0001752724-24-182931.txt : 20240820 0001752724-24-182931.hdr.sgml : 20240820 20240820112711 ACCESSION NUMBER: 0001752724-24-182931 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240630 FILED AS OF DATE: 20240820 DATE AS OF CHANGE: 20240820 PERIOD START: 20250331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GOLDMAN SACHS TRUST CENTRAL INDEX KEY: 0000822977 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05349 FILM NUMBER: 241223574 BUSINESS ADDRESS: STREET 1: 71 SOUTH WACKER DRIVE STREET 2: C/O GOLDMAN SACHS & CO CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3126554400 MAIL ADDRESS: STREET 1: 200 WEST STREET CITY: NEW YORK STATE: NY ZIP: 10282 FORMER COMPANY: FORMER CONFORMED NAME: GOLDMAN SACHS SHORT INTERMEDIATE GOVERNMENT FUND DATE OF NAME CHANGE: 19910711 FORMER COMPANY: FORMER CONFORMED NAME: SHORT INTERMEDIATE GOVERNMENT 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Long DBT CORP US N 2 2027-02-15 Fixed 6.75000000 N N N N N N INGEVITY CORP 5493009UTFC4B5IMGF87 Ingevity Corp 45688CAB3 381000.00000000 PA USD 346096.59000000 0.780801150183 Long DBT CORP US N 2 2028-11-01 Fixed 3.87500000 N N N N N N ADS Tactical Inc 549300N0X4211SRFZV95 ADS Tactical Inc 2021 Term Loan B 00737BAD7 129076.73000000 PA USD 129238.08000000 0.291563813187 Long LON CORP US N 2 2026-03-19 Floating 13.25000000 N N N N N N ATKORE INC 52990002TI38AM4RPV48 Atkore Inc 047649AA6 180000.00000000 PA USD 159303.60000000 0.359392255521 Long DBT CORP US N 2 2031-06-01 Fixed 4.25000000 N N N N N N McAfee LLC 2549009UKR8UEZYVCR93 McAfee LLC 2024 USD Term Loan B 57906HAE7 25000.00000000 PA USD 24941.50000000 0.056268545978 Long LON CORP US N 2 2029-03-01 Floating 8.57900000 N N N N N N Loyalty Ventures Inc 549300Q3YKVWNY6JIJ44 Loyalty Ventures Inc Term Loan B 54912FAD2 239875.95000000 PA USD 1799.07000000 0.004058739571 Long LON CORP US N 2 2027-11-03 None 0.00000000 Y N N N N N EQM MIDSTREAM PARTNERS L 549300NELT611CL6XM83 EQM Midstream Partners LP 26885BAM2 71000.00000000 PA USD 72563.42000000 0.163704594134 Long DBT CORP US N 2 2027-06-01 Fixed 7.50000000 N N N N N N DG Investment Intermediate Holdings 2 Inc N/A DG Investment Intermediate Holdings 2 Inc 2021 Term Loan 23344MAC2 143450.04000000 PA USD 142912.10000000 0.322412688478 Long LON CORP US N 2 2028-03-31 Floating 9.20800000 N N N N N N CHART INDUSTRIES INC EM7QGKC1GYOF3LSZSL80 Chart Industries Inc 16115QAF7 245000.00000000 PA USD 253572.55000000 0.572064979591 Long DBT CORP US N 2 2030-01-01 Fixed 7.50000000 N N N N N N MAJORDRIVE HOLDINGS IV L 25490044R1FR5N8FIT62 MajorDrive Holdings IV LLC 56085RAA8 184000.00000000 PA USD 173156.88000000 0.390645545124 Long DBT CORP US N 2 2029-06-01 Fixed 6.37500000 N N N N N N WR GRACE HOLDING LLC 549300WNOVFRGYOAEB12 WR Grace Holdings LLC 92943GAD3 247000.00000000 PA USD 238446.39000000 0.537940046069 Long DBT CORP US N 2 2027-06-15 Fixed 4.87500000 N N N N N N 2024-07-30 GOLDMAN SACHS TRUST Peter Fortner Peter Fortner Vice President XXXX NPORT-EX 2 NPORT_58P8_93341981_0624.htm HTML

GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – 94.9%

Argentina(a)(b) – 0.6%

YPF SA (NR/Caa3)

$

    190,000       9.500   01/17/31   $   193,040

 

Australia(a) – 0.6%

Santos Finance Ltd. (BBB-/NR)

    200,000       4.125     09/14/27   190,530

 

Bermuda(a) – 0.7%

Inkia Energy Ltd. (B+/Ba2)

    200,000       5.875     11/09/27   199,704

 

Brazil – 3.3%

B3 SA - Brasil Bolsa Balcao (NR/Ba1)

    210,000       4.125     09/20/31   183,488

Guara Norte SARL (NR/Baa3)

    165,630       5.198     06/15/34   152,628

Petrobras Global Finance BV (BB/Ba1)

    200,000       6.500 (a)    07/03/33   198,120

Samarco Mineracao SA (NR/B3) (PIK 9.049%, Cash 9.000%)

    131,794       9.000 (a)(c)    06/30/31   122,354

Sitios Latinoamerica SAB de CV (NR/Baa3)

    260,000       5.375 (a)    04/04/32   241,069

Vale Overseas Ltd. (BBB-/Baa3)

    50,000       6.125 (a)    06/12/33   50,400
    50,000       6.400 (a)    06/28/54   49,178
       

 

        997,237

 

British Indian Ocean Territory – 1.0%

Gohl Capital Ltd. (NR/Baa2)

    310,000       4.250     01/24/27   297,794

 

Canada(a) – 2.0%

First Quantum Minerals Ltd. (B/NR)

    200,000       6.875     10/15/27   195,062
    200,000       9.375 (b)    03/01/29   209,250

St. Mary’s Cement, Inc. (BBB/Baa3)

    200,000       5.750 (b)    04/02/34   197,360
       

 

        601,672

 

Cayman Islands – 0.6%

DP World Crescent Ltd. (NR/Baa2)

    200,000       3.875     07/18/29   187,250

 

Chile – 4.3%

AES Andes SA (BBB-/Baa3)

    200,000       6.300 (a)    03/15/29   200,380

Banco del Estado de Chile (BBB-/Baa3) (5 yr. CMT + 3.228%)

    200,000       7.950 (a)(b)(d)    05/02/29   206,400

Cia Cervecerias Unidas SA (BBB/NR)

    210,000       3.350 (a)    01/19/32   182,109

GNL Quintero SA (BBB+/Baa2)

    323,600       4.634     07/31/29   315,611

Interchile SA (NR/Baa1)

    250,000       4.500 (a)    06/30/56   209,375

Inversiones CMPC SA (BBB/Baa3)

    230,000       3.000 (a)    04/06/31   195,141
       

 

        1,309,016

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

China(a) – 1.2%

Huachen Energy Co. Ltd. (NR/WR)

$

    36,640       4.650 %(c)    12/29/26   $    19,007

Meituan (BBB/Baa3)

    200,000       3.050     10/28/30   172,063

Prosus NV (BBB/Baa3)

    200,000       4.193     01/19/32   176,812
       

 

        367,882

 

Colombia – 5.2%

Banco de Bogota SA (NR/Ba2)

    200,000       6.250     05/12/26   196,850

Bancolombia SA (NR/Ba3) (5 yr. CMT + 4.320%)

    200,000       8.625 (a)(d)    12/24/34   203,800

Ecopetrol SA (BB+/Ba1)

    400,000       8.625 (a)    01/19/29   421,040

Empresas Publicas de Medellin ESP (NR/Baa3)

    290,000       4.250 (a)    07/18/29   248,927

Geopark Ltd. (B+/NR)

    200,000       5.500 (a)    01/17/27   181,438

Oleoducto Central SA (BB+/Ba1)

    350,000       4.000 (a)    07/14/27   324,450
       

 

        1,576,505

 

Czech Republic(a)(d) – 0.7%

Ceska sporitelna AS (BBB+/NR) (3 mo. EUR EURIBOR + 2.350%)

EUR

    200,000       5.737     03/08/28   220,620

 

Dominican Republic(a) – 2.9%

Aeropuertos Dominicanos Siglo XXI SA (BB/Ba2)

$

    400,000       6.750     03/30/29   410,500

Aeropuertos Dominicanos Siglo XXI SA (NR/NR)

    460,000       7.000 (b)    06/30/34   463,496
       

 

        873,996

 

Ghana(a) – 1.3%

Kosmos Energy Ltd. (B/B3u)

    400,000       7.125     04/04/26   394,250

 

Guatemala(a) – 2.5%

Banco Industrial SA (NR/B1) (5 yr. CMT + 4.442%)

    200,000       4.875 (d)    01/29/31   191,550

Central American Bottling Corp./CBC Bottling Holdco SL/Beliv Holdco SL (NR/Ba2)

    200,000       5.250     04/27/29   186,000

CT Trust (NR/Ba2)

    200,000       5.125     02/03/32   176,700

Energuate Trust (NR/Ba2)

    220,000       5.875     05/03/27   212,025
       

 

        766,275

 

Hong Kong(a) – 1.4%

CAS Capital No. 1 Ltd. (BB/Ba2) (5 yr. CMT + 3.642%)

    200,000       4.000 (d)    07/12/26   186,750

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Hong Kong(a) – (continued)

Melco Resorts Finance Ltd. (BB-/Ba3)

$

    260,000       5.625   07/17/27   $   247,081
       

 

        433,831

 

Hungary(a)(d) – 0.7%

OTP Bank Nyrt (NR/Ba2) (-1X 5 yr. EURIBOR ICE Swap + 3.200%)

EUR

    200,000       2.875     07/15/29   213,380

 

India(a) – 2.8%

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

$

    200,000       4.200     08/04/27   185,250

IRB Infrastructure Developers Ltd. (NR/Ba2)

    200,000       7.110 (b)    03/11/32   200,312

JSW Hydro Energy Ltd. (NR/Ba1)

    152,000       4.125     05/18/31   134,140

JSW Infrastructure Ltd. (NR/Ba1)

    200,000       4.950     01/21/29   189,000

Vedanta Resources Finance II PLC (CCC+/NR)

    126,900       13.875     01/21/27   124,957
       

 

        833,659

 

Indonesia(a)(c) – 0.0%

Modernland Overseas Pte. Ltd. (NR/NR)

    3,000       5.000     04/30/27   150

 

Israel – 1.8%

Teva Pharmaceutical Finance Netherlands III BV (BB-/Ba2)

    200,000       7.125 (a)    01/31/25   200,638
    150,000       3.150     10/01/26   140,811
    200,000       4.750 (a)    05/09/27   192,786
       

 

        534,235

 

Jordan – 0.8%

Hikma Finance USA LLC (BBB-/WR)

    250,000       3.250     07/09/25   241,719

 

Kazakhstan(a) – 0.6%

Tengizchevroil Finance Co. International Ltd. (BB+/Baa2)

    200,000       2.625     08/15/25   192,000

 

Luxembourg – 2.3%

Acu Petroleo Luxembourg SARL (BB/Ba2)

    242,425       7.500 (a)    07/13/35   234,092

MHP Lux SA (CCC/NR)

    200,000       6.950     04/03/26   165,000

Rede D’or Finance SARL (BB/NR)

    320,000       4.500 (a)    01/22/30   288,900
       

 

        687,992

 

Malaysia(a) – 0.6%

GENM Capital Labuan Ltd. (BBB-/NR)

    200,000       3.882     04/19/31   175,000

 

Mauritius(a) – 0.8%

Axian Telecom (B/NR)

    240,000       7.375     02/16/27   233,866

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Mexico – 7.7%

Banco Mercantil del Norte SA (BB-/Ba2) (5 yr. CMT + 4.967%)

$

    230,000       6.750 %(a)(d)    09/27/24   $   228,203

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (NR/Baa2) (5 yr. CMT + 2.995%)

    200,000       7.525 (a)(d)    10/01/28   207,937

BBVA Bancomer SA (BB/NR) (5 yr. CMT + 2.650%)

    200,000       5.125 (a)(d)    01/18/33   182,437

Becle SAB de CV (BBB-/NR)

    250,000       2.500 (a)    10/14/31   197,656

Cemex SAB de CV (BB/NR) (5 yr. CMT + 5.157%)

    340,000       9.125 (a)(d)    03/14/28   362,844

Cemex SAB de CV (BBB-/NR)

    200,000       3.875 (a)    07/11/31   175,800

CIBANCO SA Institucion de Banca Multiple Trust CIB/3332 (NR/Ba1)

    400,000       4.375 (a)    07/22/31   320,875

Mexico City Airport Trust (BBB/Baa3)

    330,000       4.250 (a)    10/31/26   317,160
    200,000       5.500 (a)    07/31/47   165,688

Petroleos Mexicanos (BBB/B3)

    20,000       6.500     03/13/27   19,048
    20,000       5.350     02/12/28   17,950
    30,000       6.500     01/23/29   27,075
    20,000       8.750 (a)    06/02/29   19,638
    20,000       6.375     01/23/45   12,920
    40,000       6.750     09/21/47   26,355
    20,000       6.350     02/12/48   12,686
    40,000       6.950 (a)    01/28/60   26,270
       

 

        2,320,542

 

Mongolia(a) – 2.7%

MGM China Holdings Ltd. (B+/B1)

    200,000       4.750     02/01/27   190,600

Mongolian Mining Corp. (NR/NR)

    8,597       11.000 (e)    10/01/24   8,664

Mongolian Mining Corp./Energy Resources LLC (NR/B3)

    125,000       12.500     09/13/26   132,813

Sands China Ltd. (BBB-/Baa2)

    260,000       2.300     03/08/27   237,169

Wynn Macau Ltd. (BB-/B1)

    270,000       5.500     10/01/27   256,500
       

 

        825,746

 

Morocco – 1.7%

OCP SA (BB+/NR)

    320,000       4.500     10/22/25   313,800
    260,000       5.125 (a)    06/23/51   195,731
       

 

        509,531

 

Netherlands – 5.1%

Braskem Netherlands Finance BV (BB+/NR)

    200,000       4.500 (a)    01/31/30   169,300

Minejesa Capital BV (NR/Baa3)

    185,960       4.625     08/10/30   178,173

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Netherlands – (continued)

MV24 Capital BV (BB+/NR)

$

    315,320       6.748   06/01/34   $   300,166

NE Property BV (BBB/NR)

EUR

    330,000       1.875 (a)    10/09/26   331,364

Prosus NV (BBB/Baa2)

$

    200,000       3.257 (a)    01/19/27   186,710
    200,000       3.680 (a)    01/21/30   177,438

Vivo Energy Investments BV (BB+/Ba1)

    210,000       5.125 (a)    09/24/27   198,187
       

 

        1,541,338

 

Nigeria – 3.4%

Access Bank PLC (NR/Caa1)

    370,000       6.125     09/21/26   352,078

IHS Holding Ltd. (B+/NR)

    280,000       5.625 (a)    11/29/26   265,738

SEPLAT Energy PLC (B/Caa1)

    400,000       7.750 (a)    04/01/26   392,400
       

 

        1,010,216

 

Norway(a) – 1.1%

DNO ASA (NR/NR)

    130,000       7.875     09/09/26   129,187
    200,000       9.250     06/04/29   199,250
       

 

        328,437

 

Panama(a) – 2.7%

Aeropuerto Internacional de Tocumen SA (BBB/Baa3)

    200,000       4.000     08/11/41   151,063
    200,000       5.125     08/11/61   147,500

AES Panama Generation Holdings SRL (NR/Baa3)

    386,052       4.375     05/31/30   334,321

Telecomunicaciones Digitales SA (NR/Ba2)

    200,000       4.500     01/30/30   178,260
       

 

        811,144

 

Paraguay(a) – 1.6%

Banco Continental SAECA (NR/Ba1)

    300,000       2.750     12/10/25   283,781

Telefonica Celular del Paraguay SA (NR/Ba2)

    200,000       5.875     04/15/27   195,688
       

 

        479,469

 

Peru – 3.7%

Banco de Credito del Peru SA (BBB-/NR)

    220,000       5.850 (a)(b)    01/11/29   221,650

Consorcio Transmantaro SA (NR/Baa3)

