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GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 99.2%
 

Automobiles & Components – 2.1%

  49,100      Autoliv, Inc.   $       4,208,852
  58,819      Gentex Corp.   1,939,851
  6,000      Lear Corp.   938,880
  12,300      QuantumScape Corp.*   301,842
  68,840      Tesla, Inc.*   53,384,043
    

 

  60,773,468

 

 

 

Banks – 4.7%

  114,200      Bank of America Corp.   4,847,790
  16,600      Credicorp Ltd.   1,841,604
  240,200      First Horizon Corp.   3,912,858
  177,300      FNB Corp.   2,060,226
  1,012,100      Huntington Bancshares, Inc.   15,647,066
  269,929      JPMorgan Chase & Co.(a)(b)   44,184,678
  31,699      New York Community Bancorp, Inc.(b)   407,966
  148,700      PacWest Bancorp   6,739,084
  939,299      People’s United Financial, Inc.(b)   16,409,554
  37,300      PNC Financial Services Group, Inc. (The)   7,297,372
  222,600      Truist Financial Corp.   13,055,490
  416,600      Umpqua Holdings Corp.   8,436,150
  96,800      US Bancorp   5,753,792
  145,000      Wells Fargo & Co.   6,729,450
    

 

  137,323,080

 

 

 

Capital Goods – 5.9%

  126,668      3M Co.   22,220,101
  73,387      Caterpillar, Inc.   14,088,102
  865      Crane Co.   82,011
  38,462      Cummins, Inc.   8,637,027
  83,662      Eaton Corp. plc   12,491,573
  82,661      Emerson Electric Co.   7,786,666
  126,498      Fastenal Co.   6,528,562
  71,124      Honeywell International, Inc.   15,098,203
  14,822      Hubbell, Inc.   2,677,891
  72,450      Illinois Tool Works, Inc.   14,970,343
  82,734      Lockheed Martin Corp.   28,551,503
  84,100      MSC Industrial Direct Co., Inc. Class A   6,743,979
  7,943      nVent Electric plc   256,797
  23,800      Plug Power, Inc.*   607,852
  272,430      Raytheon Technologies Corp.   23,418,083
  30,300      Sunrun, Inc.*   1,333,200
  9,652      Timken Co. (The)   631,434
  4,900      Virgin Galactic Holdings, Inc.*   123,970
  27,699      Watsco, Inc.   7,329,709
    

 

  173,577,006

 

 

 

Commercial & Professional Services – 0.1%

  16,200      ManpowerGroup, Inc.   1,754,136

 

 

 

Consumer Durables & Apparel – 1.0%

  2,433      Capri Holdings Ltd.*   117,781
  2,600      Deckers Outdoor Corp.*   936,520
  41,103      Garmin Ltd.   6,389,556
  6,827      Lennar Corp. Class B   529,707
  1,037      Lululemon Athletica, Inc.*   419,674
  124,000      NIKE, Inc. Class B   18,008,520
  5,200      Peloton Interactive, Inc. Class A*   452,660
  2,000      Skechers USA, Inc. Class A*   84,240
  21,676      Tempur Sealy International, Inc.   1,005,983

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Consumer Durables & Apparel – (continued)

  45,420      Toll Brothers, Inc.   $       2,511,272
  1,700      TopBuild Corp.*   348,177
    

 

  30,804,090

 

 

 

Consumer Services – 0.9%

  11,871      Aramark   390,081
  7,800      Bright Horizons Family Solutions, Inc.*   1,087,476
  7,900      Chegg, Inc.*   537,358
  3,627      Choice Hotels International, Inc.   458,344
  181,100      H&R Block, Inc.   4,527,500
  11,719      Hyatt Hotels Corp. Class A*   903,535
  46,000      Mister Car Wash, Inc.*   839,500
  15,465      Planet Fitness, Inc. Class A*   1,214,776
  30,800      Six Flags Entertainment Corp.*   1,309,000
  93,400      Starbucks Corp.   10,302,954
  68,700      Travel + Leisure Co.   3,746,211
  14,277      Wendy’s Co. (The)   309,525
  14,043      Wyndham Hotels & Resorts, Inc.   1,083,979
    

 

  26,710,239

 

 

 

Diversified Financials – 3.9%

  65,098      Ally Financial, Inc.   3,323,253
  61,260      American Express Co.   10,262,888
  113,900      Apollo Global Management, Inc.   7,015,101
  107,300      Ares Management Corp.   7,921,959
  66,126      Berkshire Hathaway, Inc. Class B*   18,048,430
  13,500      BlackRock, Inc.   11,321,910
  28,900      Carlyle Group, Inc. (The)   1,366,392
  138,200      Equitable Holdings, Inc.   4,096,248
  227,800      Franklin Resources, Inc.   6,770,216
  79,100      Janus Henderson Group plc   3,269,203
  5,800      Jefferies Financial Group, Inc.   215,354
  222,164      Morgan Stanley   21,618,779
  18,800      OneMain Holdings, Inc.   1,040,204
  23,300      Santander Consumer USA Holdings, Inc.   971,610
  65,200      T. Rowe Price Group, Inc.   12,824,840
  1,300      Upstart Holdings, Inc.*   411,372
  120,000      Virtu Financial, Inc. Class A   2,931,600
    

 

  113,409,359

 

 

 

Energy – 1.9%

  237,098      Chevron Corp.   24,053,592
  111,000      ConocoPhillips   7,522,470
  395,119      Exxon Mobil Corp.(b)   23,240,900
    

 

  54,816,962

 

 

 

Food & Staples Retailing – 0.5%

  222,000      Walgreens Boots Alliance, Inc.   10,445,100
  38,141      Walmart, Inc.   5,316,092
    

 

  15,761,192

 

 

 

Food, Beverage & Tobacco – 3.4%

  572,400      Coca-Cola Co. (The)(a)   30,033,828
  86,800      Coca-Cola Europacific Partners plc   4,799,172
  93,600      Flowers Foods, Inc.   2,211,768
  144,834      General Mills, Inc.   8,663,970
  6,100      Keurig Dr Pepper, Inc.   208,376

 

 

 

GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Food, Beverage & Tobacco – (continued)

  282,100      Kraft Heinz Co. (The)   $     10,386,922
  151,782      PepsiCo, Inc.   22,829,530
  223,154      Philip Morris International, Inc.   21,152,768
    

 

     100,286,334

 

 

 

Health Care Equipment & Services – 5.4%

  154,142      Abbott Laboratories   18,208,794
  8,000      Align Technology, Inc.*   5,323,440
  18,679      Anthem, Inc.   6,963,531
  162,600      Cardinal Health, Inc.   8,042,196
  43,300      Cigna Corp.   8,666,928
  125,878      CVS Health Corp.   10,682,007
  15,600      Danaher Corp.   4,749,264
  8,800      DexCom, Inc.*   4,812,368
  8,500      Insulet Corp.*   2,415,955
  5,800      Intuitive Surgical, Inc.*   5,766,070
  273,653      Medtronic plc   34,302,404
  3,000      Novocure Ltd.*   348,510
  3,241      Penumbra, Inc.*   863,726
  56,740      Stryker Corp.   14,963,473
  700      Tandem Diabetes Care, Inc.*   83,566
  78,177      UnitedHealth Group, Inc.(a)   30,546,881
    

 

     156,739,113

 

 

 

Household & Personal Products – 1.4%

  97,998      Kimberly-Clark Corp.   12,978,855
  195,798      Procter & Gamble Co. (The)(a)   27,372,560
  11,000      Reynolds Consumer Products, Inc.   300,740
    

 

     40,652,155

 

 

 

Insurance – 2.6%

  13,100      Axis Capital Holdings Ltd.   603,124
  21,400      CNA Financial Corp.   897,944
  1,800      Erie Indemnity Co. Class A   321,156
  144,400      Fidelity National Financial, Inc.   6,547,096
  42,800      First American Financial Corp.   2,869,740
  221,899      Mercury General Corp.   12,353,117
  570,806      Old Republic International Corp.   13,202,743
  152,399      Principal Financial Group, Inc.   9,814,496
  245,100      Prudential Financial, Inc.   25,784,520
  164,400      Unum Group   4,119,864
    

 

     76,513,800

 

 

 

Materials – 3.2%

  55,126      Air Products and Chemicals, Inc.   14,118,320
  875,000      Amcor plc   10,141,250
  2,203      Ashland Global Holdings, Inc.   196,237
  258,000      Huntsman Corp.   7,634,220
  49,700      International Flavors & Fragrances, Inc.   6,645,884
  204,999      International Paper Co.   11,463,544
  58,119      Linde plc   17,050,952
  63,280      Newmont Corp.   3,436,104
  35,000      Packaging Corp. of America   4,810,400
  1,599      Reliance Steel & Aluminum Co.   227,730
  24,900      Sonoco Products Co.   1,483,542
  243,100      Southern Copper Corp.   13,647,634
  36,303      Steel Dynamics, Inc.   2,122,999
    

 

     92,978,816

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Media & Entertainment – 9.1%

  29,168      Alphabet, Inc. Class A*(a)   $     77,981,231
  12,466      Alphabet, Inc. Class C*(a)   33,225,754
  344,619      Comcast Corp. Class A   19,274,541
  191,894      Facebook, Inc. Class A*   65,126,905
  277,202      Interpublic Group of Cos., Inc. (The)   10,165,118
  29,923      Netflix, Inc.*   18,263,204
  176,900      Omnicom Group, Inc.   12,818,174
  30,800      Pinterest, Inc. Class A*   1,569,260
  928      Roku, Inc.*   290,789
  64,900      Skillz, Inc.*   637,318
  27,300      Snap, Inc. Class A*   2,016,651
  125,050      Walt Disney Co. (The)*   21,154,709
  21,775      Zillow Group, Inc. Class A*   1,928,829
  21,502      Zillow Group, Inc. Class C*   1,895,186
    

 

     266,347,669

 

 

 

Pharmaceuticals, Biotechnology & Life Sciences – 7.7%

  8,500      10X Genomics, Inc. Class A*   1,237,430
  279,286      AbbVie, Inc.(a)   30,126,581
  21,300      Adaptive Biotechnologies Corp.*   723,987
  845      Alnylam Pharmaceuticals, Inc.*   159,544
  49,202      Amgen, Inc.   10,462,805
  355,801      Bristol-Myers Squibb Co.(a)   21,052,745
  56,878      Eli Lilly & Co.   13,141,662
  2,608      Exact Sciences Corp.*   248,934
  209,994      Gilead Sciences, Inc.   14,668,081
  5,100      Iovance Biotherapeutics, Inc.*   125,766
  212,934      Johnson & Johnson   34,388,841
  2,200      Maravai LifeSciences Holdings, Inc.
Class A*
  107,976
  414,453      Merck & Co., Inc.   31,129,565
  29,085      Moderna, Inc.*   11,193,653
  900      Natera, Inc.*   100,296
  1,300      Novavax, Inc.*   269,503
  944,406      Pfizer, Inc.   40,618,831
  10,500      Repligen Corp.*   3,034,395
  487      Seagen, Inc.*   82,693
  23,701      Thermo Fisher Scientific, Inc.   13,538,303
    

 

     226,411,591

 

 

 

Real Estate Investment Trusts – 2.4%

  80,291      American Homes 4 Rent Class A   3,060,693
  44,401      American Tower Corp.   11,784,470
  3,320      Brixmor Property Group, Inc.   73,405
  14,887      Camden Property Trust   2,195,386
  3,658      Cousins Properties, Inc.   136,407
  39,200      Crown Castle International Corp.   6,794,144
  7,800      CubeSmart   377,910
  1,403      EPR Properties   69,280
  11,600      Equinix, Inc.   9,165,508
  23,100      Equity LifeStyle Properties, Inc.   1,804,110
  7,366      Gaming and Leisure Properties, Inc.   341,193
  1,826      Healthcare Trust of America, Inc. Class A   54,159
  90,500      Invitation Homes, Inc.   3,468,865
  5,566      National Retail Properties, Inc.   240,329
  8,383      Park Hotels & Resorts, Inc.*   160,451
  90,627      Prologis, Inc.   11,367,345
  31,100      SBA Communications Corp.   10,280,727
  1,781      Spirit Realty Capital, Inc.   81,997

 

 

 

GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Real Estate Investment Trusts – (continued)

  12,591      STORE Capital Corp.   $          403,290
  29,993      Sun Communities, Inc.   5,551,704
  27,532      VEREIT, Inc.   1,245,272
  10,400      VICI Properties, Inc.   295,464
    

 

     68,952,109

 

 

 

