may be or become illiquid or less liquid and more difficult to value, particularly in the event of a downgrade of the loan or the borrower. There is less readily available, reliable information about most loan investments than is the case for many other types of securities. Substantial increases in interest rates may cause an increase in loan obligation defaults. With respect to loan participations, the Fund may not always have direct recourse against a borrower if the borrower fails to pay scheduled principal and/or interest; may be subject to greater delays, expenses and risks than if the Fund had purchased a direct obligation of the borrower; and may be regarded as the creditor of the agent lender (rather than the borrower), subjecting the Fund to the creditworthiness of that lender as well. Investors in loans, such as the Fund, may not be entitled to rely on the anti-fraud protections of the federal securities laws, although they may be entitled to certain contractual remedies. The market for loan obligations may be subject to irregular trading activity, wide bid/ask spreads and extended trade settlement periods. Because transactions in many loans are subject to extended trade settlement periods, the Fund may not receive the proceeds from the sale of a loan for a period after the sale. As a result, sale proceeds related to the sale of loans may not be available to make additional investments or to meet the Fund’s redemption obligations for a period after the sale of the loans, and, as a result, the Fund may have to sell other investments or engage in borrowing transactions, such as borrowing from its credit facility, if necessary to raise cash to meet its obligations.


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2020 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Senior Loans hold the most senior position in the capital structure of a business entity, and are typically secured with specific collateral, but are nevertheless usually rated below investment grade. Because Second Lien Loans are subordinated or unsecured and thus lower in priority of payment to Senior Loans, they are subject to the additional risk that the cash flow of the borrower and property securing the loan or debt, if any, may be insufficient to meet scheduled payments after giving effect to the senior secured obligations of the borrower. Second Lien Loans generally have greater price volatility than Senior Loans and may be less liquid.

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

Non-Diversification Risk — Each of the Emerging Markets Debt Fund and Local Emerging Markets Debt Fund is non-diversified, meaning that they are permitted to invest a larger percentage of their assets in fewer issuers than diversified mutual funds. Thus, a Fund may be more susceptible to adverse developments affecting any single issuer held in its portfolio, and may be more susceptible to greater losses because of these developments.

Sector Risk — To the extent a Fund focuses its investments in securities of issuers in one or more sectors (such as the financial services or telecommunications sectors), the Fund may be subjected, to a greater extent than if its investments were diversified across different sectors, to the risks of volatile economic cycles and/or conditions and developments that may be particular to that sector, such as: adverse economic, business, political, environmental or other developments.