    240,000       4.700     04/16/34   225,525

Hunt Oil Co. of Peru LLC Sucursal Del Peru (NR/Ba1)

    200,000       8.550 (a)(b)    09/18/33   216,312

InRetail Consumer (BB+/Baa3)

    200,000       3.250 (a)    03/22/28   181,125

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Peru – (continued)

SAN Miguel Industrias Pet SA/NG PET R&P Latin America SA (NR/Ba1)

$

    320,000       3.500 %(a)    08/02/28   $   279,600
       

 

        1,124,212

 

Romania(a)(d) – 1.9%

Banca Comerciala Romana SA (NR/Baa2) (3 mo. EUR EURIBOR + 4.539%)

EUR

    200,000       7.625     05/19/27   224,146

Banca Transilvania SA (NR/Ba1) (1 yr. EURIBOR ICE Swap + 5.580%)

    320,000       8.875     04/27/27   361,193
       

 

        585,339

 

Saudi Arabia(a) – 0.5%

Saudi Arabian Oil Co. (NR/A1)

$

    200,000       3.250     11/24/50   134,500

 

Singapore – 1.5%

Continuum Energy Aura Pte. Ltd. (B+/NR)

    200,000       9.500 (a)    02/24/27   205,625

LLPL Capital Pte. Ltd. (NR/Baa3)

    193,550       6.875     02/04/39   193,786

Modernland Overseas Pte. Ltd. (NR/Ca) (PIK 3.000%, Cash 2.000%)

    200,000       5.000 (a)(c)    04/30/27   55,000
       

 

        454,411

 

South Africa – 6.1%

Absa Group Ltd. (NR/B2) (5 yr. CMT + 5.411%)

    240,000       6.375 (a)(d)    05/27/26   233,175

Anglo American Capital PLC (BBB/Baa2)

    200,000       5.750 (a)(b)    04/05/34   199,074
    200,000       6.000 (a)(b)    04/05/54   197,872

Bidvest Group U.K. PLC (NR/Ba2)

    230,000       3.625 (a)    09/23/26   214,547

Eskom Holdings SOC Ltd. (B/B2)

    200,000       7.125     02/11/25   199,250

Eskom Holdings SOC Ltd. (BB-/Ba2)(f)

    200,000       4.314 (g)    07/23/27   185,346

MTN Mauritius Investments Ltd. (BB-/Ba2)

    320,000       6.500     10/13/26   318,400

Sasol Financing USA LLC (BB+/Ba1)

    290,000       8.750 (a)    05/03/29   293,828
       

 

        1,841,492

 

South Korea(h) – 0.6%

LG Chem Ltd. (NR/A3)

    200,000       1.600     07/18/30   177,528

 

Supranational – 1.2%

African Export-Import Bank (NR/Baa1)

    200,000       2.634 (a)    05/17/26   187,298

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Supranational – (continued)

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

$

    200,000       4.125   06/30/28   $   176,426
       

 

        363,724

 

Turkey – 6.6%

Akbank TAS (NR/B3)

    210,000       7.498 (b)    01/20/30   208,925

Anadolu Efes Biracilik Ve Malt Sanayii AS (BB+/NR)

    320,000       3.375 (a)    06/29/28   277,634

Coca-Cola Icecek AS (BB+/NR)

    200,000       4.500 (a)    01/20/29   184,375

Limak Iskenderun Uluslararasi Liman Isletmeciligi AS (NR/B3)

    267,286       9.500 (a)    07/10/36   245,903

Mersin Uluslararasi Liman Isletmeciligi AS (BB-/NR)

    200,000       8.250 (a)(b)    11/15/28   204,687

Sisecam U.K. PLC (NR/B2)

    230,000       8.625 (a)(b)    05/02/32   233,953

Turkiye Garanti Bankasi AS (NR/Caa2) (5 yr. CMT + 4.090%)

    200,000       8.375 (a)(b)(d)    02/28/34   199,563

Yapi ve Kredi Bankasi AS (NR/B3)

    400,000       9.250 (b)    10/16/28   424,875
       

 

        1,979,915

 

Ukraine – 0.7%

Metinvest BV (CCC+/NR)

EUR

    220,000       5.625     06/17/25   211,678

 

United Arab Emirates – 1.1%

Galaxy Pipeline Assets Bidco Ltd. (NR/Aa2)

$

    162,080       2.160     03/31/34   139,034

NBK Tier 1 Financing 2 Ltd. (NR/Baa3) (6 yr. CMT + 2.832%)

    200,000       4.500 (a)(d)    08/27/25   193,000
       

 

        332,034

 

United Kingdom(a) – 1.3%

Endeavour Mining PLC (BB-/NR)

    220,000       5.000     10/14/26   208,587

Tullow Oil PLC (CCC+/Caa2)

    200,000       7.000     03/01/25   191,688
       

 

        400,275

 

United States(a) – 1.9%

ATP Tower Holdings LLC/Andean Tower Partners Colombia SAS/Andean Telecom Partners (BB-/Ba3)

    200,000       4.050     04/27/26   188,000

GCC SAB de CV (BBB-/NR)

    200,000       3.614     04/20/32   169,928

Sagicor Financial Co. Ltd. (BBB/NR)

    230,000       5.300     05/13/28   217,925
       

 

        575,853

 

Uzbekistan – 2.4%

Ipoteka-Bank ATIB (BB-/NR)

    400,000       5.500     11/19/25   387,024

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Uzbekistan – (continued)

Uzbek Industrial & Construction Bank ATB (BB-/NR)

$

    330,000       5.750   12/02/24   $   325,472
       

 

        712,496

 

Vietnam(a) – 0.7%

Mong Duong Finance Holdings BV (NR/Ba2)

    227,686       5.125     05/07/29   216,799

 

TOTAL CORPORATE OBLIGATIONS
(Cost $27,494,588)
  $28,658,282

 

       
Sovereign Debt Obligations – 2.7%

Poland(b)(f)(g) – 1.2%

Bank Gospodarstwa Krajowego (NR/A2)

$

    340,000       6.250   10/31/28   $   351,597

 

Russia(i) – 0.2%

Russia Federal Bonds - OFZ (NR/WR)

RUB

    23,825,000       7.050     01/19/28   55,569

 

Uzbekistan – 1.3%

National Bank of Uzbekistan (BB-/NR)

$

    200,000       4.850     10/21/25   192,070

Republic of Uzbekistan International Bonds (BB-/NR)

    200,000       7.850 (b)    10/12/28   206,313
       

 

        398,383

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $1,054,347)
  $   805,549

 

       

Shares

   

Dividend

Rate

  Value
Investment Company(j) – 1.0%

Goldman Sachs Financial Square Government Fund — Institutional Shares

    293,069       5.213%   $   293,069

(Cost $293,069)

 

TOTAL INVESTMENTS – 98.6%
(Cost $28,842,004)
  $29,756,900

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 1.4%

  420,376

 

NET ASSETS – 100.0%   $30,177,276

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Pay-in-kind securities.

(d)

  Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
(e)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2024.
(f)   Guaranteed by a foreign government until maturity. Total market value of these securities amounts to $536,943, which represents approximately 1.8% of the Fund’s net assets as of June 30, 2024.
(g)   Guaranteed by a foreign government until maturity. Total market value of these securities amounts to $536,943, which represents approximately 2% of the Fund’s net assets as of June 30, 2024.
(h)   Security with “Put” features and resetting interest rates. Maturity dates disclosed are the puttable dates. Interest rate disclosed is that which is in effect on June 30, 2024.
(i)   Security is currently in default and/or non-income producing.
(j)   Represents an affiliated issuer.
 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

    

Unrealized

Gain

 

 

 

JPMorgan Securities, Inc.

    

USD

     1,813,494        EUR      1,676,870        07/30/24      $ 15,029  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

    

Unrealized

Loss

 

 

 

JPMorgan Securities, Inc.

    

EUR

       228,533        USD        245,447        07/30/24      $ (342

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

10 Year U.S. Treasury Notes

     4      09/19/24      $ 439,937      $ 86  

20 Year U.S. Treasury Bonds

     6      09/19/24        709,875        9,619  

Ultra 10-Year U.S. Treasury Note

     1      09/19/24        113,531        (658

Ultra Long U.S. Treasury Bonds

     2      09/19/24        250,688        (2,816

 

 

Total

                  $ 6,231  

 

 

Short position contracts:

                 

5 Year U.S. Treasury Notes

     (1)      09/30/24        (106,578      3  

 

 

TOTAL FUTURES CONTRACTS

                  $ 6,234  

 

 

SWAP CONTRACTS — At June 30, 2024, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

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

 

 

2.500%(b)

   6M EURO(c)   09/18/26   EUR 160     $ 1,896     $ 2,027     $ (131

2.500(b)

   6M EURO(c)   09/18/29     110       1,742       1,730       12  

2.500(b)

   6M EURO(c)   09/18/31     100       1,977       1,846       131  


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS (continued)

 

Payments Made

by the Fund

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

 

 

6M EURO(c)

   2.500%(b)     09/18/34     EUR 140     $ (4,029   $ (3,591   $ (438

2.750%(b)

   6M EURO(c)     09/18/39       110       1,269       726       543  

 

 

TOTAL

         $ 2,855     $ 2,738     $ 117  

 

 

 

(a)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2024.
(b)   Payments made annually.
(c)   Payments made semi-annually.

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced

Obligation/Index

   Financing Rate
Received/(Paid) by
the Fund(a)
  Credit
Spread at
June 30,
2024(b)
  Termination
Date
   Notional
Amount
(000s)
     Value      Upfront
Premiums
(Received)
Paid
     Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased:

 

        

Republic of South Africa, 5.875%, 9/16/2025

   (1.000)%   2.071%   06/20/29    $      $      $ 7      $ (7

 

 

 

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

 

 

Currency Abbreviations:
EUR   — Euro
RUB   — Russian Ruble
USD   — U.S. Dollar
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
EURIBOR   — Euro Interbank Offered Rate
ICE   — Inter-Continental Exchange
LLC   — Limited Liability Company
MTN   — Medium Term Note
NR   — Not Rated
PIK   — Payment in kind
PLC   — Public Limited Company
WR   — Withdrawn Rating
Abbreviation:
EURO   — Euro Offered Rate

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – 72.6%

Angola – 1.8%

Angola Government International Bonds (B-/B3)

$

    1,330,000       8.000   11/26/29   $  1,195,338
    450,000       8.750 (a)    04/14/32   398,391
    1,040,000       9.125     11/26/49   853,125

Angola Government International Bonds (NR/B3)

    327,000       9.500     11/12/25   331,598
    320,000       8.250     05/09/28   300,400
    2,160,000       8.250 (a)    05/09/28   2,027,700
    2,310,000       9.375     05/08/48   1,932,459
       

 

        7,039,011

 

Argentina(b) – 1.4%

Argentina Republic Government International Bonds (CCC/NR)

EUR

    120,088       0.500     07/09/29   68,440

$

    49,348       1.000     07/09/29   28,206
    1,054,677       0.750 (c)    07/09/30   591,674
    4,005,877       3.625 (c)    07/09/35   1,682,468
    4,100,000       4.250 (c)    01/09/38   1,881,900
    3,084,455       3.500 (c)    07/09/41   1,209,106
       

 

        5,461,794

 

Azerbaijan – 0.6%

Republic of Azerbaijan International Bonds (NR/Ba1u)

    2,880,000       3.500     09/01/32   2,457,000

 

Bahrain – 2.4%

Bahrain Government International Bonds (B+/B2u)

    1,510,000       7.375 (a)    05/14/30   1,572,759
    1,320,000       5.625 (a)    09/30/31   1,240,388
    230,000       5.450     09/16/32   211,025
    820,000       5.450 (a)    09/16/32   752,350

Bahrain Government International Bonds (B+/NR)

    1,490,000       4.250 (a)    01/25/28   1,399,203
    2,390,000       6.750     09/20/29   2,424,356
    1,230,000       5.250     01/25/33   1,096,238

CBB International Sukuk Programme Co. WLL (B+/B2u)

    890,000       3.950 (a)    09/16/27   838,547
       

 

        9,534,866

 

Benin(a) – 0.4%

Benin Government International Bonds (BB-/B1)

    350,000       7.960     02/13/38   324,844

Benin Government International Bonds (BB-/NR)

EUR

    1,420,000       4.875     01/19/32   1,272,677
       

 

        1,597,521

 

Bermuda(b) – 0.2%

Bermuda Government International Bonds (A+/A2)

$

    700,000       2.375     08/20/30   588,656
    580,000       3.375     08/20/50   394,944
       

 

        983,600

 

Brazil – 2.1%

Brazil Government International Bonds (BB/Ba2)

    705,000       3.875     06/12/30   622,163
    920,000       6.250     03/18/31   912,640

 

Principal

Amount

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

Brazil – (continued)

Brazil Government International Bonds (BB/Ba2) – (continued)

$

    1,660,000       6.000   10/20/33   $  1,595,260
    1,670,000       6.125     03/15/34   1,604,870
    3,070,000       4.750 (b)    01/14/50   2,188,910
    1,550,000       7.125     05/13/54   1,496,525
       

 

        8,420,368

 

Chile(b) – 1.7%

Chile Government International Bonds (A/A2)

    400,000       2.550     07/27/33   324,400
    710,000       3.500     01/31/34   616,280
    1,240,000       4.340     03/07/42   1,070,405
    390,000       3.500     01/25/50   280,800
    890,000       4.000     01/31/52   688,081
    280,000       5.330     01/05/54   264,600
    2,820,000       3.100     01/22/61   1,745,757
    3,200,000       3.250     09/21/71   1,982,400
       

 

        6,972,723

 

Colombia(b) – 3.0%

Colombia Government International Bonds (BB+/Baa2)

    1,200,000       4.500     03/15/29   1,092,000
    2,790,000       3.000     01/30/30   2,280,825
    3,890,000       3.125     04/15/31   3,065,320
    1,300,000       3.250     04/22/32   997,100
    580,000       7.500     02/02/34   580,290
    920,000       5.625     02/26/44   704,720
    1,660,000       5.000     06/15/45   1,166,150
    1,290,000       4.125     05/15/51   774,645
    2,320,000       3.875     02/15/61   1,284,120
       

 

        11,945,170

 

Costa Rica – 1.7%

Costa Rica Government International Bonds (BB-/B1)

    880,000       6.125     02/19/31   883,025
    3,833,000       6.550 (a)(b)    04/03/34   3,920,440
    470,000       5.625     04/30/43   419,034
    930,000       7.000     04/04/44   945,985
    460,000       7.300 (a)(b)    11/13/54   479,263
       

 

        6,647,747

 

Dominican Republic – 3.1%

Dominican Republic International Bonds (BB/Ba3)

    450,000       6.875     01/29/26   455,063
    1,030,000       5.950     01/25/27   1,023,820
    940,000       5.500 (a)(b)    02/22/29   907,687
    610,000       5.500 (b)    02/22/29   589,031
    2,900,000       4.500 (a)    01/30/30   2,642,625
    1,250,000       4.500     01/30/30   1,139,062
    150,000       7.050 (b)    02/03/31   154,406
    2,020,000       7.050 (a)(b)    02/03/31   2,079,337
    150,000       6.600 (a)(b)    06/01/36   149,475
    199,000       6.850     01/27/45   195,319
    830,000       6.500 (a)    02/15/48   787,463
    360,000       6.400 (a)    06/05/49   337,388

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

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

Dominican Republic – (continued)

Dominican Republic International Bonds (BB/Ba3) – (continued)

$

    2,330,000       5.875   01/30/60   $  1,981,956
       

 

        12,442,632

 

Ecuador – 1.7%

Ecuador Government International Bonds (B-/NR)

    1,462,360       0.000 (a)(d)    07/31/30   699,191
    2,239,000       0.000 (d)    07/31/30   1,070,522
    2,397,000       6.000 (c)    07/31/30   1,516,852
    6,008,455       3.500 (a)(c)    07/31/35   2,994,839
    769,000       3.500 (c)    07/31/35   383,298
       

 

        6,664,702

 

Egypt – 2.1%

Egypt Government International Bonds (B-/Caa1)

    2,240,000       7.300     09/30/33   1,764,700
    200,000       8.750     09/30/51   150,125
    1,720,000       7.500     02/16/61   1,149,713