Retailing – 7.2%

  35,286      Amazon.com, Inc.*(a)   115,915,921
  68,600      Best Buy Co., Inc.   7,251,706
  3,907      Burlington Stores, Inc.*   1,107,908
  3,275      Carvana Co.*   987,543
  300      Chewy, Inc. Class A*   20,433
  31,700      Dick’s Sporting Goods, Inc.   3,796,709
  2,400      DoorDash, Inc. Class A*   494,352
  4,100      Farfetch Ltd. Class A*   153,668
  1,981      Five Below, Inc.*   350,261
  1,700      Floor & Decor Holdings, Inc. Class A*   205,343
  118,176      Home Depot, Inc. (The)   38,792,454
  300      Lithia Motors, Inc.   95,112
  86,599      Lowe’s Cos., Inc.   17,567,473
  918      MercadoLibre, Inc.*   1,541,689
  10,700      Penske Automotive Group, Inc.   1,076,420
  237,400      Qurate Retail, Inc. Series A   2,419,106
  56,615      Target Corp.   12,951,814
  10,900      Vroom, Inc.*   240,563
  6,162      Wayfair, Inc. Class A*(c)   1,574,453
  16,500      Williams-Sonoma, Inc.   2,925,945
    

 

     209,468,873

 

 

 

Semiconductors & Semiconductor Equipment – 6.3%

  107,917      Advanced Micro Devices, Inc.*   11,104,659
  72,000      Analog Devices, Inc.   12,058,560
  78,600      Applied Materials, Inc.   10,118,178
  56,690      Broadcom, Inc.   27,490,682
  1,100      Cree, Inc.*   88,803
  356,609      Intel Corp.   19,000,128
  24,453      Lam Research Corp.   13,917,425
  46,701      Marvell Technology, Inc.   2,816,537
  210,800      NVIDIA Corp.   43,669,328
  116,997      QUALCOMM, Inc.   15,090,273
  1,600      SolarEdge Technologies, Inc.*   424,352
  144,350      Texas Instruments, Inc.(a)   27,745,513
    

 

     183,524,438

 

 

 

Software & Services – 14.4%

  52,800      Accenture plc Class A   16,891,776
  30,591      Adobe, Inc.*   17,611,851
  9,000      Alteryx, Inc. Class A*   657,900
  4,300      Anaplan, Inc.*   261,827
  27,608      Automatic Data Processing, Inc.   5,519,391
  4,000      Avalara, Inc.*   699,080
  2,200      Bill.com Holdings, Inc.*   587,290
  13,500      Cloudflare, Inc. Class A*   1,520,775
  12,300      Coupa Software, Inc.*   2,695,914
  18,100      Crowdstrike Holdings, Inc. Class A*   4,448,618
  14,700      Datadog, Inc. Class A*   2,077,845
  13,268      DocuSign, Inc.*   3,415,581
  24,900      Dynatrace, Inc.*   1,767,153
  5,500      Everbridge, Inc.*   830,720
  5,400      Fastly, Inc. Class A*   218,376

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Software & Services – (continued)

  2,500      Five9, Inc.*   $          399,350
  9,500      HubSpot, Inc.*   6,422,855
  234,201      International Business Machines Corp.   32,537,545
  16,900      Intuit, Inc.   9,117,719
  62,200      Mastercard, Inc. Class A   21,625,696
  600      Medallia, Inc.*   20,322
  586,733      Microsoft Corp.(a)(b)   165,411,767
  2,722      MongoDB, Inc.*   1,283,450
  6,827      Okta, Inc.*   1,620,320
  72,500      Palantir Technologies, Inc. Class A*   1,742,900
  140,700      Paychex, Inc.   15,821,715
  94,300      PayPal Holdings, Inc.*   24,537,803
  1,800      RingCentral, Inc. Class A*   391,500
  75,135      salesforce.com, Inc.*   20,378,115
  16,762      ServiceNow, Inc.*   10,430,490
  8,200      Smartsheet, Inc. Class A*   564,324
  7,800      Snowflake, Inc. Class A*   2,358,954
  29,900      SolarWinds Corp.   500,227
  8,910      Square, Inc. Class A*   2,136,975
  34,000      Trade Desk, Inc. (The) Class A*   2,390,200
  9,500      Twilio, Inc. Class A*   3,030,975
  7,400      Unity Software, Inc.*   934,250
  117,555      Visa, Inc. Class A   26,185,376
  511,299      Western Union Co. (The)   10,338,466
  1,200      Zendesk, Inc.*   139,668
  1,800      Zoom Video Communications, Inc.
Class A*
  470,700
  11,000      Zscaler, Inc.*   2,884,420
    

 

     422,880,179

 

 

 

Technology Hardware & Equipment – 7.6%

  1,284,856      Apple, Inc.(a)(b)   181,807,124
  41,800      Avnet, Inc.   1,545,346
  517,448      Cisco Systems, Inc.(a)   28,164,694
  82,730      National Instruments Corp.   3,245,498
  60,500      TE Connectivity Ltd.   8,301,810
    

 

     223,064,472

 

 

 

Telecommunication Services – 2.5%

  1,340,528      AT&T, Inc.(a)   36,207,661
  674,302      Verizon Communications, Inc.(b)   36,419,051
    

 

     72,626,712

 

 

 

Transportation – 1.7%

  17,224      Lyft, Inc. Class A*   923,034
  29,646      Norfolk Southern Corp.   7,092,805
  55,000      Ryder System, Inc.   4,549,050
  18,882      Uber Technologies, Inc.*   845,914
  100,462      Union Pacific Corp.   19,691,557
  88,698      United Parcel Service, Inc. Class B   16,151,906
    

 

     49,254,266

 

 

 

Utilities – 3.3%

  182,200      Consolidated Edison, Inc.   13,225,898
  111,097      Dominion Energy, Inc.   8,112,303
  199,700      Duke Energy Corp.   19,488,723
  210,300      OGE Energy Corp.   6,931,488
  847,601      PPL Corp.   23,631,116
  37,000      Sempra Energy   4,680,500

 

 

 

GOLDMAN SACHS U.S. EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Utilities – (continued)

  316,501      Southern Co. (The)   $     19,613,567
    

 

     95,683,595

 

 

 
TOTAL COMMON STOCKS
(Cost $2,039,621,234)
  $2,900,313,654

 

 

Shares      Dividend
Rate
  Value
  Investment Company(d) – 1.1%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  33,137,656      0.026%   $     33,137,656
  (Cost $33,137,656)

 

 

 


TOTAL INVESTMENTS BEFORE SECURITIES

LENDING REINVESTMENT VEHICLE
(Cost $2,072,758,890)

  $2,933,451,310

 

 

    
  Securities Lending Reinvestment Vehicle(d) – 0.0%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  1,327,200      0.026%   $       1,327,200
  (Cost $1,327,200)

 

 

 
TOTAL INVESTMENTS – 100.3%
(Cost $2,074,086,090)
  $2,934,778,510

 

 

 
LIABILITIES IN EXCESS OF
    OTHER ASSETS – (0.3)%
  (8,939,229)

 

 

  NET ASSETS – 100.0%   $2,925,839,281

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Security is currently in default and/or non-income producing.
(a)   All or a portion of security is segregated as collateral for call options written.
(b)   All or a portion of security is segregated as collateral for initial margin requirements on futures transactions.
(c)   All or a portion of security is on loan.
(d)   Represents an Affiliated Issuer.

 

 

Currency Abbreviation:
USD  

— United States Dollar

 

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. EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At September 30, 2021, the Fund had the following futures contracts:

 

Description      Number of
Contracts
      

Expiration

Date

       Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

S&P 500 E-Mini Index

       88          12/17/2021        $ 18,910,100        $ (594,615

 

 

WRITTEN OPTIONS CONTRACTS — At September 30, 2021, the Fund had the following written options contracts:

EXCHANGE TRADED INDEX OPTIONS

 

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

 

 

Written options contracts:

 

   

Calls

 

   

S&P 500 Index

    4,390     USD     12/31/2021     811   $ (349,341,494   $ (10,332,140   $ (9,089,242   $ (1,242,898
    4,440     USD     10/29/2021     886     (381,648,044     (2,321,320     (9,349,208     7,027,888  
    4,560     USD     11/30/2021     890     (383,371,060     (1,477,400     (9,116,929     7,639,529  

 

 

Total written options contracts

 

  2,587     $ (14,130,860   $ (27,555,379   $ 13,424,519  

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 98.9%
 

Australia – 8.6%

  1,244      Afterpay Ltd. (Software & Services)*   $          108,073
  52,943      AGL Energy Ltd. (Utilities)   218,638
  51,152      APA Group (Utilities)   318,616
  2,405      ASX Ltd. (Diversified Financials)   138,855
  462,911      Aurizon Holdings Ltd. (Transportation)   1,253,304
  58,793      AusNet Services Ltd. (Utilities)   106,419
  26,727      BHP Group Ltd. (Materials)   713,821
  5,805      BHP Group plc (Materials)   146,253
  10,024      CIMIC Group Ltd. (Capital Goods)   140,017
  23,965      Coles Group Ltd. (Food & Staples Retailing)   291,103
  27,180      Commonwealth Bank of Australia (Banks)   2,017,037
  809      CSL Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   169,025
  80,273      Fortescue Metals Group Ltd. (Materials)   855,069
  24,786      Magellan Financial Group Ltd. (Diversified Financials)   622,147
  181,654      Medibank Pvt Ltd. (Insurance)   463,802
  121,850      National Australia Bank Ltd. (Banks)   2,403,008
  14,680      Rio Tinto Ltd. (Materials)   1,045,084
  11,619      Rio Tinto plc (Materials)   761,650
  37,882      Rio Tinto plc ADR (Materials)(a)(b)(c)   2,531,276
  9,879      Sonic Healthcare Ltd. (Health Care Equipment & Services)   285,495
  24,555      Wesfarmers Ltd. (Retailing)   976,636
    

 

     15,565,328

 

 

 

Belgium – 1.4%

  27,782      Ageas SA/NV (Insurance)(b)   1,375,777
  1,987      Anheuser-Busch InBev SA/NV (Food, Beverage & Tobacco)   112,697
  57,166      Proximus SADP (Telecommunication Services)(b)   1,134,430
    

 

     2,622,904

 

 

 

Brazil – 0.2%

  6,050      Yara International ASA (Materials)   299,694

 

 

 

China – 0.2%

  4,910      Prosus NV (Retailing)*   393,002

 

 

 

Denmark – 2.2%

  1,065      Ambu A/S Class B (Health Care Equipment & Services)   31,494
  6,158      Coloplast A/S Class B (Health Care Equipment & Services)   962,741
  25,296      Novo Nordisk A/S Class B (Pharmaceuticals, Biotechnology & Life Sciences)   2,438,270
  7,861      Tryg A/S (Insurance)   178,200
  7,445      Vestas Wind Systems A/S (Capital Goods)   298,612
    

 

     3,909,317

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Finland – 3.8%

  7,106      Kone OYJ Class B (Capital Goods)   $          498,964
  50,367      Neles OYJ (Capital Goods)   691,360
  7,263      Neste OYJ (Energy)   409,723
  298,364      Nordea Bank Abp (Banks)   3,844,803
  4,735      Orion OYJ Class B (Pharmaceuticals, Biotechnology & Life Sciences)   187,462
  26,278      Sampo OYJ Class A (Insurance)(b)   1,299,206
    

 

     6,931,518

 

 

 

France – 9.9%

  11,263      Airbus SE (Capital Goods)*   1,493,203
  2,983      BNP Paribas SA (Banks)   190,854
  12,106      Bouygues SA (Capital Goods)   500,794
  2,794      Capgemini SE (Software & Services)(b)   579,411
  131,614      Credit Agricole SA (Banks)(b)   1,809,093
  21,499      Danone SA (Food, Beverage & Tobacco)(b)   1,465,758
  3,705      Dassault Systemes SE (Software & Services)   194,978
  8,725      Edenred (Software & Services)   469,688
  1,617      Kering SA (Consumer Durables &
Apparel)(b)
  1,148,492
  2,385      L’Oreal SA (Household & Personal Products)(b)   986,923
  4,118      LVMH Moet Hennessy Louis Vuitton SE (Consumer Durables & Apparel)(b)   2,949,576
  4,048      Orange SA (Telecommunication Services)   43,779
  2,445      Pernod Ricard SA (Food, Beverage & Tobacco)   539,032
  3,677      Publicis Groupe SA (Media & Entertainment)   247,013
  3,760      Safran SA (Capital Goods)   475,567
  22,801      Sanofi (Pharmaceuticals, Biotechnology & Life Sciences)   2,194,917
  40,614      TotalEnergies SE (Energy)(b)   1,941,266
  1,533      Unibail-Rodamco-Westfield (REIT)*   112,830
  2,233      Valeo (Automobiles & Components)   62,318
  2,177      Vinci SA (Capital Goods)   226,427
  21,606      Vivendi SE (Media & Entertainment)(b)   272,018
  2,168      Worldline SA (Software & Services)*(d)   165,258
    

 

     18,069,195

 

 

 

Germany – 9.3%

  1,494      adidas AG (Consumer Durables & Apparel)   469,499
  1,868      Allianz SE (Registered) (Insurance)   418,517
  10,462      BASF SE (Materials)(b)   793,127
  17,239      Bayer AG (Registered) (Pharmaceuticals, Biotechnology & Life Sciences)(b)   935,655

 

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Germany – (continued)

  3,522      Bayerische Motoren Werke AG (Automobiles & Components)(b)   $          334,516
  12,857      Bayerische Motoren Werke AG (Preference) (Automobiles &
Components)(e)
  975,283
  1,259      Deutsche Boerse AG (Diversified Financials)   204,294
  22,030      Deutsche Post AG (Registered) (Transportation)(b)   1,381,497
  53,273      Evonik Industries AG (Materials)(b)   1,670,494
  808      GEA Group AG (Capital Goods)   36,901
  5,331      HelloFresh SE (Retailing)*   491,343
  14,460      Hochtief AG (Capital Goods)(b)   1,152,847
  8,731      Infineon Technologies AG (Semiconductors & Semiconductor Equipment)   357,082
  3,097      LEG Immobilien SE (Real Estate)   437,726
  1,692      Porsche Automobil Holding SE (Preference) (Automobiles &
Components)(e)
  167,323
  2,633      Puma SE (Consumer Durables & Apparel)   292,698
  13,192      SAP SE (Software & Services)(b)   1,783,944
  689      Sartorius AG (Preference) (Health Care Equipment & Services)(e)   438,624
  14,147      Siemens AG (Registered) (Capital Goods)   2,313,757
  2,182      Siemens Healthineers AG (Health Care Equipment & Services)(d)   141,515
  211,846      Telefonica Deutschland Holding AG (Telecommunication Services)   603,173
  2,051      Volkswagen AG (Preference) (Automobiles & Components)(e)   457,173
  17,336      Vonovia SE (Real Estate)(b)   1,042,212
    

 

     16,899,200

 

 

 

Hong Kong – 2.5%

  104,400      AIA Group Ltd. (Insurance)   1,201,060
  16,700      ASM Pacific Technology Ltd. (Semiconductors & Semiconductor Equipment)   182,302
  28,000      Hang Lung Properties Ltd. (Real Estate)   63,813
  98      Hong Kong & China Gas Co. Ltd. (Utilities)   148
  14,596      Hong Kong Exchanges & Clearing Ltd. (Diversified Financials)   896,932
  1,100      Jardine Matheson Holdings Ltd. (Capital Goods)   58,144
  181,487      Link REIT (REIT)   1,554,137
  23,910      Sino Land Co. Ltd. (Real Estate)   32,166
  500      Sun Hung Kai Properties Ltd. (Real Estate)   6,243
  400      Swire Properties Ltd. (Real Estate)   1,003

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Hong Kong – (continued)

  24,000      Techtronic Industries Co. Ltd. (Capital Goods)   $          474,278
    

 

     4,470,226

 

 

 

Ireland – 0.6%

  24,567      CRH plc (Materials)(b)   1,159,437

 

 

 

Israel – 0.1%

  12,983      ICL Group Ltd. (Materials)   94,612
  710      Wix.com Ltd. (Software & Services)*(a)   139,139
    

 

     233,751

 

 

 

Italy – 0.6%

  9,895      Enel SpA (Utilities)   75,946
  4,925      Eni SpA (Energy)(b)   65,676
  1,974      Ferrari NV (Automobiles & Components)   411,974
  2,098      Moncler SpA (Consumer Durables & Apparel)   127,958
  60,423      Snam SpA (Utilities)   334,254
    

 

     1,015,808

 

 

 

Japan – 23.7%

  2,400      ABC-Mart, Inc. (Retailing)   134,815
  2,400      Advantest Corp. (Semiconductors & Semiconductor Equipment)   213,863
  11,300      AGC, Inc. (Capital Goods)   582,314
  10,500      Alfresa Holdings Corp. (Health Care Equipment & Services)   156,853
  13,000      Asahi Kasei Corp. (Materials)   139,309
  7,100      Astellas Pharma, Inc. (Pharmaceuticals, Biotechnology & Life Sciences)   116,859
  1,600      Bandai Namco Holdings, Inc. (Consumer Durables & Apparel)   120,284
  28,200      Bridgestone Corp. (Automobiles & Components)   1,334,176
  22,100      Canon, Inc. (Technology Hardware & Equipment)   540,744
  7,900      Casio Computer Co. Ltd. (Consumer Durables & Apparel)   130,793
  12,800      Chugai Pharmaceutical Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   468,402
  31,100      Chugoku Electric Power Co., Inc. (The) (Utilities)   283,688
  1,500      Dai-ichi Life Holdings, Inc. (Insurance)   32,807
  27,400      Daiichi Sankyo Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   728,324
  1,200      Daikin Industries Ltd. (Capital Goods)   261,646
  3,200      Daito Trust Construction Co. Ltd. (Real Estate)   375,385
  132,700      Daiwa Securities Group, Inc. (Diversified Financials)   773,474
  2,900      Denso Corp. (Automobiles & Components)   189,362

 

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  1,500      Disco Corp. (Semiconductors & Semiconductor Equipment)   $          420,132
  6,400      Eisai Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   479,408
  2,000      FANUC Corp. (Capital Goods)   438,524
  200      Fast Retailing Co. Ltd. (Retailing)   147,503
  2,600      Fuji Electric Co. Ltd. (Capital Goods)   118,315
  1,300      Hikari Tsushin, Inc. (Retailing)   219,725
  28,600      Hino Motors Ltd. (Capital Goods)   265,575
  1,916      Hirose Electric Co. Ltd. (Technology Hardware & Equipment)   318,413
  1,400      Hitachi Ltd. (Capital Goods)   82,825
  1,200      Honda Motor Co. Ltd. (Automobiles & Components)   36,893
  3,500      Hoya Corp. (Health Care Equipment & Services)   546,066
  3,100      Isuzu Motors Ltd. (Automobiles & Components)   40,332
  54,000      ITOCHU Corp. (Capital Goods)   1,572,803
  14,200      Japan Exchange Group, Inc. (Diversified Financials)   352,160
  16,700      Japan Post Insurance Co. Ltd. (Insurance)   302,907
  11,500      Japan Tobacco, Inc. (Food, Beverage & Tobacco)   225,334
  6,400      JSR Corp. (Materials)   230,054
  12,400      Kajima Corp. (Capital Goods)   158,901
  9,300      Kakaku.com, Inc. (Media & Entertainment)   300,325
  33,100      Kansai Electric Power Co., Inc. (The) (Utilities)   320,745
  1,700      Kao Corp. (Household & Personal Products)   101,173
  300      Keyence Corp. (Technology Hardware & Equipment)   179,061
  3,600      Kikkoman Corp. (Food, Beverage & Tobacco)   292,942
  3,000      Kintetsu Group Holdings Co. Ltd. (Transportation)*   100,888
  38,100      Kirin Holdings Co. Ltd. (Food, Beverage & Tobacco)   707,132
  12,500      Komatsu Ltd. (Capital Goods)   299,355
  1,700      Kose Corp. (Household & Personal Products)   203,312
  4,100      Lawson, Inc. (Food & Staples Retailing)   201,402
  27,300      Lixil Corp. (Capital Goods)   791,247
  6,100      M3, Inc. (Health Care Equipment & Services)   434,737
  2,100      Makita Corp. (Capital Goods)   115,464
  3,800      Mercari, Inc. (Retailing)*   209,980
  33,700      Mitsubishi Corp. (Capital Goods)   1,058,262
  23,400      Mitsubishi Electric Corp. (Capital Goods)   325,204
  49,600      Mitsubishi HC Capital, Inc. (Diversified Financials)   259,353

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  162,300      Mitsubishi UFJ Financial Group, Inc. (Banks)   $          959,409
  4,800      Mitsui & Co. Ltd. (Capital Goods)   104,962
  2,030      Mizuho Financial Group, Inc. (Banks)   28,719
  13,700      MS&AD Insurance Group Holdings, Inc. (Insurance)   458,220
  8,800      Murata Manufacturing Co. Ltd. (Technology Hardware & Equipment)   778,382
  8,200      Nabtesco Corp. (Capital Goods)   310,041
  10,200      NGK Spark Plug Co. Ltd. (Automobiles & Components)   158,700
  400      Nidec Corp. (Capital Goods)   44,096
  1,600      Nintendo Co. Ltd. (Media & Entertainment)   764,613
  3,700      Nippon Express Co. Ltd. (Transportation)   254,820
  1,000      Nippon Paint Holdings Co. Ltd. (Materials)   10,890
  35      Nippon Prologis REIT, Inc. (REIT)   113,648
  5,200      Nippon Yusen KK (Transportation)   389,628
  11,600      Nisshin Seifun Group, Inc. (Food, Beverage & Tobacco)   192,220
  4,200      Nitto Denko Corp. (Materials)   298,984
  51,900      Nomura Holdings, Inc. (Diversified Financials)   255,862
  14,700      Nomura Research Institute Ltd. (Software & Services)   540,324
  48,300      NSK Ltd. (Capital Goods)   327,295
  2,200      Obic Co. Ltd. (Software & Services)   418,348
  300      Odakyu Electric Railway Co. Ltd. (Transportation)   6,943
  7,400      Olympus Corp. (Health Care Equipment & Services)   161,971
  1,700      Omron Corp. (Technology Hardware & Equipment)   168,219
  5,400      Otsuka Corp. (Software & Services)   277,683
  45,300      Panasonic Corp. (Consumer Durables & Apparel)   561,512
  13,200      Pola Orbis Holdings, Inc. (Household & Personal Products)   303,835
  19,700      Recruit Holdings Co. Ltd. (Commercial & Professional Services)   1,204,179
  66,300      Resona Holdings, Inc. (Banks)   265,201
  1,000      Ryohin Keikaku Co. Ltd. (Retailing)   22,243
  17,100      Seiko Epson Corp. (Technology Hardware & Equipment)   345,249
  5,000      Shimadzu Corp. (Technology Hardware & Equipment)   219,581
  3,900      Shin-Etsu Chemical Co. Ltd. (Materials)   658,199
  2,300      Shiseido Co. Ltd. (Household & Personal Products)   154,582

 

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  94,500      SoftBank Corp. (Telecommunication Services)   $       1,281,873
  11,000      SoftBank Group Corp. (Telecommunication Services)   635,638
  3,800      Sompo Holdings, Inc. (Insurance)   164,863
  7,500      Sony Group Corp. (Consumer Durables & Apparel)   832,641
  28,300      Subaru Corp. (Automobiles & Components)   522,976
  6,400      Sumitomo Corp. (Capital Goods)   90,156
  1,100      Sumitomo Metal Mining Co. Ltd. (Materials)   39,777
  46,600      Sumitomo Mitsui Financial Group, Inc. (Banks)   1,639,358
  300      Sumitomo Mitsui Trust Holdings, Inc. (Banks)   10,332
  2,200      Sysmex Corp. (Health Care Equipment & Services)   273,259
  38,200      Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   1,259,942
  3,000      TDK Corp. (Technology Hardware & Equipment)   108,188
  6,300      Tohoku Electric Power Co., Inc. (Utilities)   46,312
  10,900      Tokio Marine Holdings, Inc. (Insurance)   584,295
  3,600      Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)   1,590,403
  300      Tokyo Gas Co. Ltd. (Utilities)   5,582
  3,900      TOTO Ltd. (Capital Goods)   185,705
  3,800      Toyoda Gosei Co. Ltd. (Automobiles & Components)   76,004
  185,100      Toyota Motor Corp. (Automobiles & Components)   3,297,998
  57,500      USS Co. Ltd. (Retailing)   978,785
  3,000      Yamaha Corp. (Consumer Durables & Apparel)   188,706
  200      Yamato Holdings Co. Ltd. (Transportation)   5,062
  900      Yaskawa Electric Corp. (Capital Goods)   43,217
  3,900      ZOZO, Inc. (Retailing)   146,113
    

 

     43,205,293

 

 

 

Luxembourg – 0.0%

  4,775      SES SA Receipts (Media & Entertainment)   42,575

 

 

 

Macau – 0.3%

  37,000      Galaxy Entertainment Group Ltd. (Consumer Services)*   189,848
  77,600      Sands China Ltd. (Consumer Services)*   158,809
  108,800      Wynn Macau Ltd. (Consumer Services)*   91,555
    

 

     440,212

 

 

 

Netherlands – 5.1%

  148      Adyen NV (Software & Services)*(d)   413,714

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Netherlands – (continued)