Egypt Government International Bonds (B-/Caa1u)

    700,000       7.625 (a)    05/29/32   571,156
    2,530,000       8.700     03/01/49   1,884,850
    1,870,000       8.875 (a)    05/29/50   1,423,537
    1,850,000       8.875     05/29/50   1,408,313

Egypt Government International Bonds (NR/Caa1)

    210,000       8.500     01/31/47   155,400
       

 

        8,507,794

 

El Salvador – 0.8%

El Salvador Government International Bonds (B-/Caa1u)

    65,000       6.375     01/18/27   57,655
    380,000       8.625     02/28/29   335,160
    630,000       8.250     04/10/32   492,030
    610,000       7.650     06/15/35   439,009
    1,100,000       7.625     02/01/41   740,300
    830,000       7.125 (b)    01/20/50   525,753
    650,000       9.500 (a)(b)    07/15/52   506,391
       

 

        3,096,298

 

Ghana – 1.3%

Ghana Government International Bonds (D/Ca)

    796,000       6.375 (e)    02/11/27   402,975
    770,000       7.750 (e)    04/07/29   390,294
    1,350,000       7.625 (e)    05/16/29   682,594
    560,000       8.125 (a)(e)    03/26/32   286,300
    380,000       8.125 (e)    03/26/32   194,275
    944,000       8.625 (e)    04/07/34   481,912
    810,000       7.875 (e)    02/11/35   413,859
    490,000       8.875 (e)    05/07/42   248,522
    304,000       8.875 (a)(e)    05/07/42   154,185
    210,000       8.627 (a)(e)    06/16/49   105,000
    379,000       8.627 (e)    06/16/49   189,500
    440,000       8.950 (e)    03/26/51   224,400

Ghana Government International Bonds (NR/Caa3)

    1,970,000       10.750     10/14/30   1,328,519
       

 

        5,102,335

 

Principal

Amount

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

Guatemala – 1.9%

Guatemala Government Bonds (BB/Ba1)

$

    2,130,000       4.375 %(a)    06/05/27   $  2,030,822
    1,330,000       5.250 (a)(b)    08/10/29   1,276,800
    470,000       5.250 (b)    08/10/29   451,200
    1,270,000       4.900 (b)    06/01/30   1,202,134
    430,000       7.050 (b)    10/04/32   449,753
    350,000       7.050 (a)(b)    10/04/32   366,078
    1,090,000       6.125 (a)(b)    06/01/50   984,066

Guatemala Government Bonds (BB/NR)

    1,120,000       4.650 (b)    10/07/41   877,100
       

 

        7,637,953

 

Honduras(a)(b) – 0.2%

Honduras Government International Bonds (BB-/B1)

    710,000       5.625     06/24/30   605,053

 

Hungary – 3.7%

Hungary Government International Bonds (BBB-/Baa2)

    2,840,000       6.125 (a)    05/22/28   2,893,250
    520,000       6.125     05/22/28   529,750
    410,000       5.250     06/16/29   402,313
    1,870,000       5.250 (a)    06/16/29   1,834,937
    1,770,000       2.125     09/22/31   1,400,070
    2,580,000       6.250 (a)    09/22/32   2,654,820
    630,000       5.500 (a)    06/16/34   611,691
    1,450,000       5.500 (a)    03/26/36   1,393,812
    2,560,000       3.125     09/21/51   1,625,600
    580,000       6.750 (a)    09/25/52   621,977

Magyar Export-Import Bank Zrt (BBB-/NR)(f)

    790,000       6.125 (a)(b)    12/04/27   792,716
       

 

        14,760,936

 

Indonesia – 1.1%

Indonesia Government International Bonds (BBB/Baa2)

    1,170,000       4.650 (b)    09/20/32   1,127,222

EUR

    870,000       1.100     03/12/33   738,976

$

    350,000       4.625     04/15/43   317,226
    1,260,000       3.200 (b)    09/23/61   809,943
    1,490,000       3.350     03/12/71   958,722

Perusahaan Penerbit SBSN Indonesia III (BBB/Baa2)

    572,000       3.800 (a)    06/23/50   434,184
       

 

        4,386,273

 

Iraq(b) – 0.3%

Iraq International Bonds (NR/NR)

    1,355,000       5.800     01/15/28   1,268,195

 

Ivory Coast – 1.4%

Ivory Coast Government International Bonds (BB-/Ba2)

    770,000       6.375     03/03/28   744,013

EUR

    990,000       5.250     03/22/30   964,819

$

    420,000       7.625 (a)    01/30/33   406,875
    290,000       7.625     01/30/33   280,938
    2,530,000       6.125     06/15/33   2,229,562
    680,000       8.250 (a)    01/30/37   656,200
    340,000       8.250     01/30/37   328,100

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

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

Ivory Coast – (continued)

Ivory Coast Government International Bonds (BB-/NR)

$

    128,867       5.750 %(b)(c)    12/31/32   $    119,443
       

 

        5,729,950

 

Jamaica – 0.4%

Jamaica Government International Bonds (BB-/B1)

    1,400,000       7.875     07/28/45   1,627,063

 

Jordan – 0.9%

Jordan Government International Bonds (B+/Ba3)

    1,455,000       5.750     01/31/27   1,381,795
    480,000       7.500 (a)    01/13/29   468,000
    800,000       5.850 (a)    07/07/30   716,000
    1,290,000       5.850     07/07/30   1,154,550
       

 

        3,720,345

 

Kenya – 0.6%

Republic of Kenya Government International Bonds (B/B3u)

    510,000       7.000 (a)    05/22/27   485,137
    240,000       7.250     02/28/28   217,875
    200,000       7.250 (a)    02/28/28   181,563
    550,000       9.750 (a)    02/16/31   523,875
    200,000       8.000 (a)    05/22/32   172,800
    480,000       6.300     01/23/34   358,350
    820,000       8.250     02/28/48   635,836
       

 

        2,575,436

 

Latvia(a) – 0.4%

Latvia Government International Bonds (A/A3)

    1,600,000       5.125     07/30/34   1,577,744

 

Macedonia(a)(b) – 0.1%

North Macedonia Government International Bonds (BB-/NR)

EUR

    320,000       6.960     03/13/27   355,341

 

Maldives(a) – 0.1%

Maldives Sukuk Issuance Ltd. (NR/Caa1)

$

    600,000       9.875     04/08/26   549,000

 

Mexico(b) – 2.3%

Mexico Government International Bonds (BBB/Baa2)

    2,140,000       2.659     05/24/31   1,760,150
    710,000       4.875     05/19/33   654,620
    200,000       6.000     05/07/36   194,800

EUR

    110,000       2.250     08/12/36   89,532

$

    1,240,000       4.280     08/14/41   962,860

EUR

    1,110,000       2.125     10/25/51   675,361

$

    1,250,000       6.338     05/04/53   1,176,250
    4,719,000       3.771     05/24/61   2,902,185
    1,400,000       3.750     04/19/71   840,700
       

 

        9,256,458

 

Mongolia – 0.5%

Mongolia Government International Bonds (B/B3u)

    280,000       5.125 (a)    04/07/26   271,862
    280,000       3.500     07/07/27   252,263
    460,000       3.500 (a)    07/07/27   414,431

 

Principal

Amount

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

Mongolia – (continued)

Mongolia Government International Bonds (B/B3u) – (continued)

$

    720,000       8.650 %(a)    01/19/28   $    752,400
    200,000       7.875 (a)    06/05/29   204,022
       

 

        1,894,978

 

Morocco – 1.2%

Morocco Government International Bonds (BB+/Ba1u)

    640,000       2.375 (a)    12/15/27   568,960
    270,000       2.375     12/15/27   240,030
    1,230,000       5.950 (a)    03/08/28   1,233,075
    270,000       5.950     03/08/28   270,675

EUR

    710,000       1.500 (a)    11/27/31   614,716

$

    490,000       3.000 (a)    12/15/32   393,991
    1,230,000       4.000     12/15/50   843,703

Morocco Government International Bonds (BB+/NR)

    510,000       5.500     12/11/42   449,756
       

 

        4,614,906

 

Nigeria – 2.4%

Nigeria Government International Bonds (B-/Caa1)

    2,375,000       6.500     11/28/27   2,197,617
    630,000       6.125 (a)    09/28/28   552,431
    2,080,000       6.125     09/28/28   1,823,900
    200,000       8.375     03/24/29   187,500
    1,518,000       7.143     02/23/30   1,316,391
    1,320,000       7.875     02/16/32   1,141,800
    1,050,000       7.696 (a)    02/23/38   812,766
    980,000       7.625     11/28/47   712,950
    1,215,000       8.250     09/28/51   932,512
       

 

        9,677,867

 

Oman – 3.6%

Oman Government International Bonds (BB+/Ba1)

    990,000       4.750     06/15/26   970,509
    700,000       5.375     03/08/27   694,094
    1,500,000       6.500     03/08/47   1,496,250

Oman Government International Bonds (NR/Ba1)

    1,740,000       6.750 (a)    10/28/27   1,792,200
    2,960,000       5.625     01/17/28   2,956,300
    2,880,000       6.000     08/01/29   2,923,200
    200,000       6.250     01/25/31   205,875
    1,390,000       7.375 (a)    10/28/32   1,534,213
    1,420,000       6.750 (a)    01/17/48   1,446,181
    250,000       6.750     01/17/48   254,609
       

 

        14,273,431

 

Pakistan – 1.2%

Pakistan Government International Bonds (CCC+/Caa3)

    730,000       6.875     12/05/27   629,853
    500,000       7.875     03/31/36   370,055

Pakistan Government International Bonds (NR/Caa3)

    320,000       8.250     09/30/25   303,235
    1,630,000       7.375     04/08/31   1,282,097
    2,010,000       8.875     04/08/51   1,507,721

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

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

Pakistan – (continued)

Pakistan Water & Power Development Authority (CCC+/NR)

$

    940,000       7.500     06/04/31     $    700,888
       

 

        4,793,849

 

Panama – 1.8%

Panama Government International Bonds (BBB/Baa3)

    470,000       6.875 (b)      01/31/36     459,866
    1,190,000       4.500 (b)      04/16/50     801,762
    460,000       6.853 (b)      03/28/54     422,280
    1,990,000       4.500 (b)      04/01/56     1,289,520
    3,101,000       3.870 (b)      07/23/60     1,766,601
    1,410,000       4.500 (b)      01/19/63     900,990

Panama Notas del Tesoro (BBB/Baa3)

    1,460,000       3.750       04/17/26     1,375,977
       

 

        7,016,996

 

Paraguay – 1.6%

Paraguay Government International Bonds (BB+/Ba1)

    469,000       5.000 (a)      04/15/26     462,092
    2,190,000       4.700 (a)      03/27/27     2,131,828
    340,000       4.950 (a)(b)      04/28/31     324,381
    3,229,000       2.739 (a)(b)      01/29/33     2,597,327
    1,000,000       5.400 (b)      03/30/50     864,375
       

 

        6,380,003

 

Peru(b) – 0.9%

Peru Government International Bonds (BBB-/Baa1)

EUR

    580,000       1.250       03/11/33     489,351

$

    1,460,000       2.780       12/01/60     818,969
    330,000       3.600       01/15/72     212,128
    3,630,000       3.230       07/28/21 (g)    2,041,875
       

 

        3,562,323

 

Philippines – 0.4%

Philippines Government International Bonds (BBB+/Baa2)

    1,870,000       3.200       07/06/46     1,338,219
    330,000       5.950       10/13/47     351,037
       

 

        1,689,256

 

Poland – 2.3%

Bank Gospodarstwa Krajowego (NR/A2)(f)

    1,380,000       6.250 (a)      10/31/28     1,427,072

Republic of Poland Government International Bonds (A-/A2)

    970,000       4.625 (b)      03/18/29     960,998
    2,820,000       5.125 (b)      09/18/34     2,774,598
    1,430,000       5.500 (b)      04/04/53     1,399,655
    2,710,000       5.500 (b)      03/18/54     2,628,917
       

 

        9,191,240

 

Qatar – 0.6%

Qatar Government International Bonds (AA/Aa2)

    1,790,000       4.400       04/16/50     1,569,607
    830,000       4.400 (a)      04/16/50     727,806
       

 

        2,297,413

 

Principal

Amount

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

Romania – 2.1%

Romania Government International Bonds (BBB-/Baa3)

$

    1,520,000       3.000 %(a)    02/27/27   $  1,413,600
    2,400,000       6.625 (a)    02/17/28   2,449,536
    920,000       6.625     02/17/28   939,590

EUR

    1,130,000       1.750 (a)    07/13/30   984,401

$

    1,050,000       3.000 (a)    02/14/31   871,500

EUR

    700,000       2.124 (a)    07/16/31   603,715

$

    20,000       3.625 (a)    03/27/32   16,919

EUR

    140,000       3.375     01/28/50   99,565

$

    530,000       4.000     02/14/51   366,031
    740,000       7.625 (a)    01/17/53   800,587
       

 

        8,545,444

 

Saudi Arabia – 1.7%

Saudi Government International Bonds (NR/A1)

    590,000       4.750 (a)    01/16/30   576,725
    1,360,000       5.000 (a)    01/18/53   1,196,800
    200,000       3.750     01/21/55   141,250
    1,770,000       3.750 (a)    01/21/55   1,250,063
    4,610,000       4.500 (a)    04/22/60   3,736,981
       

 

        6,901,819

 

Senegal – 0.5%

Senegal Government International Bonds (B+/Ba3)

EUR

    1,680,000       4.750     03/13/28   1,662,008

$

    400,000       6.250     05/23/33   334,500
    200,000       6.750     03/13/48   143,600
       

 

        2,140,108

 

Serbia – 1.5%

Serbia International Bonds (BB+/Ba2)

    1,800,000       6.250 (a)    05/26/28   1,821,375

EUR

    630,000       1.000 (a)    09/23/28   573,283

$

    1,190,000       2.125     12/01/30   948,281

EUR

    520,000       1.650     03/03/33   416,801

$

    880,000       6.500 (a)    09/26/33   892,375
    460,000       6.500     09/26/33   466,469
    480,000       6.000 (a)    06/12/34   472,200

EUR

    290,000       2.050     09/23/36   220,120
       

 

        5,810,904

 

South Africa – 2.6%

Republic of South Africa Government International Bonds (BB-/Ba2)

$

    3,890,000       4.850     09/30/29   3,554,487
    400,000       5.875     06/22/30   379,500
    1,500,000       5.875     04/20/32   1,389,375
    530,000       6.250     03/08/41   451,825
    1,390,000       5.375     07/24/44   1,044,237
    430,000       5.000     10/12/46   301,538
    1,130,000       5.750     09/30/49   850,325
    890,000       7.300     04/20/52   804,338

Republic of South Africa Government International Bonds (NR/Ba2)

    280,000       4.850     09/27/27   268,100

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

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

South Africa – (continued)

Republic of South Africa Government International Bonds (NR/Ba2) – (continued)

$

    1,850,000       5.650   09/27/47   $  1,394,437
       

 

        10,438,162

 

Sri Lanka(e) – 1.0%

Sri Lanka Government International Bonds (D/Ca)

    370,000       6.850     03/14/24   210,016
    1,020,000       6.850 (a)    11/03/25   601,481
    1,150,000       6.200     05/11/27   673,828
    787,000       6.750     04/18/28   461,871
    470,000       6.750 (a)    04/18/28   275,831
    490,000       7.550     03/28/30   280,035
    2,660,000       7.550 (a)    03/28/30   1,520,190
       

 

        4,023,252

 

Trinidad and Tobago(a)(b) – 0.6%

Trinidad & Tobago Government International Bonds (BBB-/Ba2)

    1,560,000       4.500     06/26/30   1,430,325

Trinidad & Tobago Government International Bonds (BBB-/NR)

    900,000       6.400     06/26/34   893,813
       

 

        2,324,138

 

Tunisia – 0.5%

Tunisian Republic (NR/Caa2)

    1,890,000       5.750     01/30/25   1,795,500

 

Turkey – 3.9%

Hazine Mustesarligi Varlik Kiralama AS (NR/B3)

    2,130,000       5.125     06/22/26   2,078,081
    1,000,000       8.509 (a)    01/14/29   1,057,188