  555      Argenx SE (Pharmaceuticals, Biotechnology & Life Sciences)*   $          167,712
  6,132      ASML Holding NV (Semiconductors & Semiconductor Equipment)(b)   4,580,962
  5,000      Heineken NV (Food, Beverage & Tobacco)   521,879
  6,596      Koninklijke Ahold Delhaize NV (Food & Staples Retailing)   219,634
  44,137      Koninklijke KPN NV (Telecommunication Services)   138,889
  4,249      NN Group NV (Insurance)   222,572
  24,710      Royal Dutch Shell plc Class A (Energy)(b)   550,007
  86,152      Royal Dutch Shell plc Class B (Energy)(b)   1,908,837
  21,606      Universal Music Group NV (Media & Entertainment)*(b)   578,506
    

 

     9,302,712

 

 

 

New Zealand – 0.8%

  9,788      Fisher & Paykel Healthcare Corp. Ltd. (Health Care Equipment & Services)   215,293
  26,020      Meridian Energy Ltd. (Utilities)   87,994
  356,327      Spark New Zealand Ltd. (Telecommunication Services)   1,172,272
    

 

     1,475,559

 

 

 

Norway – 0.4%

  14,865      DNB Bank ASA (Banks)   337,951
  58      Gjensidige Forsikring ASA (Insurance)   1,285
  9,166      Orkla ASA (Food, Beverage & Tobacco)   84,127
  17,663      Telenor ASA (Telecommunication Services)   297,304
    

 

     720,667

 

 

 

Portugal – 0.1%

  14,664      Galp Energia SGPS SA (Energy)   166,554

 

 

 

Russia – 1.0%

  31,477      Coca-Cola HBC AG (Food, Beverage & Tobacco)*   1,014,320
  104,181      Evraz plc (Materials)   826,572
    

 

     1,840,892

 

 

 

Saudi Arabia – 0.2%

  2,137      Delivery Hero SE (Retailing)*(d)   272,585

 

 

 

Singapore – 1.0%

  2,800      City Developments Ltd. (Real Estate)   14,171
  39,446      DBS Group Holdings Ltd. (Banks)   874,069
  5,200      Keppel Corp. Ltd. (Capital Goods)   19,857
  17,600      Singapore Exchange Ltd. (Diversified Financials)   128,847
  210,700      Singapore Technologies Engineering Ltd. (Capital Goods)   588,158

 

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Singapore – (continued)

  121,600      Singapore Telecommunications Ltd. (Telecommunication Services)   $          218,913
    

 

     1,844,015

 

 

 

South Africa – 0.0%

  2      Anglo American plc (Materials)   70

 

 

 

Spain – 2.9%

  205      ACS Actividades de Construccion y Servicios SA (Capital Goods)   5,553
  169      Amadeus IT Group SA (Software & Services)*   11,115
  34,534      Enagas SA (Utilities)   767,489
  98,111      Endesa SA (Utilities)(b)   1,978,655
  30,922      Ferrovial SA (Capital Goods)   902,573
  29,118      Naturgy Energy Group SA (Utilities)   732,928
  45,811      Red Electrica Corp. SA (Utilities)(b)   919,073
    

 

     5,317,386

 

 

 

Sweden – 1.7%

  4,320      Atlas Copco AB Class A (Capital Goods)   260,866
  11,277      Atlas Copco AB Class B (Capital Goods)   573,172
  2,920      Boliden AB (Materials)*   93,500
  8,614      Electrolux ABSeries B (Consumer Durables & Apparel)   199,015
  6,276      H & M Hennes & Mauritz AB Class B (Retailing)*   127,036
  2,714      Lundin Energy AB (Energy)   100,747
  11,114      Skandinaviska Enskilda Banken AB Class A (Banks)   156,642
  22,569      Svenska Handelsbanken AB Class A (Banks)   252,759
  239,872      Telia Co. AB (Telecommunication Services)   986,769
  16,408      Volvo AB Class B (Capital Goods)   366,333
    

 

     3,116,839

 

 

 

Switzerland – 10.5%

  17,824      Adecco Group AG (Registered) (Commercial & Professional Services)   893,084
  1,868      Banque Cantonale Vaudoise (Registered) (Banks)   142,029
  90,877      Clariant AG (Registered) (Materials)*   1,705,789
  313      Geberit AG (Registered) (Capital Goods)   229,805
  5,805      Holcim Ltd. (Materials)*   279,714
  39,000      Nestle SA (Registered) (Food, Beverage & Tobacco)   4,699,113
  28,173      Novartis AG (Registered) (Pharmaceuticals, Biotechnology & Life Sciences)   2,310,164
  1,102      Partners Group Holding AG (Diversified Financials)   1,719,825

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Switzerland – (continued)

  8,225      Roche Holding AG (Pharmaceuticals, Biotechnology & Life Sciences)   $       3,001,878
  164      SGS SA (Registered) (Commercial & Professional Services)   477,377
  18,359      STMicroelectronics NV (Semiconductors & Semiconductor Equipment)   801,586
  103      Straumann Holding AG (Registered) (Health Care Equipment & Services)   184,727
  6,693      Zurich Insurance Group AG (Insurance)   2,736,904
    

 

     19,181,995

 

 

 

United Kingdom – 10.4%

  255,575      Aviva plc (Insurance)   1,354,516
  246,432      BAE Systems plc (Capital Goods)   1,866,490
  82,982      Barclays plc (Banks)   210,856
  15,961      BP plc ADR (Energy)(b)   436,214
  20,812      British American Tobacco plc (Food, Beverage & Tobacco)   727,474
  5,890      Coca-Cola Europacific Partners plc (Food, Beverage & Tobacco)   325,658
  3,981      Compass Group plc (Consumer Services)*   81,416
  13,945      Diageo plc (Food, Beverage & Tobacco)   675,147
  73,976      Direct Line Insurance Group plc (Insurance)   288,660
  67,079      GlaxoSmithKline plc ADR (Pharmaceuticals, Biotechnology & Life Sciences)(b)   2,563,089
  240,798      HSBC Holdings plc (Banks)(b)   1,259,055
  27,552      Imperial Brands plc (Food, Beverage & Tobacco)   576,295
  2,547      Just Eat Takeaway.com NV (Retailing)*(d)   186,094
  133,695      M&G plc (Diversified Financials)   365,283
  43,018      National Grid plc (Utilities)   512,590
  30,216      Persimmon plc (Consumer Durables & Apparel)   1,080,674
  1,916      Reckitt Benckiser Group plc (Household & Personal Products)(b)   150,521
  17,073      RELX plc (Commercial & Professional Services)   491,468
  104,340      Rolls-Royce Holdings plc (Capital Goods)*   194,878
  22,477      Segro plc (REIT)   361,067
  44,462      SSE plc (Utilities)   936,153
  9,344      St James’s Place plc (Diversified Financials)   188,490
  28,191      Unilever plc (Household & Personal Products)(b)   1,523,195
  20,386      Unilever plc ADR (Household & Personal Products)(b)   1,105,329

 

 

 

GOLDMAN SACHS INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

United Kingdom – (continued)

  91,841      Vodafone Group plc ADR (Telecommunication Services)(b)   $    1,418,943
  7,359      Wm Morrison Supermarkets plc (Food & Staples Retailing)   29,201
    

 

     18,908,756

 

 

 

United States – 1.4%

  7,531      Schneider Electric SE (Capital Goods)(b)   1,254,318
  65,321      Stellantis NV (Automobiles &
Components)(b)
  1,243,133
    

 

     2,497,451

 

 

 

TOTAL INVESTMENTS BEFORE SECURITIES LENDING
REINVESTMENT VEHICLE
(Cost $142,722,254)
  $179,902,941

 

 

Shares     

Dividend

Rate

  Value
  Securities Lending Reinvestment Vehicle(f) – 0.5%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  975,125      0.026%   $       975,125
  (Cost $975,125)

 

 

 
TOTAL INVESTMENTS – 99.4%
(Cost $143,697,379)
  $180,878,066

 

 

 

OTHER ASSETS IN EXCESS OF

    LIABILITIES – 0.6%

  1,160,159

 

 

  NET ASSETS – 100.0%   $182,038,225

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Security is currently in default and/or non-income producing.
(a)   All or a portion of security is segregated as collateral for initial margin requirements on futures transactions.
(b)   All or a portion of security is segregated as collateral for call options written.
(c)   All or a portion of security is on loan.
(d)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(e)   Preference Shares are a special type of equity investment that shares in the earnings of the company, has limited voting rights, and receives a greater dividend than applicable Common Shares.
(f)   Represents an Affiliated Issuer.

 

 

Investment Abbreviations:
ADR  

— American Depositary Receipt

REIT  

— Real Estate Investment Trust

Currency Abbreviations:
EUR  

— Euro

GBP  

— British Pound

JPY  

— Japanese Yen

 

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 INTERNATIONAL EQUITY DIVIDEND AND PREMIUM FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At September 30, 2021, the Fund had the following futures contracts:

 

Description      Number of
Contracts
      

Expiration

Date

       Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

EURO STOXX 50 Index

       1          12/17/2021        $ 46,890        $ (1,531

 

 

WRITTEN OPTIONS CONTRACTS — At September 30, 2021, the Fund had the following written options contracts:

EXCHANGE TRADED INDEX OPTIONS

 

Description   Exercise
Price
    Expiration
Date
    Number of
Contracts
    Notional
Amount
    Value    

Premiums Paid
(Received)

by the Fund

    Unrealized
Appreciation/
(Depreciation)
 

 

 

Written options contracts:

               

Calls

               

EURO STOXX 50 Index

    4,200       EUR       12/17/2021       833     $ (33,720,506   $ (577,014   $ (1,063,216   $ 486,202  

FTSE 100 Index

    7,100       GBP       12/17/2021       119       (8,432,840     (313,466     (274,561     (38,905

Nikkei 225 Index

    30,250       JPY       12/10/2021       69       (2,032,233,540     (393,683     (605,854     212,171  

 

 

Total written options contracts

 

    1,021       $ (1,284,163   $ (1,943,631   $ 659,468  

 

 

GOLDMAN SACHS U.S. TAX-MANAGED EQUITY FUND

 

Schedule of Investments

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 97.5%
 

Automobiles & Components – 1.9%

  436,408      Ford Motor Co.*   $       6,179,537
  488,818      General Motors Co.*   25,765,597
  21,887      Gentex Corp.   721,833
  16,231      Tesla, Inc.*   12,586,816
    

 

     45,253,783

 

 

 

Banks – 3.6%

  55,895      Bancorp, Inc. (The)*   1,422,528
  144,004      Cadence BanCorp   3,162,328
  13,311      Cathay General Bancorp   550,942
  3,676      Citigroup, Inc.   257,982
  592,460      Citizens Financial Group, Inc.   27,833,771
  11,346      East West Bancorp, Inc.   879,769
  23,131      Essent Group Ltd.   1,017,995
  40,192      First BanCorp   528,525
  56,420      First Hawaiian, Inc.   1,655,927
  49,865      First Horizon Corp.   812,301
  32,891      Independent Bank Group, Inc.   2,336,577
  19,845      International Bancshares Corp.   826,346
  40,827      JPMorgan Chase & Co.   6,682,972
  584,028      KeyCorp   12,626,685
  80,240      MGIC Investment Corp.   1,200,390
  10,646      National Bank Holdings Corp. Class A   430,950
  5,054      PNC Financial Services Group, Inc. (The)   988,764
  25,107      Popular, Inc.   1,950,061
  28,824      Radian Group, Inc.   654,881
  12,072      SVB Financial Group*   7,809,135
  13,919      TriState Capital Holdings, Inc.*   294,387
  39,488      Umpqua Holdings Corp.   799,632
  20,899      Walker & Dunlop, Inc.   2,372,036
  71,005      Western Alliance Bancorp   7,726,764
    

 

     84,821,648

 

 

 

Capital Goods – 3.6%

  6,660      AECOM*   420,579
  5,761      AGCO Corp.   705,895
  29,484      AMETEK, Inc.   3,656,311
  59,314      Atkore, Inc.*   5,155,573
  32,308      Emerson Electric Co.   3,043,414
  13,565      Fortive Corp.   957,282
  28,728      H&E Equipment Services, Inc.   997,149
  50,186      Hexcel Corp.*   2,980,546
  6,443      Honeywell International, Inc.   1,367,720
  97,597      Illinois Tool Works, Inc.   20,166,468
  96,928      Johnson Controls International plc   6,598,858
  28,381      Kennametal, Inc.   971,482
  26,377      L3Harris Technologies, Inc.   5,809,270
  12,408      Lockheed Martin Corp.   4,282,001
  30,476      nVent Electric plc   985,289
  51,181      Otis Worldwide Corp.   4,211,173
  149,820      Raytheon Technologies Corp.   12,878,527
  1,213      RBC Bearings, Inc.*   257,399
  25,076      Rush Enterprises, Inc. Class A   1,132,432
  30,166      Snap-on, Inc.   6,303,186
  10,411      Stanley Black & Decker, Inc.   1,825,152
    

 

     84,705,706

 

 

 

Commercial & Professional Services – 1.3%

  11,341      Cimpress plc*   984,739
  29,156      Cintas Corp.   11,098,523

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Commercial & Professional Services – (continued)

  8,842      Clean Harbors, Inc.*   $          918,418
  71,280      CoStar Group, Inc.*   6,134,357
  5,709      Forrester Research, Inc.*   281,225
  6,609      Heidrick & Struggles International, Inc.   294,960
  10,024      IAA, Inc.*   547,010
  77,823      Korn Ferry   5,631,272
  32,995      ManpowerGroup, Inc.   3,572,699
    

 

     29,463,203

 

 

 

Consumer Durables & Apparel – 0.4%

  17,960      G-III Apparel Group Ltd.*   508,268
  68,452      Levi Strauss & Co. Class A   1,677,758
  29,150      Skechers USA, Inc. Class A*   1,227,798
  9,087      TRI Pointe Group, Inc.*   191,009
  12,109      Whirlpool Corp.   2,468,541
  39,938      YETI Holdings, Inc.*   3,422,287
    

 

     9,495,661

 

 

 

Consumer Services – 2.9%

  18,628      Chipotle Mexican Grill, Inc.*   33,856,763
  7,996      Choice Hotels International, Inc.   1,010,454
  33,403      Frontdoor, Inc.*   1,399,586
  2,086      Graham Holdings Co. Class B   1,228,988
  129,460      H&R Block, Inc.   3,236,500
  142,560      International Game Technology plc*   3,752,179
  182,224      Red Rock Resorts, Inc. Class A*   9,333,513
  24,060      Terminix Global Holdings, Inc.*   1,002,580
  53,280      Texas Roadhouse, Inc.   4,866,062
  22,656      Travel + Leisure Co.   1,235,432
  49,027      Yum China Holdings, Inc.   2,848,959
  25,926      Yum! Brands, Inc.   3,171,009
    

 

     66,942,025

 

 

 

Diversified Financials – 7.2%

  367,713      Ally Financial, Inc.   18,771,749
  38,603      Berkshire Hathaway, Inc. Class B*   10,536,303
  59,113      Capital One Financial Corp.   9,574,533
  113,657      CME Group, Inc.   21,978,991
  96,351      Discover Financial Services   11,836,720
  19,961      Interactive Brokers Group, Inc. Class A   1,244,369
  241,521      Jefferies Financial Group, Inc.   8,967,675
  23,105      LPL Financial Holdings, Inc.   3,621,940
  112,434      Morgan Stanley   10,940,952
  70,228      Navient Corp.   1,385,598
  57,466      S&P Global, Inc.   24,416,729
  132,885      Santander Consumer USA Holdings, Inc.   5,541,304
  130,364      Starwood Property Trust, Inc. (REIT)   3,182,185
  316,003      Synchrony Financial   15,446,227
  56,882      TPG RE Finance Trust, Inc. (REIT)   704,199
  327,211      Voya Financial, Inc.   20,087,483
    

 

     168,236,957

 

 

 

Energy – 1.6%

  8,224      Cactus, Inc. Class A   310,209
  7,426      Core Laboratories NV   206,072
  99,446      EOG Resources, Inc.   7,982,530

 

 

 

GOLDMAN SACHS U.S. TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Energy – (continued)

  11,147      Exxon Mobil Corp.   $          655,667
  12,264      Hess Corp.   957,941
  77,386      Matador Resources Co.   2,943,763
  8,760      ONEOK, Inc.   507,992
  134,863      Ovintiv, Inc.   4,434,296
  33,190      Pioneer Natural Resources Co.   5,526,467
  11,296      Renewable Energy Group, Inc.*   567,059
  94,650      Schlumberger NV   2,805,426
  103,628      Targa Resources Corp.   5,099,534
  156,754      Williams Cos., Inc. (The)   4,066,199
    

 

     36,063,155

 

 

 

Food & Staples Retailing – 0.2%

  3,528      Costco Wholesale Corp.   1,585,307
  63,319      Walgreens Boots Alliance, Inc.   2,979,159
    

 

     4,564,466

 

 

 

Food, Beverage & Tobacco – 2.1%

  2,422      Coca-Cola Consolidated, Inc.   954,704
  7,580      Constellation Brands, Inc. Class A   1,597,030
  51,135      Darling Ingredients, Inc.*   3,676,606
  35,242      Lamb Weston Holdings, Inc.   2,162,802
  9,833      Lancaster Colony Corp.   1,659,909
  213,411      Monster Beverage Corp.*   18,957,299
  159,106      Philip Morris International, Inc.   15,081,658
  22,962      Sanderson Farms, Inc.   4,321,448
    

 

     48,411,456

 

 

 

Health Care Equipment & Services – 6.8%

  3,020      Abbott Laboratories   356,753
  730      Align Technology, Inc.*   485,764
  5,526      AMN Healthcare Services, Inc.*   634,108
  12,603      AngioDynamics, Inc.*   326,922
  71,276      Anthem, Inc.   26,571,693
  21,748      Cigna Corp.   4,353,080
  44,402      Dentsply Sirona, Inc.   2,577,536
  72,981      Edwards Lifesciences Corp.*   8,262,179
  11,564      Encompass Health Corp.   867,762
  137,014      HCA Healthcare, Inc.   33,256,038
  49,786      Hologic, Inc.*   3,674,705
  34,579      Humana, Inc.   13,456,418
  14,459      IDEXX Laboratories, Inc.*   8,992,052
  6,269      Molina Healthcare, Inc.*   1,700,842
  117,334      Patterson Cos., Inc.   3,536,447
  106,437      Select Medical Holdings Corp.   3,849,826
  1,283      STERIS plc   262,091
  47,957      UnitedHealth Group, Inc.   18,738,718
  39,905      Universal Health Services, Inc. Class B   5,521,655
  30,591      Varex Imaging Corp.*   862,666
  46,257      West Pharmaceutical Services, Inc.   19,637,947
    

 

     157,925,202

 

 

 

Household & Personal Products – 0.1%

  8,185      Procter & Gamble Co. (The)   1,144,263

 

 

 

Insurance – 3.2%

  231,807      American Equity Investment Life Holding Co.   6,854,533
  35,396      American Financial Group, Inc.   4,453,879
  123,320      Arch Capital Group Ltd.*   4,708,358

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Insurance – (continued)

  80,386      Athene Holding Ltd. Class A*   $       5,536,184
  59,191      Brighthouse Financial, Inc.*   2,677,209
  24,119      BRP Group, Inc. Class A*   802,921
  18,632      Fidelity National Financial, Inc.   844,775
  24,666      First American Financial Corp.   1,653,855
  77,477      Globe Life, Inc.   6,897,777
  9,425      Goosehead Insurance, Inc. Class A   1,435,333
  86,943      Marsh & McLennan Cos., Inc.   13,165,778
  209,677      Old Republic International Corp.   4,849,829
  18,092      Primerica, Inc.   2,779,474
  17,273      Reinsurance Group of America, Inc.   1,921,794
  155,902      Stewart Information Services Corp.   9,862,361
  69,160      Trupanion, Inc.*   5,371,657
    

 

     73,815,717

 

 

 

Materials – 3.0%

  4,937      Air Products and Chemicals, Inc.   1,264,415
  14,386      Alcoa Corp.*   704,051
  37,395      Amcor plc   433,408
  78,720      Avient Corp.   3,648,672
  328,568      Axalta Coating Systems Ltd.*   9,590,900
  47,477      CF Industries Holdings, Inc.   2,650,166
  28,500      Corteva, Inc.   1,199,280
  2,903      Crown Holdings, Inc.   292,564
  8,601      Dow, Inc.   495,074
  8,525      Eagle Materials, Inc.   1,118,139
  71,308      Element Solutions, Inc.   1,545,957
  4,681      Ingevity Corp.*   334,083
  4,026      International Flavors & Fragrances, Inc.   538,357
  133,281      Louisiana-Pacific Corp.   8,179,455
  26,262      Mosaic Co. (The)   938,079
  56,853      Olin Corp.   2,743,157
  116,961      Sherwin-Williams Co. (The)   32,717,501
  6,280      Southern Copper Corp.   352,559
  34,799      Summit Materials, Inc. Class A*   1,112,524
  44,490      SunCoke Energy, Inc.   279,397
  28,984      Warrior Met Coal, Inc.   674,458
    

 

     70,812,196

 

 

 

Media & Entertainment – 8.5%

  16,330      Alphabet, Inc. Class A*   43,658,582
  15,750      Alphabet, Inc. Class C*   41,978,632
  12,147      Cardlytics, Inc.*   1,019,619
  47,665      Cinemark Holdings, Inc.*   915,645
  94,443      Comcast Corp. Class A   5,282,197
  119,060      Facebook, Inc. Class A*   40,407,773
  16,983      IMAX Corp.*   322,337
  17,336      Netflix, Inc.*   10,580,854
  17,691      News Corp. Class A   416,269
  40,540      Nexstar Media Group, Inc. Class A   6,160,458
  344,173      Omnicom Group, Inc.   24,938,776
  220,286      Pinterest, Inc. Class A*   11,223,572
  77,266      PubMatic, Inc. Class A*(a)   2,035,959
  15,013      Roku, Inc.*   4,704,324
  10,295      Spotify Technology SA*   2,319,875
  9,617      Thryv Holdings, Inc.*   288,895
  38,420      Yelp, Inc.*   1,430,761
    

 

     197,684,528

 

 

 

GOLDMAN SACHS U.S. TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Pharmaceuticals, Biotechnology & Life Sciences – 8.3%

  295,411      AbbVie, Inc.   $     31,865,985
  26,810      Apellis Pharmaceuticals, Inc.*   883,658
  3,703      Arvinas, Inc.*   304,313
  33,463      Biogen, Inc.*   9,469,694
  27,949      Bruker Corp.   2,182,817
  42,255      Editas Medicine, Inc.*   1,735,835
  259,726      Horizon Therapeutics plc*   28,450,386
  78,973      IQVIA Holdings, Inc.*   18,917,192
  88,523      Johnson & Johnson   14,296,464
  26,154      Merck & Co., Inc.   1,964,427
  8,389      Mettler-Toledo International, Inc.*   11,554,673
  14,150      Moderna, Inc.*   5,445,769
  74,997      PerkinElmer, Inc.   12,996,230
  128,361      Pfizer, Inc.   5,520,807
  54,628      Prestige Consumer Healthcare, Inc.*   3,065,177
  22,821      Regeneron Pharmaceuticals, Inc.*   13,810,813
  8,738      Sage Therapeutics, Inc.*   387,181
  3,494      Thermo Fisher Scientific, Inc.   1,996,227
  6,486      Twist Bioscience Corp.*   693,807
  29,286      uniQure NV*   937,445
  1,149      Vertex Pharmaceuticals, Inc.*   208,417
  15,927      Viatris, Inc.   215,811
  133,313      Zoetis, Inc.   25,881,386
  46,176      Zymeworks, Inc.*   1,340,951
    

 

     194,125,465

 

 

 

Real Estate – 5.2%

  149,487      American Homes 4 Rent Class A (REIT)   5,698,611
  21,275      Brixmor Property Group, Inc. (REIT)   470,390
  66,497      Camden Property Trust (REIT)   9,806,313
  18,849      CoreSite Realty Corp. (REIT)   2,611,341
  5,732      CubeSmart (REIT)   277,715
  257,053      Duke Realty Corp. (REIT)   12,305,127
  345,029      Equity LifeStyle Properties, Inc. (REIT)   26,946,765
  36,707      Extra Space Storage, Inc. (REIT)   6,166,409
  181,466      First Industrial Realty Trust, Inc. (REIT)   9,450,749
  241,694      Invitation Homes, Inc. (REIT)   9,264,131
  2,070      Jones Lang LaSalle, Inc.*   513,546
  12,030      Lamar Advertising Co. Class A (REIT)   1,364,804
  29,850      Mid-America Apartment Communities, Inc. (REIT)   5,574,488
  295,072      National Storage Affiliates Trust (REIT)   15,576,851
  43,014      NexPoint Residential Trust, Inc. (REIT)   2,661,706
  9,166      Prologis, Inc. (REIT)   1,149,691
  1,888      PS Business Parks, Inc. (REIT)   295,925
  21,458      Retail Opportunity Investments Corp. (REIT)   373,798
  93,086      Rexford Industrial Realty, Inc. (REIT)   5,282,631
  84,429      SITE Centers Corp. (REIT)   1,303,584
  17,864      STORE Capital Corp. (REIT)   572,184
  14,722      Terreno Realty Corp. (REIT)   930,872

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Real Estate – (continued)

  45,708      Ventas, Inc. (REIT)   $       2,523,539
    

 

     121,121,170

 

 

 