Turkiye Government International Bonds (NR/B3)

    1,090,000       5.250     03/13/30   997,009
    2,200,000       5.950     01/15/31   2,043,250
    880,000       5.875     06/26/31   810,150
    3,310,000       6.500     09/20/33   3,110,366
    2,202,000       7.625     05/15/34   2,217,827
    1,750,000       6.000     01/14/41   1,452,500
    980,000       4.875     04/16/43   693,656
    1,470,000       5.750     05/11/47   1,129,603
       

 

        15,589,630

 

Ukraine – 0.7%

Ukraine Government International Bonds (CC/Cau)

    640,000       7.750     09/01/29   193,600

Ukraine Government International Bonds (CC/NR)

EUR

    1,460,000       4.375 (a)    01/27/32   400,278
    970,000       4.375     01/27/32   265,938

$

    1,450,000       7.375     09/25/34   413,250
    873,000       7.253 (a)    03/15/35   248,369
    3,120,000       7.253     03/15/35   887,640
    648,000       7.750 (b)(h)    08/01/41   316,224
       

 

        2,725,299

 

United Arab Emirates – 0.6%

Abu Dhabi Government International Bonds (AA/NR)

    920,000       5.500 (a)    04/30/54   934,950

 

Principal

Amount

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

United Arab Emirates – (continued)

Emirate of Dubai Government International Bonds (NR/NR)

$

    2,160,000       3.900   09/09/50   $  1,586,250
       

 

        2,521,200

 

Uruguay – 1.0%

Uruguay Government International Bonds (BBB+/Baa1)

    2,295,920       5.750 (b)    10/28/34   2,392,349
    1,850,000       4.975     04/20/55   1,689,281
       

 

        4,081,630

 

Uzbekistan – 1.4%

National Bank of Uzbekistan (BB-/NR)

    1,560,000       4.850     10/21/25   1,498,146

Republic of Uzbekistan International Bonds (BB-/Ba3)

EUR

    530,000       5.375 (a)    05/29/27   566,007

Republic of Uzbekistan International Bonds (BB-/NR)

$

    940,000       7.850 (a)    10/12/28   969,669
    1,120,000       5.375     02/20/29   1,045,800
    600,000       3.700 (a)    11/25/30   493,500
    1,000,000       3.700     11/25/30   822,500
       

 

        5,395,622

 

Vietnam(b)(f) – 0.1%

Viet Nam Debt & Asset Trading Corp. (NR/NR)

    280,000       1.000     10/10/25   256,589

 

Zambia – 0.2%

Zambia Government International Bonds (CCC+/NR)

    638,549       5.750 (c)    06/30/33   561,724
    517,926       0.500     12/31/53   253,136
       

 

        814,860

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $309,472,320)
  $289,679,727

 

 
Corporate Obligations – 22.5%

Australia(b) – 0.3%

Santos Finance Ltd. (BBB-/Baa3)

$

    363,000       6.875   09/19/33   $    383,644

Santos Finance Ltd. (BBB-/NR)

    680,000       5.250     03/13/29   662,871
       

 

        1,046,515

 

Bermuda(a)(b) – 0.3%

Tengizchevroil Finance Co. International Ltd. (BB+/Baa2)

    1,280,000       2.625     08/15/25   1,228,800

 

Brazil – 1.3%

Banco do Brasil SA (B-/NR) (10 yr. CMT + 4.398%)

    310,000       8.748 (b)(h)    10/15/24   315,716

Banco do Brasil SA (NR/Ba2)

    240,000       6.000 (a)    03/18/31   235,875

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

    1,400,000       5.333 (a)    02/15/28   1,379,875

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Brazil – (continued)

BRF SA (NR/Ba3)

$

    420,000       4.875 %(b)    01/24/30   $    384,300

Itau Unibanco Holding SA (NR/B1) (5 yr. CMT + 3.446%)

    200,000       3.875 (b)(h)    04/15/31   192,500

Petrobras Global Finance BV (BB/Ba1)

    1,020,000       6.500 (b)    07/03/33   1,010,412

Vale Overseas Ltd. (BBB-/Baa3)

    1,510,000       6.125 (b)    06/12/33   1,522,080
    150,000       6.400 (b)    06/28/54   147,534
       

 

        5,188,292

 

British Virgin Islands – 0.1%

Easy Tactic Ltd. (NR/NR) (PIK 7.500%, Cash 6.500%)

    441,612       6.500 (b)(i)    07/11/28   13,248

SF Holding Investment 2021 Ltd. (A-/A3)

 
    390,000       2.375     11/17/26   362,546
       

 

        375,794

 

Chile – 0.9%

Banco del Estado de Chile (BBB-/Baa3) (5 yr. CMT + 3.228%)

    800,000       7.950 (a)(b)(h)    05/02/29   825,600

Empresa de los Ferrocarriles del Estado (A/NR)

    600,000       3.068 (a)(b)    08/18/50   361,500

Empresa de Transporte de Pasajeros Metro SA (NR/A3)

    830,000       3.650 (a)(b)    05/07/30   755,041

GNL Quintero SA (BBB+/Baa2)

    686,032       4.634     07/31/29   669,095

Inversiones CMPC SA (BBB/Baa3)

    200,000       3.850 (b)    01/13/30   182,500
    540,000       6.125 (a)(b)    06/23/33   550,631

Inversiones CMPC SA (BBB/NR)

    200,000       6.125 (a)(b)    02/26/34   203,500
       

 

        3,547,867

 

China – 0.3%

China Aoyuan Group Ltd. (NR/NR)

    8,063       0.000 (b)(d)    09/30/28   90
    33,996       5.500 (i)    09/30/31   170
    90,223       0.000 (c)    12/31/99   451

Fantasia Holdings Group Co. Ltd. (NR/NR)

    340,000       10.875 (b)(e)    03/02/24   3,832

Fantasia Holdings Group Co. Ltd. (NR/WR)

    200,000       11.875 (b)(e)    06/01/23   2,700

Meituan (BBB/Baa3)

    450,000       3.050 (b)    10/28/30   387,141

Prosus NV (BBB/Baa3)

    420,000       4.193 (b)    01/19/32   371,306

Redsun Properties Group Ltd. (NR/WR)

    220,000       9.700 (b)(e)    04/16/23   1,100

Shimao Group Holdings Ltd. (NR/NR)

    310,000       5.600 (b)(e)    07/15/26   15,113
    1,020,000       5.200 (b)(e)    01/16/27   49,725
    550,000       4.600 (b)(e)    07/13/30   26,812
    400,000       3.450 (b)(e)    01/11/31   19,500

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

China – (continued)

Sunac China Holdings Ltd. (NR/NR)

(PIK 6.000%, Cash 5.000%)

 

   

$

    126,114       6.000 %(a)(b)(e)(i)    09/30/26   $     16,080

(PIK 6.000%, Cash 5.000%)

 

   
    380,183       7.000 (a)(b)(e)(i)    09/30/29   34,216

(PIK 6.250%, Cash 5.250%)

 

   
    126,266       6.250 (a)(b)(e)(i)    09/30/27   14,061

(PIK 6.500%, Cash 5.500%)

 

   
    252,841       6.500 (a)(b)(e)(i)    09/30/27   26,260

(PIK 6.750%, Cash 5.750%)

 

   
    379,724       6.750 (a)(b)(e)(i)    09/30/28   37,023

(PIK 7.250%, Cash 6.250%)

 

   
    178,817       7.250 (a)(b)(e)(i)    09/30/30   15,199

(PIK 7.800%, Cash 1.000%)

 

   
    219,499       1.000 (a)(b)(e)(i)    09/30/32   13,170

Yuzhou Group Holdings Co. Ltd. (NR/Cu) (-1X 5 yr. CMT + 8.527%)

    2,020,000       5.375 (b)(e)    09/29/24   30,300
       

 

        1,064,249

 

Colombia – 0.8%

Banco de Bogota SA (NR/Ba2)

    350,000       6.250 (a)    05/12/26   344,487
    310,000       6.250     05/12/26   305,118

Bancolombia SA (NR/Ba3) (5 yr. CMT + 4.320%)

    790,000       8.625 (b)(h)    12/24/34   805,010

Ecopetrol SA (BB+/Ba1)

    470,000       8.625 (b)    01/19/29   494,722
    250,000       6.875 (b)    04/29/30   240,373
    1,370,000       4.625 (b)    11/02/31   1,122,989
       

 

        3,312,699

 

Dominican Republic(a)(b) – 0.4%

Aeropuertos Dominicanos Siglo XXI SA (BB/Ba2)

    1,490,000       6.750     03/30/29   1,529,113

 

Hong Kong – 0.2%

Add Hero Holdings Ltd. (NR/NR)

(PIK 8.500%, Cash 7.500%)

    59,175       8.500 (i)    09/30/29   2,367

(PIK 9.000%, Cash 8.000%)

    45,628       9.000 (i)    09/30/30   1,141

(PIK 9.800%, Cash 8.800%)

    59,544       9.800 (i)    09/30/31   1,191

CNAC HK Finbridge Co. Ltd. (NR/Baa2)

    753,000       3.875     06/19/29   701,937
       

 

        706,636

 

India – 0.6%

Adani Electricity Mumbai Ltd. (BBB-/Baa3)

    262,000       3.949     02/12/30   224,151

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

    370,000       4.200 (b)    08/04/27   342,712
    270,000       4.375     07/03/29   241,819

JSW Hydro Energy Ltd. (NR/Ba1)

    676,400       4.125 (b)    05/18/31   596,923

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

India – (continued)

Reliance Industries Ltd. (BBB+/Baa2)

$

    1,230,000       2.875 %(a)    01/12/32   $  1,045,734
       

 

        2,451,339

 

Indonesia – 1.0%

Bank Negara Indonesia Persero Tbk. PT (NR/Ba3) (5 yr. CMT + 3.466%)

    278,000       4.300 (b)(h)    03/24/27   258,540

Indonesia Asahan Aluminium PT/Mineral Industri Indonesia Persero PT (NR/Baa2)

    380,000       6.530     11/15/28   393,063
    270,000       5.450 (b)    05/15/30   264,600
    560,000       5.800 (a)(b)    05/15/50   515,441

Pertamina Geothermal Energy PT (NR/Baa3)

    330,000       5.150 (a)(b)    04/27/28   326,906

Pertamina Persero PT (BBB/Baa2)

    690,000       6.500     05/27/41   733,556
    920,000       6.000     05/03/42   923,737

Pertamina Persero PT (NR/Baa2)

    620,000       4.150 (b)    02/25/60   458,219
       

 

        3,874,062

 

Kazakhstan – 0.9%

KazMunayGas National Co. JSC (BB+/Baa2)

    2,322,000       4.750     04/19/27   2,248,712

KazMunayGas National Co. JSC (NR/Baa2)

    1,840,000       3.500 (a)(b)    04/14/33   1,507,075
       

 

        3,755,787

 

Luxembourg(b) – 0.1%

Rede D’or Finance SARL (BB/NR)

    256,000       4.500 (a)    01/22/30   231,120
    302,000       4.500     01/22/30   272,649
       

 

        503,769

 

Malaysia – 0.7%

GENM Capital Labuan Ltd. (BBB-/NR)

    740,000       3.882 (a)(b)    04/19/31   647,500

Khazanah Global Sukuk Bhd. (A-/A3)

    640,000       4.687     06/01/28   628,200

Petronas Capital Ltd. (A-/A2)

    920,000       3.500 (b)    04/21/30   843,447
    1,020,000       4.550 (a)(b)    04/21/50   872,171
       

 

        2,991,318

 

Mauritius(a)(b) – 0.1%

India Airport Infra (NR/B1)

    250,000       6.250     10/25/25   249,141

 

Mexico – 4.4%

Banco Mercantil del Norte SA (BB-/Ba2)

(5 yr. CMT + 4.643%)

    790,000       5.875 (a)(b)(h)    01/24/27   739,784

(5 yr. CMT + 4.967%)

    719,000       6.750 (a)(b)(h)    09/27/24   713,383

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Mexico – (continued)

BBVA Bancomer SA (BB/NR) (5 yr. CMT + 2.650%)

$

    550,000       5.125 %(a)(b)(h)    01/18/33   $    501,703

Bimbo Bakeries USA, Inc. (BBB+/Baa1)

    1,260,000       6.050 (a)(b)    01/15/29   1,292,287
    740,000       6.400 (a)(b)    01/15/34   781,394
    340,000       5.375 (a)(b)    01/09/36   331,075

Cemex SAB de CV (BB/NR)

(5 yr. CMT + 5.157%)

    760,000       9.125 (a)(b)(h)    03/14/28   811,062

(5 yr. CMT + 5.157%)

    200,000       9.125 (b)(h)    03/14/28   213,438

Cemex SAB de CV (BBB-/NR)

    400,000       5.450 (b)    11/19/29   392,250

Mexico City Airport Trust (BBB/Baa3)

    980,000       4.250 (a)(b)    10/31/26   941,868
    1,310,000       3.875 (a)(b)    04/30/28   1,229,762
    280,000       5.500 (a)(b)    10/31/46   232,138
    522,000       5.500 (b)    10/31/46   432,771
    1,109,000       5.500 (b)    07/31/47   918,737

Petroleos Mexicanos (BBB/B3)

    514,000       6.490 (b)    01/23/27   492,875
    180,000       6.500     03/13/27   171,432
    650,000       5.350     02/12/28   583,375
    360,000       6.500     01/23/29   324,900
    320,000       8.750 (b)    06/02/29   314,200
    654,000       5.950 (b)    01/28/31   525,653
    170,000       6.700 (b)    02/16/32   142,234
    240,000       6.375     01/23/45   155,040
    290,000       5.625     01/23/46   174,725
    2,720,000       6.750     09/21/47   1,792,126
    1,850,000       6.350     02/12/48   1,173,455
    743,000       7.690 (b)    01/23/50   535,540
    2,683,000       6.950 (b)    01/28/60   1,762,060
       

 

        17,679,267

 

Mongolia(b) – 0.3%

Sands China Ltd. (BBB-/Baa2)

    1,070,000       5.400     08/08/28   1,047,995

 

Morocco(b) – 0.6%

OCP SA (BB+/Baa3)

    1,190,000       6.750 (a)    05/02/34   1,221,237

OCP SA (BB+/NR)

    1,410,000       5.125     06/23/51   1,061,466
       

 

        2,282,703

 

Netherlands – 0.8%

IHS Netherlands Holdco BV (B+/B3)

    200,000       8.000 (a)(b)    09/18/27   194,188

Minejesa Capital BV (NR/Baa3)

    344,026       4.625     08/10/30   329,620

MV24 Capital BV (BB+/NR)

    796,183       6.748 (a)    06/01/34   757,918

NE Property BV (BBB/NR)

EUR

    530,000       1.875 (b)    10/09/26   532,191

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Netherlands – (continued)

NE Property BV (BBB/NR) – (continued)

EUR

    450,000       3.375 %(b)    07/14/27   $    465,677

Prosus NV (BBB/Baa2)

$

    310,000       3.257 (a)(b)    01/19/27   289,400
    480,000       3.680 (b)    01/21/30   425,850
       

 

        2,994,844

 

Nigeria(a)(b) – 0.2%

IHS Holding Ltd. (B+/NR)

    480,000       5.625     11/29/26   455,550
    400,000       6.250     11/29/28   356,750
       

 

        812,300

 

Panama(a) – 1.1%

Aeropuerto Internacional de Tocumen SA (BBB/Baa3)

    940,000       4.000 (b)    08/11/41   709,994
    2,130,000       5.125 (b)    08/11/61   1,570,875

Autoridad del Canal de Panama (A-/A3)

    380,000       4.950     07/29/35   352,331

Banco Latinoamericano de Comercio Exterior SA (BBB/Baa2)

    1,970,000       2.375 (b)    09/14/25   1,898,115
       

 

        4,531,315

 

Peru(a) – 0.2%

Atlantica Transmision Sur SA (BBB-/NR)

    704,088       6.875     04/30/43   734,452

 

Qatar(a)(b) – 0.2%

QatarEnergy (AA/Aa2)

    1,317,000       3.300     07/12/51   920,254

 

South Africa – 1.5%

Eskom Holdings SOC Ltd. (B/B2)