Retailing – 8.5%

  86,339      Academy Sports & Outdoors, Inc.*   3,455,287
  21,205      Amazon.com, Inc.*   69,659,273
  1,486      Asbury Automotive Group, Inc.*   292,356
  2,286      AutoZone, Inc.*   3,881,605
  166,465      Bath & Body Works, Inc.   10,492,289
  17,163      Buckle, Inc. (The)   679,483
  61,470      Dick’s Sporting Goods, Inc.   7,362,262
  363,386      eBay, Inc.   25,317,103
  78,084      Groupon, Inc.*(a)   1,781,096
  4,651      Home Depot, Inc. (The)   1,526,737
  168,078      Kohl’s Corp.   7,914,793
  91,859      Lowe’s Cos., Inc.   18,634,517
  1,541      MercadoLibre, Inc.*   2,587,955
  20,014      Murphy USA, Inc.   3,347,542
  1,394      O’Reilly Automotive, Inc.*   851,818
  8,426      Penske Automotive Group, Inc.   847,655
  4,359      Signet Jewelers Ltd.   344,187
  12,704      Stitch Fix, Inc. Class A*   507,525
  149,794      Target Corp.   34,268,373
  55,488      Victoria’s Secret & Co.*   3,066,267
  7,731      Williams-Sonoma, Inc.   1,370,938
    

 

     198,189,061

 

 

 

Semiconductors & Semiconductor Equipment – 4.7%

  218,165      Applied Materials, Inc.   28,084,380
  14,174      Cohu, Inc.*   452,717
  31,784      Intel Corp.   1,693,451
  3,264      KLA Corp.   1,091,841
  246,592      NVIDIA Corp.   51,083,999
  46,974      NXP Semiconductors NV   9,200,797
  73,788      ON Semiconductor Corp.*   3,377,277
  13,204      Power Integrations, Inc.   1,307,064
  11,970      QUALCOMM, Inc.   1,543,891
  63,128      Texas Instruments, Inc.   12,133,833
    

 

     109,969,250

 

 

 

Software & Services – 16.4%

  44,829      Adobe, Inc.*   25,808,952
  20,528      Anaplan, Inc.*   1,249,950
  18,021      Black Knight, Inc.*   1,297,512
  17,268      Citrix Systems, Inc.   1,854,065
  350,383      Cognizant Technology Solutions Corp.
Class A
  26,001,922
  1,531      Concentrix Corp.*   270,987
  5,091      Dolby Laboratories, Inc. Class A   448,008
  6,134      EPAM Systems, Inc.*   3,499,324
  69,797      ExlService Holdings, Inc.*   8,593,407
  16,958      Fastly, Inc. Class A*   685,782
  20,345      FireEye, Inc.*   362,141
  87,481      Fortinet, Inc.*   25,547,951
  84,121      Gartner, Inc.*   25,562,689
  9,159      International Business Machines Corp.   1,272,460
  55,527      Intuit, Inc.   29,957,372
  457,815      Microsoft Corp.   129,067,205
  14,153      MongoDB, Inc.*   6,673,281

 

 

 

GOLDMAN SACHS U.S. TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Software & Services – (continued)

  37,008      Okta, Inc.*   $       8,783,479
  75,324      Oracle Corp.   6,562,980
  6,494      Palo Alto Networks, Inc.*   3,110,626
  166,869      PayPal Holdings, Inc.*   43,420,982
  5,663      Perficient, Inc.*   655,209
  11,453      Ping Identity Holding Corp.*   281,400
  5,399      ServiceNow, Inc.*   3,359,636
  10,855      SPS Commerce, Inc.*   1,751,020
  1,609      Square, Inc. Class A*   385,903
  14,865      Twilio, Inc. Class A*   4,742,678
  4,947      VeriSign, Inc.*   1,014,184
  9,615      Visa, Inc. Class A   2,141,741
  27,322      Workday, Inc. Class A*   6,827,495
  43,289      Zscaler, Inc.*   11,351,242
    

 

     382,541,583

 

 

 

Technology Hardware & Equipment – 5.9%

  724,768      Apple, Inc.   102,554,672
  1,620      Arista Networks, Inc.*   556,697
  18,686      Jabil, Inc.   1,090,702
  94,239      Keysight Technologies, Inc.*   15,482,525
  6,866      Knowles Corp.*   128,669
  48,330      NetApp, Inc.   4,338,101
  14,927      NetScout Systems, Inc.*   402,283
  31,194      Super Micro Computer, Inc.*   1,140,764
  3,898      Teledyne Technologies, Inc.*   1,674,503
  25,865      Vishay Intertechnology, Inc.   519,628
  5,426      Vontier Corp.   182,313
  177,915      Western Digital Corp.*   10,041,523
    

 

     138,112,380

 

 

 

Telecommunication Services – 0.0%

  2,595      Cogent Communications Holdings, Inc.   183,830

 

 

 

Transportation – 1.6%

  6,795      AMERCO   4,389,774
  94,059      CSX Corp.   2,797,315
  30,228      Genco Shipping & Trading Ltd.   608,489
  3,209      GXO Logistics, Inc.*   251,714
  18,420      Norfolk Southern Corp.   4,406,985
  7,053      Old Dominion Freight Line, Inc.   2,017,017
  36,542      Ryder System, Inc.   3,022,389
  367,407      Safe Bulkers, Inc.*   1,899,494
  61,767      Union Pacific Corp.   12,106,950
  65,643      XPO Logistics, Inc.*   5,223,870
    

 

     36,723,997

 

 

 

Utilities – 0.5%

  25,070      AES Corp. (The)   572,348
  3,186      DTE Energy Co.   355,908
  48,989      MDU Resources Group, Inc.   1,453,504
  161,005      NRG Energy, Inc.   6,573,834
  43,279      Public Service Enterprise Group, Inc.   2,635,691
    

 

     11,591,285

 

 

 
TOTAL COMMON STOCKS
(Cost $1,185,180,003)
  $2,271,897,987

 

 

Shares      Dividend
Rate
  Value
  Investment Company(b) – 0.2%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  5,379,367      0.026%   $       5,379,367
 

(Cost $5,379,367)

 

 

 


TOTAL INVESTMENTS BEFORE SECURITIES

LENDING REINVESTMENT VEHICLE
(Cost $1,190,559,370)

  $2,277,277,354

 

 

    
  Securities Lending Reinvestment Vehicle(b) – 0.0%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  479,375      0.026%   $          479,375
 

(Cost $479,375)

 

 

 
TOTAL INVESTMENTS – 97.7%
(Cost $1,191,038,745)
  $2,277,756,729

 

 

 
OTHER ASSETS IN EXCESS OF
    LIABILITIES – 2.3%
  53,697,263

 

 

  NET ASSETS – 100.0%   $2,331,453,992

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Security is currently in default and/or non-income producing.
(a)   All or a portion of security is on loan.
(b)   Represents an Affiliated Issuer.

 

 

Investment Abbreviation:
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 U.S. TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At September 30, 2021, the Fund had the following futures contracts:

 

Description      Number of
Contracts
      

Expiration

Date

       Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

Russell 2000 E-Mini Index

       31          12/17/2021        $ 3,411,240        $ (2,322

S&P 500 E-Mini Index

       162          12/17/2021          34,811,775          (36,550

 

 

Total Futures Contracts

 

     $ (38,872

 

 

GOLDMAN SACHS INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 97.2%
 

Australia – 10.7%

  64,696      ASX Ltd. (Diversified Financials)   $    3,735,272
  366,793      Australia & New Zealand Banking Group Ltd. (Banks)   7,366,140
  317,850      BHP Group plc (Materials)   8,008,021
  16,188      Brambles Ltd. (Commercial & Professional Services)   124,477
  167,225      Commonwealth Bank of Australia (Banks)   12,409,826
  44,652      Domino’s Pizza Enterprises Ltd. (Consumer Services)   5,107,222
  429,493      Fortescue Metals Group Ltd. (Materials)   4,574,967
  269,613      Glencore plc (Materials)*   1,268,288
  358,204      Goodman Group (REIT)   5,511,715
  297,507      Harvey Norman Holdings Ltd. (Retailing)   1,066,854
  114,614      Mineral Resources Ltd. (Materials)   3,637,404
  122,506      Rio Tinto plc ADR (Materials)(a)(b)   8,185,851
  10,703      Sonic Healthcare Ltd. (Health Care Equipment & Services)   309,308
  1,896,064      Telstra Corp. Ltd. (Telecommunication Services)   5,312,961
  383,399      Treasury Wine Estates Ltd. (Food, Beverage & Tobacco)   3,380,807
  126,387      Washington H Soul Pattinson & Co. Ltd. (Energy)   3,512,426
  177,028      Wesfarmers Ltd. (Retailing)   7,041,009
  101,365      Woolworths Group Ltd. (Food & Staples Retailing)   2,847,168
    

 

     83,399,716

 

 

 

Belgium – 0.5%

  10,088      Bekaert SA (Materials)   419,680
  14,673      D’ieteren Group (Retailing)   2,153,093
  3,213      Gimv NV (Diversified Financials)   205,066
  25,294      Warehouses De Pauw CVA (REIT)   1,024,874
    

 

     3,802,713

 

 

 

China – 0.8%

  942,600      Chow Tai Fook Jewellery Group Ltd. (Retailing)   1,792,627
  168,100      ENN Energy Holdings Ltd. (Utilities)   2,772,555
  251,000      SITC International Holdings Co. Ltd. (Transportation)   893,155
  486,000      Tingyi Cayman Islands Holding Corp. (Food, Beverage & Tobacco)   903,626
    

 

     6,361,963

 

 

 

Denmark – 2.8%

  1,175      AP Moller - Maersk A/S Class A (Transportation)   3,028,021
  287      AP Moller - Maersk A/S Class B (Transportation)   776,935

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Denmark – (continued)

  153,680      Novo Nordisk A/S Class B (Pharmaceuticals, Biotechnology & Life Sciences)   $  14,813,150
  10,594      Scandinavian Tobacco Group A/S Class A (Food, Beverage & Tobacco)(c)   209,083
  69,020      Vestas Wind Systems A/S (Capital Goods)   2,768,325
    

 

     21,595,514

 

 

 

Finland – 1.8%

  151,573      Kesko OYJ Class B (Food & Staples Retailing)   5,228,269
  110,809      Neste OYJ (Energy)   6,250,996
  178,161      Nokia OYJ (Technology Hardware & Equipment)*   982,612
  56,671      Tokmanni Group Corp. (Retailing)   1,382,481
    

 

     13,844,358

 

 

 

France – 8.6%

  24,993      Arkema SA (Materials)   3,295,750
  269,789      AXA SA (Insurance)   7,476,730
  35,442      BNP Paribas SA (Banks)   2,267,604
  29,031      Bouygues SA (Capital Goods)   1,200,937
  4,992      Christian Dior SE (Consumer Durables & Apparel)   3,589,047
  90,862      Cie de Saint-Gobain (Capital Goods)   6,114,744
  29,254      Cie Generale des Etablissements Michelin SCA (Automobiles & Components)   4,485,822
  219,937      Credit Agricole SA (Banks)   3,023,132
  301,723      Electricite de France SA (Utilities)   3,791,497
  10,691      Gecina SA (REIT)   1,438,328
  127      Hermes International (Consumer Durables & Apparel)   175,226
  52,292      Legrand SA (Capital Goods)   5,603,071
  15,986      L’Oreal SA (Household & Personal Products)   6,615,071
  1,916      LVMH Moet Hennessy Louis Vuitton SE (Consumer Durables & Apparel)   1,372,362
  4,822      Nexity SA (Real Estate)   229,296
  39,778      Publicis Groupe SA (Media & Entertainment)   2,672,199
  38,375      Rexel SA (Capital Goods)*   739,414
  14,043      Sartorius Stedim Biotech (Pharmaceuticals, Biotechnology & Life Sciences)   7,847,297
  52,765      Societe Generale SA (Banks)   1,652,329
  7,145      Teleperformance (Commercial & Professional Services)   2,810,378
  2,686      Trigano SA (Automobiles & Components)   503,598
    

 

     66,903,832

 

 

 

Germany – 6.0%

  24,189      BASF SE (Materials)   1,833,775

 

 

 

GOLDMAN SACHS INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Germany – (continued)

  43,176      Brenntag SE (Capital Goods)   $    4,010,821
  20,925      Daimler AG (Registered) (Automobiles & Components)   1,846,248
  154,330      Deutsche Post AG (Registered) (Transportation)   9,678,006
  11,188      Deutsche Telekom AG (Registered) (Telecommunication Services)   224,366
  33,480      DWS Group GmbH & Co. KGaA (Diversified Financials)(c)   1,406,294
  325,030      E.ON SE (Utilities)   3,967,220
  1,171      Gerresheimer AG (Pharmaceuticals, Biotechnology & Life Sciences)   114,579
  24,549      Henkel AG & Co. KGaA (Preference) (Household & Personal Products)(d)   2,270,993
  32,072      Merck KGaA (Pharmaceuticals, Biotechnology & Life Sciences)   6,941,656
  46,652      Siemens AG (Registered) (Capital Goods)   7,629,983
  30,859      Volkswagen AG (Preference) (Automobiles & Components)(d)   6,878,551
    

 

     46,802,492

 

 

 

Hong Kong – 0.3%

  215,500      Sun Hung Kai Properties Ltd. (Real Estate)   2,690,807

 

 

 

Ireland – 0.1%

  15,867      Smurfit Kappa Group plc (Materials)   824,087

 

 

 

Israel – 0.5%

  190,911      Plus500 Ltd. (Diversified Financials)   3,575,545

 

 

 

Italy – 2.0%

  128,752      Azimut Holding SpA (Diversified Financials)   3,526,972
  34,834      Banca Generali SpA (Diversified Financials)*   1,522,435
  93,386      Banca Mediolanum SpA (Diversified Financials)   1,005,589
  58,892      Enel SpA (Utilities)   452,009
  539,535      Intesa Sanpaolo SpA (Banks)   1,527,416
  83,698      Poste Italiane SpA (Insurance)(c)   1,149,333
  182,792      Prysmian SpA (Capital Goods)   6,384,654
    

 

     15,568,408

 

 

 

Japan – 26.3%

  21,700      Aeon Co. Ltd. (Food & Staples Retailing)   570,493
  6,500      AGC, Inc. (Capital Goods)   334,960
  475,600      Amada Co. Ltd. (Capital Goods)   4,905,851
  18,100      Aozora Bank Ltd. (Banks)   442,610

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  20,500      Astellas Pharma, Inc. (Pharmaceuticals, Biotechnology & Life Sciences)   $       337,411
  31,600      Autobacs Seven Co. Ltd. (Retailing)   419,732
  11,100      Casio Computer Co. Ltd. (Consumer Durables & Apparel)   183,773
  42,800      Citizen Watch Co. Ltd. (Technology Hardware & Equipment)   196,098
  177,300      Concordia Financial Group Ltd. (Banks)   697,945
  177,700      Daiwa House Industry Co. Ltd. (Real Estate)   5,923,631
  542,800      Daiwa Securities Group, Inc. (Diversified Financials)   3,163,841
  136,900      Dentsu Group, Inc. (Media & Entertainment)   5,267,192
  2,800      Disco Corp. (Semiconductors & Semiconductor Equipment)   784,246
  5,800      Doutor Nichires Holdings Co. Ltd. (Consumer Services)   91,639
  16,200      DTS Corp. (Software & Services)   372,320
  8,600      Eagle Industry Co. Ltd. (Automobiles & Components)   95,060
  38,000      Ebara Corp. (Capital Goods)   1,868,959
  49,100      Fujitsu Ltd. (Software & Services)   8,872,893
  55,500      Hitachi Ltd. (Capital Goods)   3,283,419
  40,000      Hoya Corp. (Health Care Equipment & Services)   6,240,753
  27,300      Iida Group Holdings Co. Ltd. (Consumer Durables & Apparel)   702,203
  96,200      Isuzu Motors Ltd. (Automobiles & Components)   1,251,583
  15,700      Izumi Co. Ltd. (Retailing)   522,341
  67,500      JFE Holdings, Inc. (Materials)   1,012,248
  342,400      JVCKenwood Corp. (Consumer Durables & Apparel)   641,499
  12,000      Kaneka Corp. (Materials)   501,218
  11,500      Kansai Electric Power Co., Inc. (The) (Utilities)   111,437
  102,300      Kao Corp. (Household & Personal Products)   6,088,242
  17,700      Kawasaki Kisen Kaisha Ltd. (Transportation)*   955,466
  14,700      KDDI Corp. (Telecommunication Services)   483,970
  7,000      Koei Tecmo Holdings Co. Ltd. (Media & Entertainment)   332,271
  67,200      Konami Holdings Corp. (Media & Entertainment)   4,212,044
  10,300      Lintec Corp. (Materials)   235,251
  50,300      Lixil Corp. (Capital Goods)   1,457,865
  441,400      Marubeni Corp. (Capital Goods)   3,651,801
  86,100      Marui Group Co. Ltd. (Retailing)   1,662,034

 

 

 

GOLDMAN SACHS INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  65,600      Mazda Motor Corp. (Automobiles & Components)*   $       567,698
  89,500      Mitsubishi Gas Chemical Co., Inc. (Materials)   1,764,906
  268,000      Mitsubishi HC Capital, Inc. (Diversified Financials)   1,401,343
  13,300      Mitsubishi Shokuhin Co. Ltd. (Food & Staples Retailing)   346,837
  294,300      Mitsui & Co. Ltd. (Capital Goods)   6,435,455
  19,700      Mitsui Chemicals, Inc. (Materials)   658,157
  96,200      Mitsui OSK Lines Ltd. (Transportation)   6,455,735
  28,700      Mizuno Corp. (Consumer Durables & Apparel)   682,691
  101,300      MS&AD Insurance Group Holdings, Inc. (Insurance)   3,388,155
  93,700      NEC Corp. (Software & Services)   5,077,698
  59,400      NGK Insulators Ltd. (Capital Goods)   1,006,898
  147,200      NGK Spark Plug Co. Ltd. (Automobiles & Components)   2,290,253
  21,200      Nippon Shokubai Co. Ltd. (Materials)   1,090,324
  141,000      Nippon Telegraph & Telephone Corp. (Telecommunication Services)   3,906,993
  95,000      Nippon Yusen KK (Transportation)   7,118,197
  75,100      Nitto Denko Corp. (Materials)   5,346,112
  71,400      NOK Corp. (Automobiles & Components)   836,397
  1,139,000      Nomura Holdings, Inc. (Diversified Financials)   5,615,162
  194,200      Nomura Research Institute Ltd. (Software & Services)   7,138,154
  3,400      NS United Kaiun Kaisha Ltd. (Transportation)   124,257
  260,800      NTT Data Corp. (Software & Services)   5,042,369
  76,400      Oji Holdings Corp. (Materials)   384,959
  10,700      OKUMA Corp. (Capital Goods)   515,477
  68,400      Olympus Corp. (Health Care Equipment & Services)   1,497,138
  25,200      Paramount Bed Holdings Co. Ltd. (Health Care Equipment & Services)   502,471
  1,600      Qol Holdings Co. Ltd. (Food & Staples Retailing)   21,647
  43,500      Rohm Co. Ltd. (Semiconductors & Semiconductor Equipment)   4,102,165
  4,500      San-A Co. Ltd. (Food & Staples Retailing)   160,512
  14,700      Santen Pharmaceutical Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   206,742
  265,400      Sekisui House Ltd. (Consumer Durables & Apparel)   5,557,731

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

  61,600      Shikoku Electric Power Co., Inc. (Utilities)   $       426,939
  14,800      Shin-Etsu Polymer Co. Ltd. (Materials)   138,274
  4,700      Shinko Electric Industries Co. Ltd. (Semiconductors & Semiconductor Equipment)   155,678
  87,900      SoftBank Group Corp. (Telecommunication Services)   5,079,327
  5,700      Starts Corp., Inc. (Real Estate)   135,632
  7,900      Subaru Corp. (Automobiles & Components)   145,990
  313,900      Sumitomo Corp. (Capital Goods)   4,421,888
  57,700      Sumitomo Dainippon Pharma Co. Ltd. (Pharmaceuticals, Biotechnology & Life Sciences)   1,031,332
  244,600      Sumitomo Forestry Co. Ltd. (Consumer Durables & Apparel)   4,645,803
  43,600      Sumitomo Mitsui Financial Group, Inc. (Banks)   1,533,820
  36,300      Sumitomo Realty & Development Co. Ltd. (Real Estate)   1,326,807
  10,800      Sun Frontier Fudousan Co. Ltd. (Real Estate)   107,753
  85,300      Suntory Beverage & Food Ltd. (Food, Beverage & Tobacco)   3,536,142
  174,600      TIS, Inc. (Software & Services)   4,765,549
  127,900      Tokio Marine Holdings, Inc. (Insurance)   6,856,080
  20,600      Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)   9,100,642
  19,700      Tokyo Seimitsu Co. Ltd. (Semiconductors & Semiconductor Equipment)   808,524
  269,200      Tosoh Corp. (Materials)   4,878,371
  27,000      Ulvac, Inc. (Semiconductors & Semiconductor Equipment)   1,537,452
  31,300      USS Co. Ltd. (Retailing)   532,799
  21,800      Wacoal Holdings Corp. (Consumer Durables & Apparel)   462,033
  197,300      Yamaha Motor Co. Ltd. (Automobiles & Components)   5,492,802
  57,200      Yellow Hat Ltd. (Retailing)   997,782
    

 

     205,234,351

 

 

 

Luxembourg – 0.8%

  51,680      Eurofins Scientific SE (Pharmaceuticals, Biotechnology & Life Sciences)   6,635,273

 

 

 

Netherlands – 8.6%

  20,640      ASM International NV (Semiconductors & Semiconductor Equipment)   8,083,004

 

 

 

GOLDMAN SACHS INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Netherlands – (continued)

  17,088      ASML Holding NV (Semiconductors & Semiconductor Equipment)   $  12,765,735
  80,092      BE Semiconductor Industries NV (Semiconductors & Semiconductor Equipment)   6,371,764
  91,568      ING Groep NV (Banks)   1,331,262
  174,588      Koninklijke Ahold Delhaize NV (Food & Staples Retailing)   5,813,455
  35,830      Koninklijke DSM NV (Materials)   7,165,143
  3,876      OCI NV (Materials)*   114,511
  12,965      Randstad NV (Commercial & Professional Services)   872,896
  372,640      Royal Dutch Shell plc Class A (Energy)   8,326,894
  96,518      Royal Dutch Shell plc Class B ADR (Energy)   4,272,852
  33,249      Signify NV (Capital Goods)(c)   1,664,333
  69,348      Universal Music Group NV (Media & Entertainment)*   1,856,811
  81,939      Wolters Kluwer NV (Commercial & Professional Services)   8,685,248
    

 

     67,323,908

 

 

 

New Zealand – 0.4%

  27,359      Fisher & Paykel Healthcare Corp. Ltd. (Health Care Equipment & Services)   601,780
  25,463      Xero Ltd. (Software & Services)*   2,498,647
    

 

     3,100,427

 

 

 

Norway – 2.1%

  87,240      Aker BP ASA (Energy)   2,827,732
  194,177      DNB Bank ASA (Banks)   4,414,554
  14,300      Equinor ASA (Energy)   363,661
  229,326      Europris ASA (Retailing)(c)   1,518,533
  14,503      Kid ASA (Retailing)(c)   188,136
  698,010      Norsk Hydro ASA (Materials)   5,209,942
  54,860      Orkla ASA (Food, Beverage & Tobacco)   503,516
  55,750      SpareBank 1 SMN (Banks)   827,792
  41,416      SpareBank 1 SR-Bank ASA (Banks)   574,045
    

 

     16,427,911

 

 

 

Singapore – 1.0%

  350,733      DBS Group Holdings Ltd. (Banks)   7,771,760

 

 

 

South Africa – 0.9%

  191,469      Anglo American plc (Materials)   6,710,731

 

 

 

Spain – 1.4%

  565,109      Banco Bilbao Vizcaya Argentaria SA (Banks)   3,730,065
  844,515      Banco Santander SA (Banks)   3,059,143
  315,636      Bankinter SA (Banks)   1,846,830
  39,305      EDP Renovaveis SA (Utilities)   975,230
  40,630      Linea Directa Aseguradora SA Cia de Seguros y Reaseguros (Insurance)   80,150

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Spain – (continued)

  14,643      Viscofan SA (Food, Beverage & Tobacco)   $       959,185
    

 

     10,650,603

 

 

 

Sweden – 2.8%

  148,381      Boliden AB (Materials)*   4,751,225
  11,225      Evolution AB (Consumer Services)(c)   1,699,907
  92,828      Getinge AB Class B (Health Care Equipment & Services)   3,700,864
  119,326      Kinnevik AB Class B (Diversified Financials)*   4,194,816
  27,702      Lundin Energy AB (Energy)   1,028,331
  712,340      Swedish Match AB (Food, Beverage & Tobacco)   6,237,776
    

 

     21,612,919

 

 

 

Switzerland – 10.2%

  10      Chocoladefabriken Lindt & Spruengli AG (Registered) (Food, Beverage & Tobacco)   1,179,248
  8,701      Kuehne + Nagel International AG (Registered) (Transportation)   2,970,532
  11,268      Lonza Group AG (Registered) (Pharmaceuticals, Biotechnology & Life Sciences)   8,452,237
  63,607      Nestle SA (Registered) (Food, Beverage & Tobacco)   7,664,012
  11,894      Novartis AG (Registered) (Pharmaceuticals, Biotechnology & Life Sciences)   975,299
  49,106      Roche Holding AG (Pharmaceuticals, Biotechnology & Life Sciences)   17,922,216
  20,488      Sonova Holding AG (Registered) (Health Care Equipment & Services)   7,742,584
  185,782      STMicroelectronics NV (Semiconductors & Semiconductor Equipment)   8,103,755
  13,378      Swatch Group AG (The) (Consumer Durables & Apparel)   3,490,076
  9,401      Tecan Group AG (Registered) (Pharmaceuticals, Biotechnology & Life Sciences)   5,324,574
  503,453      UBS Group AG (Registered) (Diversified Financials)   8,035,923
  18,651      Zurich Insurance Group AG (Insurance)   7,626,774
    