    1,760,000       7.125     02/11/25   1,753,400

Eskom Holdings SOC Ltd. (BB-/Ba2)(f)

    1,990,000       4.314     07/23/27   1,844,193
    720,000       6.350     08/10/28   697,349

Transnet SOC Ltd. (BB-/Ba3)

    1,460,000       8.250 (a)    02/06/28   1,453,156
    350,000       8.250     02/06/28   348,359
       

 

        6,096,457

 

Supranational(a)(b) – 0.5%

African Export-Import Bank (NR/Baa1)

    1,462,000       2.634     05/17/26   1,369,148
    650,000       3.798     05/17/31   554,340
       

 

        1,923,488

 

Turkey(a) – 1.0%

Akbank TAS (NR/B3)

    1,230,000       7.498     01/20/30   1,223,702

Sisecam U.K. PLC (NR/B2)

    680,000       8.250 (b)    05/02/29   689,988
    690,000       8.625 (b)    05/02/32   701,859

Turkiye Garanti Bankasi AS (NR/Caa2) (5 yr. CMT + 4.090%)

    950,000       8.375 (b)(h)    02/28/34   947,922

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Turkey(a) – (continued)

Yapi ve Kredi Bankasi AS (NR/Caa2) (5 yr. CMT + 5.278%)

$

    570,000       9.250 %(b)(h)    01/17/34   $    584,606
       

 

        4,148,077

 

Ukraine(e)(f) – 0.0%

NPC Ukrenergo (NR/Ca)

    346,000       6.875     11/09/28   121,965

 

United Arab Emirates – 1.8%

Abu Dhabi Crude Oil Pipeline LLC (AA/NR)

    2,680,000       4.600 (a)    11/02/47   2,401,950

DP World Ltd. (NR/Baa2)

    400,000       5.625     09/25/48   380,500
    970,000       4.700 (b)    09/30/49   805,706

Galaxy Pipeline Assets Bidco Ltd. (NR/Aa2)

    413,304       2.160 (a)    03/31/34   354,537
    397,096       2.160     03/31/34   340,634
    1,810,000       3.250     09/30/40   1,382,388

NBK Tier 1 Financing 2 Ltd. (NR/Baa3) (6 yr. CMT + 2.832%)

    1,140,000       4.500 (a)(b)(h)    08/27/25   1,100,100

NBK Tier 1 Ltd. (NR/Baa3) (6 yr. CMT + 2.875%)

    420,000       3.625 (b)(h)    08/24/26   388,369
       

 

        7,154,184

 

United Kingdom – 0.2%

CK Hutchison International 23 Ltd. (A/A2)

    210,000       4.875 (b)    04/21/33   202,898

Prudential Funding Asia PLC (A-/A3) (5 yr. CMT + 1.517%)

    310,000       2.950 (b)(h)    11/03/33   274,737

Ukraine Railways Via Rail Capital Markets PLC (NR/NR)

    410,000       8.250     07/09/26   309,550
       

 

        787,185

 

United States(b) – 0.4%

Kosmos Energy Ltd. (B/B3u)

    730,000       7.750 (a)    05/01/27   713,347

Sasol Financing USA LLC (BB+/Ba1)

    1,110,000       4.375     09/18/26   1,045,134
       

 

        1,758,481

 

Venezuela(e) – 1.3%

Petroleos de Venezuela SA (NR/NR)

    21,600,000       6.000     05/16/24   2,559,600
    77,934       6.000     11/15/26   9,235
    17,520,000       5.375     04/12/27   2,048,614
    1,650,000       5.375     04/12/27   192,934
    2,180,000       5.500     04/12/37   253,970
       

 

        5,064,353

 

TOTAL CORPORATE OBLIGATIONS
(Cost $104,995,811)
  $ 89,882,701

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 0.0%  
 

China – 0.0%

 
  22,556      China Aoyuan Group Ltd. Real Estate Management & Development*   $        432
  300,379      Sunac China Holdings Ltd. Real Estate Management & Development(e)   44,146
  224,816      Sunac Services Holdings Ltd. Real Estate Management & Development(a)   51,989
    

 

  96,567

 

 

 
TOTAL COMMON STOCKS
(Cost $617,619)
  $     96,567

 

 

    
Shares     

Dividend

Rate

  Value
  Investment Company(j) – 0.6%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

    2,362,620      5.213%   $  2,362,620
  (Cost $2,362,620)  

 

 

 
TOTAL INVESTMENTS – 95.7%
(Cost $417,448,370)
  $382,021,615

 

 

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 4.3%

  17,307,525

 

 

  NET ASSETS – 100.0%   $399,329,140

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(c)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2024.
(d)   Issued with a zero coupon. Income is recognized through the accretion of discount.
(e)   Security is currently in default and/or non-income producing.
(f)   Guaranteed by a foreign government until maturity. Total market value of these securities amounts to $6,519,759, which represents approximately 1.6% of the Fund’s net assets as of June 30, 2024.
(g)   Actual maturity date is July 28, 2121.
(h)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
(i)   Pay-in-kind securities.
(j)   Represents an affiliated issuer.
 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

      

Unrealized

Gain

 

 

 

JPMorgan Securities, Inc.

    

AUD

     1,472,363        NZD      1,611,211          07/05/24        $ 948  
    

AUD

     8,064,333        NZD      8,769,139          07/25/24          42,152  
    

AUD

     1,565,911        USD      1,036,674          09/18/24          10,096  
    

AUD

     1,109,472        USD      733,699          09/26/24          8,085  
    

AUD

     130,414        USD      85,539          09/27/24          1,657  
    

AUD

     677,225        USD      443,228          10/02/24          9,614  
    

AUD

     874,644        USD      578,577          11/07/24          6,649  
    

CAD

     842,725        EUR      566,000          09/18/24          8,680  
    

CHF

     358,922        EUR      373,000          09/18/24          2,345  
    

COP

     711,432,267        USD      167,850          10/15/24          750  
    

EUR

     1,757,655        CHF      1,687,096          07/05/24          3,886  
    

EUR

     1,249,016        CHF      1,183,840          07/25/24          17,523  
    

EUR

     372,346        CZK      9,304,732          07/12/24          1,116  
    

EUR

     1,824,047        CZK      45,410,941          07/25/24          13,530  
    

EUR

     1,356,645        GBP      1,148,138          07/05/24          1,828  
    

EUR

     1,225,346        GBP      1,036,464          07/25/24          3,483  
    

EUR

     1,376,226        SEK      15,586,680          07/05/24          3,287  
    

EUR

     1,255,415        SEK      14,067,160          07/25/24           17,204  
    

EUR

     1,327,738        USD      1,419,011          07/01/24          2,996  
    

EUR

     9,139,992        USD      9,770,284          07/05/24          20,440  
    

EUR

     2,586,825        USD      2,767,029          07/12/24          4,907  
    

EUR

     1,020,119        USD      1,090,456          07/24/24          3,310  
    

EUR

     1,057,330        USD      1,133,669          07/29/24          275  
    

EUR

     1,041,534        USD      1,116,004          08/01/24          1,113  
    

EUR

     393,705        USD      423,568          10/21/24          404  
    

GBP

     621,594        USD      785,621          07/05/24          159  
    

GBP

     1,631,742        USD      2,030,508          10/17/24          33,827  
    

GBP

     492,625        USD      623,072          11/04/24          236  
    

HUF

     232,090,007        USD      623,563          10/21/24          3,423  
    

INR

     28,309,773        USD      339,120          07/22/24          194  
    

MXN

     3,031,557        USD      165,446          07/05/24          136  
    

MXN

     7,095,931        USD      380,441          07/12/24          6,710  
    

MXN

     6,581,529        USD      356,761          07/15/24          2,150  
    

NZD

     683,493        USD      414,266          07/05/24          2,049  
    

PLN

     5,433,072        EUR      1,252,235          07/25/24          6,550  
    

PLN

     2,613,947        USD      647,403          09/18/24          1,300  
    

SGD

     1,958,748        USD      1,443,185          07/05/24          1,668  
    

TRY

     30,865,231        USD      863,653          09/18/24          3,240  
    

USD

     3,347,071        BRL      18,292,750          07/02/24          75,410  
    

USD

     516,081        BRL      2,867,218          08/02/24          5,155  
    

USD

     751,224        BRL      4,201,970          10/18/24          8,675  
    

USD

     345,665        BRL      1,894,246          10/28/24          11,283  
    

USD

     1,400,401        CHF      1,241,317          09/18/24          5,447  
    

USD

     3,496,442        CNH      25,310,201          09/19/24          7,946  
    

USD

     321,000        CNH      2,297,808          10/15/24          3,643  
    

USD

     167,658        COP      664,598,175          07/12/24          7,945  
    

USD

     167,850        COP      687,849,341          07/22/24          2,833  
    

USD

     167,850        COP      691,038,491          07/26/24          2,182  
    

USD

     1,428,574        COP      5,778,533,268          10/15/24          59,137  
    

USD

     3,834,881        EUR      3,570,653          07/01/24          10,713  
    

USD

     571,077        EUR      528,397          07/03/24          5,112  
    

USD

     399,941        EUR      373,153          07/05/24          222  
    

USD

     1,766,664        EUR      1,635,917          07/10/24          13,856  
    

USD

     5,993,665        EUR      5,583,854          07/12/24          10,233  
    

USD

     1,618,111        EUR      1,471,070          07/17/24          41,384  
    

USD

     2,706,892        EUR      2,474,365          07/24/24          53,890  
    

USD

     533,690        EUR      497,567          07/29/24          69  
    

USD

     3,503,315        EUR      3,217,235          08/06/24          51,730  
    

USD

     12,539,136        EUR      11,575,793          09/18/24          94,347  
    

USD

     2,135,475        EUR      1,947,041          09/19/24          42,172  


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN (continued)

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

      

Unrealized

Gain

 

 

 

JPMorgan Securities, Inc. (continued)

    

USD

     2,524,559        EUR      2,329,789          10/21/24        $ 15,663  
    

USD

     1,157,062        EUR      1,065,520          10/28/24          9,202  
    

USD

     1,166,457        GBP      922,015          07/05/24          905  
    

USD

     2,477,921        GBP      1,952,041          07/08/24          10,228  
    

USD

     4,517,694        GBP      3,567,393          07/12/24          7,828  
    

USD

     1,146,359        GBP      900,434          09/18/24          7,453  
    

USD

     146,972        HUF      52,604,858          07/03/24          4,354  
    

USD

     308,603        HUF      113,632,993          07/05/24          557  
    

USD

     947,462        HUF      346,426,718          10/21/24          11,599  
    

USD

     434        ILS      1,603          09/18/24          9  
    

USD

     527,600        KRW      722,469,031          09/12/24          2,004  
    

USD

     167,888        MXN      3,049,762          07/12/24          1,494  
    

USD

     333,976        MXN      5,874,312          10/18/24          18,328  
    

USD

     416,196        NZD      683,050          07/05/24          151  
    

USD

     1,623,505        NZD      2,650,620          07/08/24          9,017  
    

USD

     1,970,389        NZD      3,230,146          07/10/24          2,911  
    

USD

     2,990,382        NZD      4,874,860          07/12/24          21,106  
    

USD

     1,482,544        NZD      2,417,497          09/18/24          10,065  
    

USD

     328,854        PLN      1,323,802          09/18/24          326  
    

USD

     403,000        SGD      546,156          07/05/24          133  
    

USD

     4,548,510        SGD      6,146,838          07/25/24          9,866  
    

USD

     1,306,395        SGD      1,760,018          09/18/24          3,566  
    

ZAR

        30,651,884        USD      1,608,248          09/06/24          67,818  
    

ZAR

     2,961,343        USD      161,248          09/18/24          538  

 

 

TOTAL

                          $ 976,425  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc.

    

AUD

     606,534        USD      407,000          09/26/24        $ (1,477
    

BRL

     18,292,750        USD      3,332,910          07/02/24          (61,248
    

BRL

     5,417,673        USD      975,170          08/02/24          (9,765
    

BRL

     5,778,162        USD      1,085,101          10/18/24          (64,016
    

BRL

     2,855,782        USD      544,685          10/28/24          (40,566
    

CHF

     3,764,180        EUR      3,961,765          07/25/24          (45,367
    

CHF

     371,059        EUR      388,000          09/18/24          (142
    

CHF

     357,397        USD      403,000          09/18/24          (1,368
    

CLP

     104,737,358        USD      111,295          09/23/24          (58
    

CNH

     2,905,336        USD      400,285          07/12/24          (1,895
    

CNH

     11,313,861        USD        1,577,736          10/15/24          (15,143
    

CNH

     3,924,793        USD      545,641          10/16/24          (3,536
    

COP

     3,526,993,181        USD      878,783          07/15/24          (31,630
    

COP

     695,570,441        USD      167,850          07/22/24          (981
    

COP

     688,046,194        USD      165,277          07/31/24          (439
    

COP

     5,580,881,939        USD      1,409,615          10/15/24          (87,018
    

CZK

     16,593,830        EUR      664,900          07/12/24          (2,922
    

CZK

     27,568,468        EUR      1,110,440          07/25/24          (11,518
    

EUR

     1,875,879        PLN      8,204,030          07/25/24          (25,991
    

EUR

     298,000        PLN      1,298,789          09/18/24          (1,950
    

EUR

     377,000        SEK      4,281,198          07/05/24          (178
    

EUR

     2,242,914        USD      2,424,590          07/01/24          (22,430
    

EUR

     3,638,855        USD      3,913,933          07/03/24          (16,364
    

EUR

     1,740,783        USD      1,895,364          07/10/24          (30,197
    

EUR

     5,697,288        USD      6,117,206          07/12/24          (12,224
    

EUR

     3,830,307        USD      4,161,673          07/17/24          (56,258


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS (continued)

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc. (continued)

    

EUR

     2,463,244        USD      2,691,141          07/24/24        $ (50,063
    

EUR

     3,673,129        USD      3,979,123          08/06/24          (38,433
    

EUR

     1,851,718        USD      2,009,776          09/18/24          (19,049
    

EUR

     4,495,387        USD      4,908,629          09/19/24          (75,547
    

EUR

     2,506,099        USD      2,713,924          10/21/24          (15,162
    

EUR

     579,816        USD      634,608          10/23/24          (10,152
    

GBP

     2,818,697        EUR      3,343,398          07/25/24          (21,299
    

GBP

     621,151        USD      785,229          07/05/24          (8
    

GBP

     1,482,495        USD      1,895,200          07/08/24          (21,090
    

GBP

     3,946,239        USD      5,006,959          07/12/24          (18,159
    

GBP

     1,925,305        USD      2,435,126          08/01/24          (884
    

HUF

     113,632,993        USD      308,630          07/03/24          (559
    

HUF

     400,635,912        USD      1,117,686          10/21/24          (35,377
    

JPY

     125,615,977        USD      812,000          09/18/24          (21,704
    

KRW

     637,803,272        USD      465,679          09/12/24          (1,677
    

MXN

     23,743,758        USD      1,331,730          10/18/24          (55,891
    

NOK

     8,978,656        USD      844,174          09/18/24          (1,580
    

NZD

     6,547,843        AUD      6,050,964          07/25/24          (51,096
    

NZD

     659,568        AUD      611,000          09/18/24          (6,699
    

NZD

     1,316,211        USD      802,303          07/05/24          (601
    

NZD

     2,650,620        USD      1,635,763          07/08/24          (21,275
    

NZD

     1,856,418        USD      1,148,899          07/10/24          (18,158
    

NZD

     6,117,787        USD      3,746,014          07/12/24          (19,672
    

NZD

     1,677,654        USD      1,023,369          07/22/24          (1,505
    

NZD

     2,052,250        USD      1,257,003          09/13/24          (6,985
    

PLN

     3,243,145        USD      811,036          09/18/24          (6,186
    

SEK

     37,575,505        EUR      3,344,416          07/25/24          (36,320
    

SGD

     3,327,031        USD      2,473,220          07/25/24          (16,639
    

SGD

     3,374,748        USD      2,507,588          09/18/24          (9,476
    

USD

     413,976        AUD      620,876          07/05/24          (261
    

USD

     1,679,427        AUD      2,576,649          09/26/24          (43,298
    

USD

     693,989        AUD      1,041,243          11/07/24          (2,709
    

USD

     429,611        CAD      586,993          09/18/24          (272
    

USD

     3,328,167        EUR      3,110,459          07/03/24          (3,438
    

USD

     2,263,046        EUR      2,114,975          07/05/24          (2,509
    

USD

     1,595,702        EUR      1,489,640          07/10/24          (377
    

USD

     6,399,162        EUR      5,973,000          07/12/24          (1,262
    

USD

     695,679        EUR      649,257          07/17/24          (210
    

USD

     2,745,356        EUR      2,562,653          09/18/24          (9,674
    

USD

     2,247,903        EUR      2,101,777          09/19/24          (11,760
    

USD

     1,300,769        EUR      1,212,273          10/21/24          (4,700
    

USD

     1,963,192        GBP      1,572,256          10/17/24          (25,886
    

USD

     164,357        HUF      61,028,135          07/03/24          (1,096
    

USD

     1,021,918        INR      85,623,103          09/18/24          (2,429
    

USD

     543,824        MXN      10,272,475          09/18/24          (10,755
    

USD

     830,631        NZD      1,365,909          07/05/24          (1,342
    

USD

     638,004        PLN      2,573,040          09/18/24          (547
    

USD

     404,000        SGD      548,579          07/05/24          (655
    

USD

     575,769        THB      21,118,055          09/18/24          (3,419
    

USD

     165,277        ZAR      3,009,351          07/05/24          (69
    

USD

     1,687,015        ZAR      31,974,680          09/06/24          (61,383
    

USD

     674,278        ZAR      12,457,162          09/18/24          (6,289


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS (continued)