 

     79,487,230

 

 

 

United Kingdom – 5.6%

  1,722      AstraZeneca plc ADR (Pharmaceuticals, Biotechnology & Life Sciences)   103,423
  1,309,916      Aviva plc (Insurance)   6,942,392

 

 

 

GOLDMAN SACHS INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

United Kingdom – (continued)

  152,511      Barratt Developments plc (Consumer Durables & Apparel)   $    1,348,165
  21,205      BP plc ADR (Energy)   579,533
  233,392      British American Tobacco plc (Food, Beverage & Tobacco)   8,158,108
  7,821      Clarkson plc (Transportation)   400,445
  95,501      CNH Industrial NV (Capital Goods)   1,605,282
  194,685      Experian plc (Commercial & Professional Services)   8,155,382
  1,793      Games Workshop Group plc (Consumer Durables & Apparel)   248,112
  62,399      Halma plc (Technology Hardware & Equipment)   2,380,118
  60,061      IG Group Holdings plc (Diversified Financials)   649,033
  1,450,060      ITV plc (Media & Entertainment)*   2,073,835
  270,098      JD Sports Fashion plc (Retailing)   3,795,820
  761,626      Man Group plc (Diversified Financials)   2,096,557
  5,852      Morgan Sindall Group plc (Capital Goods)   188,057
  22,740      National Grid plc (Utilities)   270,963
  73,739      Paragon Banking Group plc (Banks)   541,987
  65,890      Persimmon plc (Consumer Durables & Apparel)   2,356,552
  71,708      Phoenix Group Holdings plc (Insurance)   619,931
  42,300      Segro plc (REIT)   679,500
  12,016      Unilever plc (Household & Personal Products)   650,527
  293      Vistry Group plc (Consumer Durables & Apparel)   4,824
    

 

     43,848,546

 

 

 

United States – 3.0%

  35,211      Ferguson plc (Capital Goods)   4,888,057
  8,544      QIAGEN NV (Pharmaceuticals, Biotechnology & Life Sciences)*   443,284
  68,853      Schneider Electric SE (Capital Goods)   11,467,745
  340,594      Stellantis NV (Automobiles & Components)   6,481,891
    

 

     23,280,977

 

 

 

TOTAL INVESTMENTS BEFORE SECURITIES LENDING
REINVESTMENT VEHICLE
(Cost $541,577,293)
  $757,454,071

 

 

Shares     

Dividend

Rate

  Value
  Securities Lending Reinvestment Vehicle(e) – 0.9%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  7,054,525      0.026%   $    7,054,525
  (Cost $7,054,525)

 

 

 

TOTAL INVESTMENTS – 98.1%

(Cost $548,631,818)

  $764,508,596

 

 

 

OTHER ASSETS IN EXCESS OF

    LIABILITIES – 1.9%

  15,083,559

 

 

  NET ASSETS – 100.0%   $779,592,155

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Security is currently in default and/or non-income producing.
(a)   All or a portion of security is segregated as collateral for initial margin requirements on futures transactions.
(b)   All or a portion of security is on loan.
(c)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(d)   Preference Shares are a special type of equity investment that shares in the earnings of the company, has limited voting rights, and receives a greater dividend than applicable Common Shares.
(e)   Represents an Affiliated Issuer.

 

 

Investment Abbreviations:
ADR  

— American Depositary Receipt

CVA  

— Dutch Certification

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 INTERNATIONAL TAX-MANAGED EQUITY FUND

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At September 30, 2021, the Fund had the following futures contracts:

 

Description      Number of
Contracts
      

Expiration

Date

       Notional
Amount
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Long position contracts:

                   

EURO STOXX 50 Index

       80          12/17/2021        $ 3,751,201        $ (122,441

FTSE 100 Index

       14          12/17/2021          1,334,317          3,038  

Hang Seng Index

       2          10/28/2021          315,030          2,847  

MSCI Singapore Index

       4          10/28/2021          104,139          (1,378

SPI 200 Index

       4          12/16/2021          527,247          (5,508

TOPIX Index

       10          12/09/2021          1,824,431          (24,052

 

 

Total Futures Contracts

 

     $ (147,494

 

 

GOLDMAN SACHS TAX-ADVANTAGED EQUITY FUNDS

 

Schedule of Investments (continued)

September 30, 2021 (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 Accounting principles generally accepted in the United States of America (“GAAP”) defines the fair value of a financial instrument as the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price); the Funds’ policy is to use the market approach. GAAP establishes a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The level in the fair value hierarchy within which the fair value measurement in its entirety falls shall be determined based on the lowest level input that is significant to the fair value measurement in its entirety. The levels used for classifying investments are not necessarily an indication of the risk associated with investing in these investments. The three levels of the fair value hierarchy are described below:

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

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

Level 3 — Prices or valuations that require significant unobservable inputs (including Goldman Sachs Asset Management, L.P. (“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 will be valued at the valid closing bid price for long positions and at the valid closing ask price for short positions (i.e. where there is sufficient volume, during normal exchange trading hours). If no valid bid/ask price is available, the equity security will be valued pursuant to the Valuation Procedures approved by the Trustees and consistent with applicable regulatory guidance. To the extent these investments are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. Certain equity securities containing unique attributes may be classified as Level 2.

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

Money Market Funds Investments in the Goldman Sachs Financial Square Government Fund (“Underlying Money Market Fund”) are valued at the net asset value (“NAV”) per share of the Institutional Share class on the day of valuation. These investments are generally classified as Level 1 of the fair value hierarchy. For information regarding the Underlying Money Market Fund’s accounting policies and investment holdings, please see the Underlying Money Market Fund’s shareholder report.

Derivative Contracts A derivative is an instrument whose value is derived from underlying assets, indices, reference rates or a combination of these factors. A 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 derivatives contracts. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments.

GOLDMAN SACHS TAX-ADVANTAGED EQUITY FUNDS

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

i. 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.

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

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

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.

C. Fair Value Hierarchy The following is a summary of the Funds’ investments and derivatives classified in the fair value hierarchy as of September 30, 2021:

 

                                                                    
U.S. EQUITY DIVIDEND AND PREMIUM             
Investment Type      Level 1      Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Europe

     $ 26,212,644      $        $  

North America

       2,857,070,083                  

South America

       17,030,927                  

Investment Company

       33,137,656                  

Securities Lending Reinvestment Vehicle

       1,327,200                  
Total      $ 2,934,778,510      $        $  
Derivative Type      Level 1      Level 2        Level 3  
Liabilities             

Futures Contracts(b)

     $ (594,615    $        $  

Written Options Contracts

       (14,130,860                
Total      $ (14,725,475    $        $  
INTERNATIONAL EQUITY DIVIDEND AND PREMIUM                         
Investment Type      Level 1      Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Africa

     $      $ 70        $  

Asia

       140,142        52,559,834           

Australia and Oceania

       2,531,276        14,509,611           

Europe

       10,935,646        96,429,217           

North America

              2,497,451           

South America

              299,694           

Securities Lending Reinvestment Vehicle

       975,125                  
Total      $ 14,582,189      $ 166,295,877        $  
Derivative Type      Level 1      Level 2        Level 3  
Liabilities             

Futures Contracts(b)

     $ (1,531    $        $  

Written Options Contracts

       (1,284,163                
Total      $ (1,285,694    $        $  

 

(a)   Amounts are disclosed by continent to highlight the impact of time zone differences between local market close and the calculation of NAV. Security valuations are based on the principal exchange or system on which they are traded, which may differ from country of domicile. The Funds utilize fair value model prices provided by an independent fair value service for certain international equity securities, resulting in a Level 2 classification.

 

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

GOLDMAN SACHS TAX-ADVANTAGED EQUITY FUNDS

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
U.S. TAX-MANAGED EQUITY             
Investment Type      Level 1      Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Asia

     $ 12,049,756      $        $  

Europe

       3,821,678                  

North America

       2,253,086,039                  

South America

       2,940,514                  

Investment Company

       5,379,367                  

Securities Lending Reinvestment Vehicle

       479,375                  
Total      $ 2,277,756,729      $        $  
Derivative Type      Level 1      Level 2        Level 3  
Liabilities(b)             

Futures Contracts

     $ (38,872    $        $  
INTERNATIONAL TAX-MANAGED EQUITY                         
Investment Type      Level 1      Level 2        Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Africa

     $      $ 6,710,731        $  

Asia

       3,575,545        222,058,881           

Australia and Oceania

       8,185,851        78,314,292           

Europe

       31,526,197        383,801,597           

North America

       443,284        22,837,693           

Securities Lending Reinvestment Vehicle

       7,054,525                  
Total      $ 50,785,402      $ 713,723,194        $  
Derivative Type      Level 1      Level 2        Level 3  
Assets(b)             

Futures Contracts

     $ 5,885      $        $  
Liabilities(b)             

Futures Contracts

     $ (153,379    $        $  

 

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

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

Securities Lending — Pursuant to exemptive relief granted by the Securities and Exchange Commission (“SEC”) and the terms and conditions contained therein, the Funds may lend their securities through a securities lending agent, Goldman Sachs Agency Lending (“GSAL”), a wholly-owned subsidiary of Goldman Sachs, to certain qualified borrowers including Goldman Sachs and affiliates. In accordance with the Funds’ securities lending procedures, the Funds receive cash collateral at least equal to the market value of the securities on loan. The market value of the loaned securities is determined at the close of business of the Funds, at their last sale price or official closing price on the principal exchange or system on which they are traded, and any additional required collateral is delivered to the Funds on the next business day. As with other extensions of credit, the Funds may experience delay in the recovery of their securities or incur a loss should the borrower of the securities breach its agreement with the Funds or become insolvent at a time when the collateral is insufficient to cover the cost of repurchasing securities on loan. Loans of securities are terminable at any time and as such 1) the remaining contractual maturities of the outstanding securities lending transactions are considered to be overnight and continuous and 2) the borrower, after notice, is required to return borrowed securities within the standard time period for settlement of securities transactions.

The Funds invest the cash collateral received in connection with securities lending transactions in the Goldman Sachs Financial Square Government Fund (“Government Money Market Fund”), an affiliated series of the Goldman Sachs Trust. The Government Money Market Fund is registered under the Act as an open end investment company, is subject to Rule 2a-7 under the Act, and is managed by GSAM, for which GSAM may receive a management fee of up to 0.16% on an annualized basis of the average daily net assets of the Government Money Market Fund.

Each of the Funds and GSAL received compensation relating to the lending of the Funds’ securities.

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

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

Dividend-Paying Investments Risk — A Fund’s investments in dividend-paying securities could cause the Fund to underperform other funds. Securities that pay dividends, as a group, can fall out of favor with the market, causing such securities to underperform securities that do not pay dividends. Depending upon market conditions and political and legislative responses to such conditions, dividend-paying securities that meet the Fund’s investment criteria may not be widely available and/or may be highly concentrated in only a few market sectors. In addition, issuers that have paid regular dividends or distributions to shareholders may not continue to do so at the same level or at all in the future. This may limit the ability of a Fund to produce current income.

GOLDMAN SACHS TAX-ADVANTAGED EQUITY FUNDS

 

Schedule of Investments (continued)

September 30, 2021 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Foreign and Emerging Countries Risk — Investing in foreign markets may involve special risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of more or less foreign government regulation, less public information, less stringent investor protections, less stringent accounting, corporate governance, financial reporting and disclosure standards, and less economic, political and social stability in the countries in which a Fund invests. The imposition of exchange controls (including repatriation restrictions), confiscation of assets and property, trade restrictions (including tariffs) and other government restrictions by the U.S. or other governments, or problems with registration, settlement or custody, may also result in losses. Foreign risk also involves the risk of negative foreign currency rate fluctuations, which may cause the value of securities denominated in such foreign currency (or other instruments through which a 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 a Fund also invests in securities of issuers located in, or economically tied to, emerging markets, these risks may be more pronounced.

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

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

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

Liquidity Risk — A Fund may make investments that are illiquid or that may become less liquid in response to market developments or adverse investor perceptions. Illiquid investments may be more difficult to value. Liquidity risk may 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 the Fund’s NAV and dilute remaining investors’ interests. These risks may be more pronounced in connection with a Fund’s investments in securities of issuers located in emerging market countries. Redemptions by large shareholders may have a negative impact on a Fund’s liquidity.

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