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc. (continued)

    

ZAR

     4,038,308        USD      222,544          07/12/24        $ (783
    

ZAR

     2,612,237        USD      143,058          09/06/24          (219

 

 

TOTAL

                          $ (1,321,269

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

10 Year U.S. Treasury Notes

     48      09/19/24      $ 5,279,250      $ (14,341

2 Year U.S. Treasury Notes

     69      09/30/24        14,091,094        30,873  

20 Year U.S. Treasury Bonds

     78      09/19/24        9,228,375        41,661  

Ultra 10-Year U.S. Treasury Note

     19      09/19/24        2,157,094        22,040  

 

 

Total

                  $ 80,233  

 

 

Short position contracts:

                 

5 Year U.S. Treasury Notes

     (21)      09/30/24        (2,238,141      63  

Ultra Long U.S. Treasury Bonds

     (41)      09/19/24        (5,139,094      (54,352

 

 

Total

                  $ (54,289

 

 

TOTAL FUTURES CONTRACTS

                  $ 25,944  

 

 

SWAP CONTRACTS — At June 30, 2024, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

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

 

 

1M BID Average(a)

     12.064%(a)   01/02/25   BRL   58,420     $ 44,162     $ 624,843     $ (580,681

1M BID Average(a)

   12.060(a)   01/02/25     64,020       (60,900     687,461       (748,361

1M BID Average(a)

   10.850(a)   01/02/26     113,500       (347,197     39,027       (386,224

1M BID Average(a)

   12.915(a)   01/02/26     9,670       38,530       33,594       4,936  

1M BID Average(a)

    9.750(a)   01/02/26     18,540       (84,058     (35,282     (48,776

6M CLICP(b)

    4.500(b)   06/21/26   CLP   1,867,490       (30,244     (19,199     (11,045

10.000%(a)

   Mexico Interbank TIIE 28 Days(a)   09/16/26   MXN  140,710 (c)      8,508       51,121       (42,613

3M CNY(d)

    1.750(d)   09/18/26   CNY  65,040 (c)      (7,797     (13,861     6,064  

2.500(e)

   6M EURO(b)   09/18/26   EUR  3,420 (c)       40,525       43,327       (2,802

6.500(b)

   6M MIBOR(b)   09/18/26   INR  645,050 (c)      1,491       1,934       (443

4.250(e)

   6M PRIBO(b)   09/18/26   CZK  170,820 (c)      (42,706     (42,703     (3

5.500(e)

   6M WIBOR(b)   09/18/26   PLN  34,590 (c)       (42,671     (26,857     (15,814

10.286(a)

   1M BID Average(a)   01/04/27   BRL  34,400       214,125             214,125  

12M SOFR(e)

    3.350(e)   10/06/27   $ 50,430 (c)       (458,464     (301,564     (156,900

12M SOFR(e)

    3.696(e)   09/22/28     38,250 (c)       5,657       (95,120     100,777  

11.500(a)

   1M BID Average(a)   01/02/29   BRL  25,390       71,345       (98,659     170,004  

10.250(a)

   1M BID Average(a)   01/02/29     88,540       840,859       540,914       299,945  

2.000(d)

   3M CNY(d)   09/18/29   CNY  62,280 (c)      (25,443     14,748       (40,191


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS (continued)

 

Payments Made

by the Fund

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

 

 

2.500%(e)

   6M EURO(b)     09/18/29     EUR   4,900 (c)    $ 77,581     $ 77,026     $ 555  

6.500(b)

   6M MIBOR(b)     09/18/29     INR  471,990 (c)      (19,995     (10,709     (9,286

2.500(e)

   6M EURO(b)     09/18/31     EUR  870 (c)       17,202       16,064       1,138  

5.000(b)

   6M CLICP(b)     06/21/34     CLP  513,950       16,070       12,528       3,542  

9.250(a)

   Mexico Interbank TIIE 28 Days(a)     09/06/34     MXN  34,500 (c)      11,747       42,802       (31,055

3M JIBAR(d)

    10.000%(d)     09/18/34     ZAR  55,630 (c)      138,595       75,421       63,174  

3.750(e)

   12M SOFR(e)     09/18/34     $ 4,220 (c)       56,506       23,276       33,230  

6M PRIBO(b)

   4.000(e)     09/18/34     CZK  43,070 (c)      18,680       (1,991     20,671  

6M WIBOR(b)

   5.500(e)     09/18/34     PLN  2,580 (c)       19,393       12,485       6,908  

2.500(e)

   6M EURO(b)     09/18/34     EUR  1,410 (c)       40,579       36,722       3,857  

3M KWCDC(d)

   3.250(d)     09/19/34     KRW   4,532,310 (c)      31,544       (17,169     48,713  

3.240(e)

   12M SOFR(e)     10/06/35     $ 11,440 (c)       507,566       (22,334     529,900  

3.781(e)

   12M SOFR(e)     09/22/36       8,630 (c)       13,455       136,649       (123,194

2.750(e)

   6M EURO(b)     09/18/39     EUR  1,520 (c)       17,539       10,038       7,501  

 

 

TOTAL

         $ 1,112,184     $ 1,794,532     $ (682,348

 

 

 

(a)   Payments made at monthly.
(b)   Payments made semi-annually.
(c)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2024.
(d)   Payments made quarterly.
(e)   Payments made annually.

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced

Obligation/Index

   Financing Rate
Received/(Paid) by
the Fund(a)
    Credit
Spread at
June 30,
2024(b)
  Termination
Date
   Notional
Amount
(000s)
     Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Purchased:

 

      

People’s Republic of China, 7.5%, 10/28/2027

        (1.000)%        0.621%   12/20/28    $ 2,420      $ (37,799   $ (23,560   $ (14,239

Republic of Colombia, 10.375%, 1/28/2033

     (1.000)     1.953   06/20/29      3,810        156,049       134,548       21,501  

Republic of South Africa, 5.875%, 9/16/2025

     (1.000)     2.071   06/20/29                   71       (71

Protection Sold:

 

      

Federative Republic of Brazil, 3.75%, 9/12/2031

     1.000     1.700   06/20/29      1,390        (41,886     (23,884     (18,002

Republic of Indonesia, 2.15%, 7/28/31

     1.000     0.783   06/20/29      3,520        34,886       40,389       (5,503

 

 
TOTAL              $ 111,250     $ 127,564     $ (16,314

 

 

 

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


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

PURCHASED AND WRITTEN OPTIONS CONTRACTS — At June 30, 2024, the Fund had the following purchased and written options:

OVER-THE-COUNTER OPTIONS ON FOREIGN CURRENCY

 

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

 

 

Purchased option contracts

 

Calls

 

Call USD/Put BRL

   Barclays Bank PLC   $ 5.698     10/16/2024   3,224,000   $ 3,224,000     $ 93,519     $ 75,022     $ 18,497  

Call USD/Put BRL

   Barclays Bank PLC     5.350     10/24/2024   1,613,000     1,613,000       104,061       40,309       63,752  

Call USD/Put BRL

   Barclays Bank PLC     5.590     10/24/2024   1,612,000     1,612,000       62,500       38,269       24,231  

Call EUR/Put USD

   BNP Paribas SA     1.089     08/02/2024   797,000     797,000       2,041       16,001       (13,960

Call USD/Put COP

   BofA Securities LLC     4,020.000     10/10/2024   3,277,000     3,277,000       185,232       86,126       99,106  

Call USD/Put ZAR

   Citibank NA     20.860     09/04/2024   6,836,000     6,836,000       13,419       113,341       (99,922

Call USD/Put ZAR

   Citibank NA     19.270     09/04/2024   776,414     776,414       6,992       6,646       346  

Call USD/Put CNH

   Deutsche Bank AG (London)     7.239     10/10/2024   1,639,000     1,639,000       14,322       15,407       (1,085

Call USD/Put HUF

   Deutsche Bank AG (London)     379.000     10/17/2024   1,920,000     1,920,000       29,637       45,677       (16,040

Call USD/Put MXN

   Deutsche Bank AG (London)     18.550     07/11/2024   1,610,000     1,610,000       12,014       29,017       (17,003

Call USD/Put MXN

   Deutsche Bank AG (London)     17.623     10/16/2024   1,612,000     1,612,000       96,741       39,044       57,697  

Call AUD/Put USD

   JPMorgan Securities, Inc.     0.663     11/05/2024   1,845,000     1,845,000       31,539       31,653       (114

Call USD/Put CNH

   JPMorgan Securities, Inc.     7.254     10/14/2024   1,630,500     1,630,500       12,897       16,501       (3,604

Call EUR/Put USD

   MS & Co. Int PLC     1.101     07/22/2024   800,000     800,000       208       15,534       (15,326

Call EUR/Put USD

   MS & Co. Int PLC     1.083     10/24/2024   1,131,000     1,131,000       13,646       18,956       (5,310

Call USD/Put CNH

   MS & Co. Int PLC     7.235     10/10/2024   1,651,000     1,651,000       14,894       15,465       (571

Call EUR/Put USD

   UBS AG (London)     1.106     07/15/2024   795,000     795,000       43       15,241       (15,198

Call USD/Put COP

   UBS AG (London)     4,190.000     10/10/2024   3,224,000     3,224,000       107,562       73,726       33,836  

Call USD/Put ZAR

   UBS AG (London)     19.270     09/04/2024   854,500     854,500       7,696       6,896       800  

 

 
         36,847,414   $ 36,847,414     $ 808,963     $ 698,831     $ 110,132  

 

 

Puts

 

Put AUD/Call USD

   Barclays Bank PLC     0.621     09/24/2024   6,556,000     6,556,000       7,194       34,157       (26,963

Put EUR/Call USD

   Barclays Bank PLC     1.089     09/16/2024   1,573,000     1,573,000       30,687       19,316       11,371  

Put GBP/Call USD

   Barclays Bank PLC     1.260     07/30/2024   5,108,000     5,108,000       33,622       34,860       (1,238

Put EUR/Call USD

   BNP Paribas SA     1.089     08/02/2024   797,000     797,000       14,485       16,001       (1,516

Put EUR/Call USD

   BNP Paribas SA     1.061     09/16/2024   4,720,000     4,720,000       34,697       24,644       10,053  

Put EUR/Call USD

   BNP Paribas SA     1.086     09/17/2024   1,574,000     1,574,000       28,351       17,669       10,682  

Put EUR/Call USD

   BNP Paribas SA     1.062     10/17/2024   1,505,500     1,505,500       14,158       17,012       (2,854

Put GBP/Call USD

   BNP Paribas SA     1.270     07/04/2024   3,812,000     3,812,000       25,650       18,689       6,961  

Put GBP/Call USD

   BNP Paribas SA     1.254     10/31/2024   1,273,000     1,273,000       18,458       18,457       1  

Put AUD/Call USD

   BofA Securities LLC     0.622     09/25/2024   6,621,000     6,621,000       7,858       33,810       (25,952

Put EUR/Call USD

   BofA Securities LLC     1.073     07/08/2024   2,984,000     2,984,000       18,717       15,776       2,941  

Put EUR/Call USD

   BofA Securities LLC     1.067     07/25/2024   1,504,000     1,504,000       8,468       9,438       (970


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER-THE-COUNTER OPTIONS ON FOREIGN CURRENCY (continued)

 

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

 

 

Purchased option contracts (continued)

 

Puts (continued)

 

Put NZD/Call USD

   BofA Securities LLC   $ 0.613     07/04/2024   5,257,000   $ 5,257,000     $ 25,034     $ 18,425     $ 6,609  

Put NZD/Call USD

   BofA Securities LLC     0.614     07/08/2024   5,254,000     5,254,000       29,890       20,208       9,682  

Put NZD/Call USD

   BofA Securities LLC     0.604     07/18/2024   5,274,000     5,274,000       14,960       19,150       (4,190

Put EUR/Call USD

   Deutsche Bank AG (London)     1.075     07/01/2024   4,458,000     4,458,000       24,024       19,521       4,503  

Put GBP/Call USD

   HSBC Bank PLC     1.233     10/15/2024   3,465,000     3,465,000       25,238       65,797       (40,559

Put EUR/Call USD

   JPMorgan Securities, Inc.     1.085     07/08/2024   4,477,000     4,477,000       62,896       22,199       40,697  

Put EUR/Call USD

   MS & Co. Int PLC     1.101     07/22/2024   800,000     800,000       23,222       15,534       7,688  

Put EUR/Call USD

   MS & Co. Int PLC     1.083     10/24/2024   1,131,000     1,131,000       20,156       18,956       1,200  

Put AUD/Call USD

   UBS AG (London)     0.623     09/30/2024   6,593,000     6,593,000       8,862       32,737       (23,875

Put EUR/Call USD

   UBS AG (London)     1.106     07/15/2024   795,000     795,000       27,178       15,241       11,937  

Put EUR/Call USD

   UBS AG (London)     1.071     07/15/2024   4,492,000     4,492,000       27,907       30,547       (2,640

Put EUR/Call USD

   UBS AG (London)     1.066     07/30/2024   3,019,000     3,019,000       16,906       19,162       (2,256

Put EUR/Call USD

   UBS AG (London)     1.058     09/17/2024   4,721,000     4,721,000       31,372       24,985       6,387  

Put EUR/Call USD

   UBS AG (London)     1.062     10/17/2024   1,505,500     1,505,500       14,158       13,557       601  

Put EUR/Call USD

   UBS AG (London)     1.086     10/21/2024   1,495,000     1,495,000       28,824       17,762       11,062  

Put NZD/Call USD

   UBS AG (London)     0.607     09/11/2024   5,267,000     5,267,000       43,679       42,869       810  

 

 
         96,031,000   $ 96,031,000     $ 666,651     $ 656,479     $ 10,172  

 

 

Total purchased option contracts

 

    132,878,414   $ 132,878,414     $ 1,475,614     $ 1,355,310     $ 120,304  

 

 

Written option contracts

Calls

 

 

Call EUR/Put GBP

   Barclays Bank PLC     0.852     07/04/2024   (1,343,000)     (1,343,000     (1,112     (5,827     4,715  

Call EUR/Put PLN

   Barclays Bank PLC     4.260     07/01/2024   (667,000)     (667,000     (8,553     (3,977     (4,576

Call USD/Put BRL

   Barclays Bank PLC     5.350     10/24/2024   (1,613,000)     (1,613,000     (104,061     (69,020     (35,041

Call EUR/Put USD

   BNP Paribas SA     1.083     10/24/2024   (1,131,000)     (1,131,000     (13,646     (20,929     7,283  

Call AUD/Put NZD

   BofA Securities LLC     1.077     07/09/2024   (2,202,000)     (2,202,000     (24,750     (6,860     (17,890

Call EUR/Put CHF

   BofA Securities LLC     0.982     07/01/2024   (1,337,000)     (1,337,000     (3     (8,440     8,437  

Call USD/Put SGD

   BofA Securities LLC     1.349     07/09/2024   (1,460,000)     (1,460,000     (8,753     (6,227     (2,526

Call USD/Put SGD

   BofA Securities LLC     1.349     07/18/2024   (1,457,000)     (1,457,000     (9,564     (6,197     (3,367

Call USD/Put SGD

   BofA Securities LLC     1.355     07/30/2024   (1,451,000)     (1,451,000     (6,193     (6,548     355  

Call AUD/Put NZD

   Citibank NA     1.093     07/30/2024   (2,189,000)     (2,189,000     (9,774     (7,859     (1,915

Call AUD/Put NZD

   Citibank NA     1.096     08/09/2024   (2,177,000)     (2,177,000     (9,106     (9,109     3  

Call EUR/Put CHF

   Citibank NA     0.959     07/25/2024   (1,354,000)     (1,354,000     (11,335     (10,799     (536

Call EUR/Put CZK

   Citibank NA     24.620     07/09/2024   (671,000)     (671,000     (12,719     (3,098     (9,621

Call EUR/Put GBP

   Citibank NA     0.846     07/18/2024   (1,357,000)     (1,357,000     (9,955     (9,733     (222

Call USD/Put ZAR

   Citibank NA     19.270     09/04/2024   (3,418,000)     (3,418,000     (30,783     (141,399     110,616  

Call USD/Put MXN

   Deutsche Bank AG (London)     19.429     07/11/2024   (1,610,000)     (1,610,000     (1,945     (11,202     9,257  

Call EUR/Put PLN

   HSBC Bank PLC     4.340     07/15/2024   (674,000)     (674,000     (2,017     (5,186     3,169  


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER-THE-COUNTER OPTIONS ON FOREIGN CURRENCY (continued)

 

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

 

 

Written option contracts (continued)

       

Calls (continued)

 

Call AUD/Put NZD

   JPMorgan Securities, Inc.   $ 1.095     08/01/2024   (2,181,000)   $ (2,181,000   $ (8,891   $ (8,155   $ (736

Call AUD/Put USD

   JPMorgan Securities, Inc.     0.663     11/05/2024   (1,845,000)     (1,845,000     (31,539     (29,863     (1,676

Call AUD/Put NZD

   MS & Co. Int PLC     1.077     07/15/2024   (2,197,193)     (2,197,193     (25,101     (7,551     (17,550

Call EUR/Put CHF

   MS & Co. Int PLC     0.956     07/22/2024   (1,362,000)     (1,362,000     (14,060     (11,949     (2,111

Call EUR/Put SEK

   MS & Co. Int PLC     11.350     07/04/2024   (1,344,000)     (1,344,000     (4,809     (9,522     4,713  

Call USD/Put COP

   UBS AG (London)     4,020.000     10/10/2024   (3,277,000)     (3,277,000     (185,231     (133,750     (51,481

 

 
         (38,317,193)   $ (38,317,193   $ (533,900   $ (533,200   $ (700

 

 

Puts

 

Put EUR/Call GBP

   Barclays Bank PLC     0.852     07/04/2024   (1,343,000)     (1,343,000     (8,815     (5,827     (2,988

Put EUR/Call PLN

   Barclays Bank PLC     4.260     07/01/2024   (667,000)     (667,000     (1     (3,977     3,976  

Put GBP/Call USD

   Barclays Bank PLC     1.270     07/04/2024   (3,812,000)     (3,812,000     (25,650     (31,348     5,698  

Put EUR/Call USD

   BNP Paribas SA     1.075     07/01/2024   (1,471,140)     (1,471,140     (7,928     (3,561     (4,367

Put EUR/Call USD

   BNP Paribas SA     1.089     09/16/2024   (1,573,000)     (1,573,000     (30,687     (19,725     (10,962

Put EUR/Call USD

   BNP Paribas SA     1.062     10/17/2024   (3,011,000)     (3,011,000     (28,316     (46,722     18,406  

Put EUR/Call USD

   BNP Paribas SA     1.083     10/24/2024   (1,131,000)     (1,131,000     (20,156     (20,929     773  

Put GBP/Call USD

   BNP Paribas SA     1.233     10/15/2024   (3,465,000)     (3,465,000     (25,238     (62,507     37,269  

Put AUD/Call NZD

   BofA Securities LLC     1.077     07/09/2024   (2,202,000)     (2,202,000     (25     (6,860     6,835  

Put AUD/Call USD

   BofA Securities LLC     0.648     09/25/2024   (2,648,000)     (2,648,000     (11,434     (32,005     20,571  

Put EUR/Call CHF

   BofA Securities LLC     0.982     07/01/2024   (1,337,000)     (1,337,000     (29,545     (8,440     (21,105

Put EUR/Call USD

   BofA Securities LLC     1.085     07/08/2024   (2,999,600)     (2,999,600     (42,141     (33,818     (8,323

Put EUR/Call USD

   BofA Securities LLC     1.073     07/08/2024   (2,984,000)     (2,984,000     (18,717     (21,105     2,388  

Put EUR/Call USD

   BofA Securities LLC     1.061     09/16/2024   (4,720,000)     (4,720,000     (34,697     (66,191     31,494  

Put NZD/Call USD

   BofA Securities LLC     0.614     07/08/2024   (5,254,000)     (5,254,000     (29,890     (33,906     4,016  

Put USD/Call SGD

   BofA Securities LLC     1.349     07/09/2024   (1,460,000)     (1,460,000     (1,314     (6,227     4,913  

Put USD/Call SGD

   BofA Securities LLC     1.349     07/18/2024   (1,457,000)     (1,457,000     (2,904     (6,197     3,293  

Put USD/Call SGD

   BofA Securities LLC     1.355     07/30/2024   (1,451,000)     (1,451,000     (7,178     (6,548     (630

Put AUD/Call NZD

   Citibank NA     1.093     07/30/2024   (2,189,000)     (2,189,000     (5,644     (7,859     2,215  

Put AUD/Call NZD

   Citibank NA     1.096     08/09/2024   (2,177,000)     (2,177,000     (9,109     (9,109      

Put EUR/Call CHF

   Citibank NA     0.959     07/25/2024   (1,354,000)     (1,354,000     (9,385     (10,799     1,414  

Put EUR/Call CZK

   Citibank NA     24.620     07/09/2024   (671,000)     (671,000     (65     (3,098     3,033  

Put EUR/Call GBP

   Citibank NA     0.846     07/18/2024   (1,357,000)     (1,357,000     (5,791     (9,733     3,942  

Put EUR/Call PLN

   HSBC Bank PLC     4.340     07/15/2024   (674,000)     (674,000     (6,192     (5,186     (1,006

Put EUR/Call USD

   HSBC Bank PLC     1.071     07/15/2024   (1,497,333)     (1,497,333     (9,828     (9,830     2  

Put AUD/Call NZD

   JPMorgan Securities, Inc.     1.095     08/01/2024   (2,181,000)     (2,181,000     (7,222     (8,155     933  

Put AUD/Call USD

   JPMorgan Securities, Inc.     0.621     09/24/2024   (6,556,000)     (6,556,000     (7,194     (51,165     43,971  


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER-THE-COUNTER OPTIONS ON FOREIGN CURRENCY (continued)

 

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

 

 

Written option contracts (continued)

       

Puts (continued)

 

Put EUR/Call USD

   JPMorgan Securities, Inc.   $ 1.085     07/08/2024   (1,477,410)   $ (1,477,410   $ (20,756   $ (10,436   $ (10,320

Put AUD/Call NZD

   MS & Co. Int PLC     1.077     07/15/2024   (2,197,193)     (2,197,193     (211     (7,551     7,340  

Put EUR/Call CHF

   MS & Co. Int PLC     0.956     07/22/2024   (1,362,000)     (1,362,000     (7,020     (11,949     4,929  

Put EUR/Call SEK

   MS & Co. Int PLC     11.350     07/04/2024   (1,344,000)     (1,344,000     (4,859     (9,522     4,663  

Put EUR/Call USD

   MS & Co. Int PLC     1.058     09/17/2024   (4,721,000)     (4,721,000     (31,372     (64,710     33,338  

Put AUD/Call USD

   UBS AG (London)     0.648     09/30/2024   (2,637,000)     (2,637,000     (12,164     (31,110     18,946  

Put EUR/Call USD

   UBS AG (London)     1.075     07/01/2024   (2,986,734)     (2,986,734     (16,096     (28,138     12,042  

Put EUR/Call USD

   UBS AG (London)     1.086     09/17/2024   (1,574,000)     (1,574,000     (28,351     (19,814     (8,537

Put NZD/Call USD

   UBS AG (London)     0.613     07/04/2024   (5,257,000)     (5,257,000     (25,034     (28,753     3,719  

 

 
    (85,198,410)   $ (85,198,410   $ (530,929   $ (742,810   $ 211,881  

 

 

Total written option contracts

 

    (123,515,603)   $ (123,515,603   $ (1,064,829   $ (1,276,010   $ 211,181  

 

 

TOTAL

         9,362,811   $ 9,362,811     $ 410,785     $ 79,300     $ 331,485  

 

 

 

 

Currency Abbreviations:
AUD   — Australian Dollar
BRL   — Brazil Real
CAD   — Canadian Dollar
CHF   — Swiss Franc
CLP   — Chilean Peso
CNH   — Chinese Yuan Renminbi Offshore
CNY   — Chinese Yuan Renminbi
COP   — Colombia Peso
CZK   — Czech Republic Koruna
EUR   — Euro
GBP   — British Pound
HUF   — Hungarian Forint
ILS   — Israeli Shekel
INR   — Indian Rupee
JPY   — Japanese Yen
KRW   — South Korean Won
MXN   — Mexican Peso
NOK   — Norwegian Krone
NZD   — New Zealand Dollar
PLN   — Polish Zloty
SEK   — Swedish Krona
SGD   — Singapore Dollar
THB   — Thailand Baht
TRY   — Turkish Lira
USD   — U.S. Dollar
ZAR   — South African Rand
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
LLC   — Limited Liability Company
NR   — Not Rated
PIK   — Payment in kind
PLC   — Public Limited Company
WR   — Withdrawn Rating

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

Abbreviations:
BofA Securities LLC   — Bank of America Securities LLC
CLICP   — Sinacofi Chile Interbank Rate
EURO   — Euro Offered Rate
JIBAR   — Johannesburg Interbank Agreed Rate
KWCDC   — South Korean Won Certificate of Deposit
MIBOR   — MIBOR - Mumbai Interbank Offered Rate
MS & Co. Int. PLC   — Morgan Stanley & Co. International PLC
SOFR   — Secured Overnight Financing Rate
TIIE   — La Tasa de Interbank Equilibrium Interest Rate
WIBOR   — Warsaw Interbank Offered Rate

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – 87.9%

Advertising(a)(b) – 0.3%

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

$

    2,539,000       4.250   01/15/29   $    2,313,207

Summer BC Bidco B LLC (B-/B2)

    2,676,000       5.500     10/31/26   2,612,525
       

 

        4,925,732

 

Aerospace & Defense – 2.1%

Bombardier, Inc. (B+/B1)

    2,865,000       7.000 (a)(b)    06/01/32   2,904,136

Howmet Aerospace, Inc. (BBB-/Baa3)

    3,040,000       3.000 (a)    01/15/29   2,762,509

Moog, Inc. (BB/Ba3)

    4,712,000       4.250 (a)(b)    12/15/27   4,467,965

Rolls-Royce PLC (BBB-/Ba1)

GBP

    2,415,000       3.375     06/18/26   2,926,475

TransDigm, Inc. (B/B3)

$

    5,323,000       5.500 (a)    11/15/27   5,227,772
    3,570,000       4.625 (a)    01/15/29   3,335,772
    8,868,000       4.875 (a)    05/01/29   8,308,607

TransDigm, Inc. (BB-/Ba3)

    2,584,000       6.750 (a)(b)    08/15/28   2,618,212
    1,645,000       6.375 (a)(b)    03/01/29   1,655,183
    5,250,000       6.875 (a)(b)    12/15/30   5,360,512
       

 

        39,567,143

 

Airlines(b) – 0.8%

American Airlines, Inc. (BB-/Ba2)

    7,750,000       7.250 (a)    02/15/28   7,750,000

American Airlines, Inc./AAdvantage Loyalty IP Ltd. (NR/Ba1)

    1,580,000       5.500     04/20/26   1,566,712

Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd. (NR/B2)

    4,768,141       5.750 (a)    01/20/26   4,536,076

VistaJet Malta Finance PLC/Vista Management Holding, Inc. (B-/B3)

    1,585,000       9.500 (a)(c)    06/01/28   1,391,757
       

 

        15,244,545

 

Auto Parts & Equipment(a)(b) – 0.3%

Clarios Global LP/Clarios U.S. Finance Co. (BB-/Ba3)

    5,010,000       6.750     05/15/28   5,070,922

 

Automotive(a) – 2.7%

Allison Transmission, Inc. (NR/Ba2)

    3,128,000       3.750 (b)    01/30/31   2,743,882

Clarios Global LP/Clarios U.S. Finance Co. (B/B3)

    4,111,000       8.500 (b)    05/15/27   4,136,118

Dana Financing Luxembourg SARL (BB-/B1)

EUR

    1,175,000       3.000 (b)    07/15/29   1,136,746

Dana, Inc. (BB-/B1)

$

    4,853,000       5.375     11/15/27   4,749,146
    2,260,000       5.625     06/15/28   2,190,799
    1,205,000       4.250     09/01/30   1,051,278

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

    5,849,000       8.000 (b)    02/01/28   5,657,621

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Automotive(a) – (continued)

Dornoch Debt Merger Sub, Inc. (CCC/Caa2)

$

    2,046,000       6.625 %(b)    10/15/29   $    1,739,611

Ford Motor Credit Co. LLC (BBB-/Ba1)

    1,560,000       6.950     03/06/26   1,585,771
    5,425,000       4.950     05/28/27   5,298,706
    2,803,000       3.815     11/02/27   2,628,766
    2,315,000       2.900     02/16/28   2,094,103

Garrett Motion Holdings, Inc./Garrett LX I SARL (B/B1)

    2,920,000       7.750 (b)    05/31/32   2,965,318

General Motors Financial Co., Inc. (BBB/Baa2)

    1,915,000       2.350     01/08/31   1,570,798

IHO Verwaltungs GmbH (BB-/Ba2)

(PIK 5.500%, Cash 4.750%)

    3,960,000       4.750 (b)(d)    09/15/26   3,837,636

(PIK 6.750%, Cash 6.000%)

 
    900,000       6.000 (b)(d)    05/15/27   886,725

(PIK 7.125%, Cash 6.375%)

    2,985,000       6.375 (b)(d)    05/15/29   2,948,344

(PIK 9.500%, Cash 8.750%)

EUR

    970,000       8.750 (b)(d)    05/15/28   1,111,259

ZF North America Capital, Inc. (BB+/Ba1)

$

    2,085,000       6.875 (b)    04/14/28   2,126,429
    1,825,000       6.750 (b)    04/23/30   1,860,295
       

 

        52,319,351

 

Banks – 2.9%

Bank of America Corp. (BBB+/A3) (5 yr. CMT + 1.200%)

    5,198,000       2.482 (a)(e)    09/21/36   4,150,499

Bank of New York Mellon Corp. (BBB/Baa1) (5 yr. CMT + 4.358%)

    4,960,000       4.700 (a)(e)    09/20/25   4,875,134

Barclays PLC (BB-/Ba1) (5 yr. U.K. Government Bond + 6.579%)

GBP

    1,500,000       7.125 (a)(e)    06/15/25   1,879,463

Citigroup, Inc. (BB+/Ba1)

(3 mo. USD Term SOFR + 3.685%)

$

    2,430,000       9.007 (a)(e)    08/15/24   2,434,933

(5 yr. CMT + 3.417%)

    2,565,000       3.875 (a)(e)    02/18/26   2,431,338

Comerica, Inc. (BB/Baa3) (5 yr. CMT + 5.291%)

    1,550,000       5.625 (a)(e)    07/01/25   1,517,605

Danske Bank AS (BBB+/Baa1) (1 yr. CMT + 2.100%)

    2,135,000       6.466 (a)(b)(e)    01/09/26   2,140,786

Deutsche Bank AG (BBB-/Baa3) (Secured Overnight Financing Rate + 2.757%)

    2,225,000       3.729 (a)(e)    01/14/32   1,879,947

JPMorgan Chase & Co. (BBB-/Baa2) (5 yr. CMT + 2.737%)

    4,820,000       6.875 (a)(e)    06/01/29   4,984,362

Morgan Stanley (BBB+/Baa1) (Secured Overnight Financing Rate + 1.360%)

    3,575,000       2.484 (a)(e)    09/16/36   2,829,291

PNC Financial Services Group, Inc. (BBB-/Baa2) (5 yr. CMT + 3.238%)

    4,462,000       6.200 (a)(e)    09/15/27   4,452,987

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Banks – (continued)

Societe Generale SA (BB/Ba2) (5 yr. USD ICE Swap + 5.873%)

$

    2,730,000       8.000 %(a)(b)(e)    09/29/25   $    2,723,202

Toronto-Dominion Bank (BBB/Baa1) (5 yr. CMT + 4.075%)

    1,475,000       8.125 (a)(e)    10/31/82   1,526,964

U.S. Bancorp (BBB/Baa2) (5 yr. CMT + 2.541%)

    4,540,000       3.700 (a)(e)    01/15/27   4,108,337

UBS AG (A+/Aa2)

    2,135,000       7.950     01/09/25   2,157,930

UBS Group AG (BB/Baa3) (5 yr. CMT + 4.745%)

    1,000,000       9.250 (a)(b)(e)    11/13/28   1,073,950

UBS Group AG (BB/NR) (5 yr. CMT + 3.098%)

    3,220,000       3.875 (a)(b)(e)    06/02/26   2,972,607

UniCredit SpA (BB+/Ba1) (5 yr. CMT + 4.750%)

    3,415,000       5.459 (a)(b)(e)    06/30/35   3,204,226

Wells Fargo & Co. (BB+/Baa2)

    1,550,000       5.875 (a)(e)    06/15/25   1,548,543

(5 yr. CMT + 3.606%)

    2,040,000       7.625 (a)(e)    09/15/28   2,174,130
       

 

        55,066,234

 

Beverages(a)(b) – 0.2%

Primo Water Holdings, Inc. (B+/B1)

    3,300,000       4.375     04/30/29   3,037,485

 

Building Materials(a)(b) –1.7%

Builders FirstSource, Inc. (BB-/Ba2)

    5,180,000       5.000     03/01/30   4,902,870

CP Atlas Buyer, Inc. (CCC/Caa2)

    3,298,000       7.000 (c)    12/01/28   2,861,048

EMRLD Borrower LP/Emerald Co.-Issuer, Inc. (BB-/B1)

    4,030,000       6.625     12/15/30   4,064,618

James Hardie International Finance DAC (BB+/Ba1)

    5,125,000       5.000     01/15/28   4,945,779

JELD-WEN, Inc. (BB-/B1)

    2,856,000       4.875     12/15/27   2,697,149

Masterbrand, Inc. (BB/Ba3)

    760,000       7.000     07/15/32   768,497

Owens Corning (BBB/Baa1)

    6,000       3.500     02/15/30   5,466

Smyrna Ready Mix Concrete LLC (BB-/Ba3)

    6,780,000       6.000     11/01/28   6,623,518
    3,000,000       8.875     11/15/31   3,182,610

Standard Industries, Inc. (BB/B1)

    1,880,000       5.000     02/15/27   1,826,871
    1,230,000       4.750     01/15/28   1,172,805
       

 

        33,051,231

 

Capital Goods(a)(b) – 0.1%

Cirsa Finance International SARL (B+/B2)

EUR

    1,823,312       10.375     11/30/27   2,090,848

 

Chemicals(a)(b) – 3.3%

Ashland, Inc. (BB+/Ba1)

$

    2,340,000       3.375     09/01/31   1,972,269

Avient Corp. (BB-/Ba3)

    2,660,000       7.125     08/01/30   2,707,135

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Chemicals(a)(b) – (continued)

Axalta Coating Systems LLC (BB/Ba3)

$

    2,760,000       3.375   02/15/29   $    2,475,334

Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding B BV (BB/Ba3)

    3,205,000       4.750     06/15/27   3,116,798

Chemours Co. (BB-/B1)

    2,911,000       5.750     11/15/28   2,689,444

Herens Holdco SARL (B-/B2)

    4,229,000       4.750     05/15/28   3,652,714

Ingevity Corp. (NR/Ba3)

    2,946,000       3.875     11/01/28   2,676,117

Minerals Technologies, Inc. (BB-/Ba3)

    3,421,000       5.000     07/01/28   3,246,461

Olympus Water U.S. Holding Corp. (B-/B3)

EUR

    750,000       3.875     10/01/28   750,458

$

    6,830,000       4.250     10/01/28   6,207,582
    4,045,000       9.750     11/15/28   4,285,030

Olympus Water U.S. Holding Corp. (CCC+/Caa2)

    658,000       6.250 (c)    10/01/29   599,346

SCIL IV LLC/SCIL USA Holdings LLC (BB-/B1)

    2,834,000       5.375     11/01/26   2,736,454

SNF Group SACA (BB+/Ba1)

 

   
    2,760,000       3.125     03/15/27   2,540,552
    3,870,000       3.375     03/15/30   3,340,855

Tronox, Inc. (BB-/B1)

    5,376,000       4.625     03/15/29   4,859,366

Valvoline, Inc. (B+/Ba3)

 

   
    1,946,000       3.625     06/15/31   1,675,350

Vibrantz Technologies, Inc. (CCC+/Caa2)

 
    7,350,000       9.000 (c)    02/15/30   6,723,927

WR Grace Holdings LLC (B-/B1)

    2,893,000       4.875     06/15/27   2,792,816
    2,610,000       7.375     03/01/31   2,643,017

WR Grace Holdings LLC (CCC/B3)

    1,914,000       5.625     08/15/29   1,759,827
       

 

        63,450,852

 

Commercial Services(a) – 4.3%

ADT Security Corp. (BB/Ba2)

 

   
    4,551,000       4.125 (b)    08/01/29   4,197,933

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL (B/B3)

    4,100,000       4.625 %(b)    06/01/28   3,735,674

APi Group DE, Inc. (B+/B1)

 

   
    6,373,000       4.125 (b)    07/15/29   5,798,410
    2,159,000       4.750 (b)    10/15/29   2,014,541

APX Group, Inc. (B/Ba3)

 

   
    10,145,000       5.750 (b)    07/15/29   9,732,809

APX Group, Inc. (BB/Ba2)

 

   
    1,525,000       6.750 (b)    02/15/27   1,521,233

Autostrade per l’Italia SpA (BBB-/Baa3)

 

EUR

    2,690,000       2.000     12/04/28   2,652,174

BCP V Modular Services Finance II PLC (B/B2)

    1,780,000       4.750 (b)    11/30/28   1,774,243

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Commercial Services(a) – (continued)

Block, Inc. (BB+/Ba2)

$

    4,850,000       2.750   06/01/26   $     4,585,093

Brink’s Co. (BB/Ba3)

    4,033,000       4.625 (b)    10/15/27   3,866,518
    435,000       6.500 (b)    06/15/29   439,707
    960,000       6.750 (b)    06/15/32   968,285

Garda World Security Corp. (B/B2)

    2,397,000       7.750 (b)    02/15/28   2,443,646

Garda World Security Corp. (CCC+/Caa2)

    2,846,000       9.500 (b)    11/01/27   2,862,905

Gartner, Inc. (BBB-/Baa3)

    2,202,000       3.625 (b)    06/15/29   2,015,975

Herc Holdings, Inc. (BB-/Ba3)

    3,019,000       5.500 (b)    07/15/27   2,975,496

MPH Acquisition Holdings LLC (CCC+/Caa1)

    9,127,000       5.750 (b)(c)    11/01/28   4,900,834

NESCO Holdings II, Inc. (B/B3)

    1,618,000       5.500 (b)    04/15/29   1,500,452

Paysafe Finance PLC/Paysafe Holdings U.S. Corp. (B/B2)

    3,400,000       4.000 (b)(c)    06/15/29   3,126,810

Prime Security Services Borrower LLC/Prime Finance, Inc. (B/B2)

    2,953,000       6.250 (b)    01/15/28   2,905,723

Prime Security Services Borrower LLC/Prime Finance, Inc. (BB/Ba2)

    4,553,000       3.375 (b)    08/31/27   4,215,167

PROG Holdings, Inc. (BB-/B1)

    5,520,000       6.000 (b)    11/15/29   5,244,773

Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc. (NR/Ba3)

    2,701,000       4.625 (b)    11/01/26   2,616,783

TriNet Group, Inc. (BB/Ba2)

    3,191,000       3.500 (b)    03/01/29   2,840,820
    1,225,000       7.125 (b)    08/15/31   1,243,265

Verisure Holding AB (B+/B1)

EUR

    650,000       3.250 (b)    02/15/27   668,273

Verisure Midholding AB (B-/B3)

    725,000       5.250 (b)    02/15/29   757,688
       

 

        81,605,230

 

Computers(a) – 1.7%

Ahead DB Holdings LLC (CCC+/Caa1)

$

    7,501,000       6.625 (b)    05/01/28   7,099,846

Crowdstrike Holdings, Inc. (BB/Baa3)

    6,771,000       3.000     02/15/29   6,099,520

KBR, Inc. (BB-/Ba3)

    2,613,000       4.750 (b)    09/30/28   2,445,899

McAfee Corp. (CCC+/Caa1)

    8,308,000       7.375 (b)    02/15/30   7,671,026

Science Applications International Corp. (BB-/B1)

    2,354,000       4.875 (b)    04/01/28   2,246,163

Seagate HDD Cayman (BB/Ba3)

    1,270,000       8.250     12/15/29   1,362,075
    2,561,220       9.625     12/01/32   2,919,355

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Computers(a) – (continued)

Virtusa Corp. (CCC+/Caa1)

$

    2,960,000       7.125 %(b)(c)    12/15/28   $     2,752,978
       

 

        32,596,862

 

Distribution & Wholesale(a)(b) – 1.0%

American Builders & Contractors Supply Co., Inc. (B+/Ba3)

    10,439,000       3.875     11/15/29   9,332,257

BCPE Empire Holdings, Inc. (CCC/Caa2)

    4,392,000       7.625     05/01/27   4,251,193

Gates Corp. (B+/B2)

    380,000       6.875     07/01/29   386,870

H&E Equipment Services, Inc. (BB-/B1)

    6,180,000       3.875     12/15/28   5,574,545
       

 

        19,544,865

 

Diversified Financial Services – 4.3%

AerCap Holdings NV (BBB-/Baa3) (5 yr. CMT + 4.535%)

    5,253,000       5.875 (a)(e)    10/10/79   5,229,939

Ally Financial, Inc. (BB-/Ba2) (5 yr. CMT + 3.868%)

    6,075,000       4.700 (a)(e)    05/15/26   5,367,627

Ally Financial, Inc. (BB+/Baa3)

    2,606,000       5.750 (a)    11/20/25   2,591,302

American Express Co. (BB+/Baa2) (5 yr. CMT + 2.854%)

    4,265,000       3.550 (a)(e)    09/15/26   3,973,914

Capital One Financial Corp. (BB/Baa3) (5 yr. CMT + 3.157%)

    2,085,000       3.950 (a)(e)    09/01/26   1,920,014

Castlelake Aviation Finance DAC (B+/B2)

    7,400,000       5.000 (a)(b)    04/15/27   7,145,958

Charles Schwab Corp. (BBB-/Baa2) (3 mo. USD LIBOR + 2.575%)

    3,305,000       5.000 (a)(e)    12/01/27   3,014,325

Jane Street Group/JSG Finance, Inc. (BB/Ba2)

    4,156,000       7.125 (a)(b)    04/30/31   4,262,061

Jefferies Finance LLC/JFIN Co.-Issuer Corp. (BB-/B1)

    3,928,000       5.000 (a)(b)    08/15/28   3,627,429

Macquarie Airfinance Holdings Ltd. (BB+/Baa3)

    4,326,000       8.375 (a)(b)    05/01/28   4,561,681
    430,000       6.400 (a)(b)    03/26/29   437,641

Navient Corp. (B+/Ba3)

    2,880,000       6.750     06/15/26   2,887,142
    2,815,000       5.000 (a)    03/15/27   2,689,873
    4,060,000       5.500 (a)    03/15/29   3,704,506

OneMain Finance Corp. (BB/Ba2)

    2,793,000       7.125     03/15/26   2,835,482
    1,458,000       3.500 (a)    01/15/27   1,365,898
    690,000       9.000 (a)    01/15/29   727,695
    3,380,000       7.875 (a)    03/15/30   3,483,935
    2,254,000       4.000 (a)    09/15/30   1,934,157
    2,780,000       7.500 (a)    05/15/31   2,814,333

StoneX Group, Inc. (BB-/Ba3)

    2,805,000       7.875 (a)(b)    03/01/31   2,893,386

United Wholesale Mortgage LLC (NR/Ba3)

 
    3,641,000       5.500 (a)(b)    04/15/29   3,457,858

VFH Parent LLC/Valor Co.-Issuer, Inc. (B+/B1)

    4,875,000       7.500 (a)(b)    06/15/31   4,897,864

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Diversified Financial Services – (continued)

VistaJet Malta Finance PLC/Vista Management Holding, Inc. (B-/B3)

$

    5,407,000       7.875 %(a)(b)(c)    05/01/27   $    4,776,922
    3,035,000       6.375 (a)(b)(c)    02/01/30   2,370,305
       

 

        82,971,247

 

Electrical – 0.6%

Duke Energy Corp. (BBB/Baa2)

    2,045,000       4.125     04/15/26   2,038,993

Edison International (BB+/Ba1) (5 yr. CMT + 4.698%)

    4,285,000       5.375 (a)(e)    03/15/26   4,190,859

NextEra Energy Operating Partners LP (BB/Ba1)

    3,709,000       7.250 (a)(b)    01/15/29   3,805,174

Pike Corp. (B-/B3)

    2,442,000       5.500 (a)(b)    09/01/28   2,340,828
       

 

        12,375,854

 

Electronics(b) – 1.0%

Atkore, Inc. (BB+/Ba2)

    2,593,000       4.250 (a)    06/01/31   2,294,857

Coherent Corp. (B+/B1)

    2,689,000       5.000 (a)    12/15/29   2,545,999

Imola Merger Corp. (BB-/B1)

    4,151,000       4.750 (a)    05/15/29   3,883,178

Sensata Technologies BV (BB+/Ba2)

    2,469,000       5.000     10/01/25   2,491,023
    1,135,000       4.000 (a)    04/15/29   1,042,713
    3,139,000       5.875 (a)    09/01/30   3,070,695

Sensata Technologies, Inc. (BB+/Ba2)

    3,389,000       4.375 (a)    02/15/30   3,116,287
    1,519,000       3.750 (a)    02/15/31   1,324,933
    235,000       6.625 (a)    07/15/32   236,652
       

 

        20,006,337

 

Engineering & Construction(a)(b) – 0.9%

Dycom Industries, Inc. (BB/Ba3)

    4,674,000       4.500     04/15/29   4,376,921

Global Infrastructure Solutions, Inc. (BB-/B1)

    8,148,000       5.625     06/01/29   7,669,957
    5,021,000       7.500     04/15/32   4,910,337
       

 

        16,957,215

 

Entertainment(a) – 3.6%

Banijay Entertainment SASU (B+/B1)

    2,610,000       8.125 (b)    05/01/29   2,671,622

Banijay SAS (B-/Caa1)

EUR

    1,275,000       6.500 (b)    03/01/26   1,365,899

Boyne USA, Inc. (B/B1)

$

    3,628,000       4.750 (b)    05/15/29   3,390,656

Caesars Entertainment, Inc. (B-/B3)

    5,343,000       8.125 (b)    07/01/27   5,452,158

Cinemark USA, Inc. (BB-/B2)

    4,200,000       5.250 (b)(c)    07/15/28   4,012,554

International Game Technology PLC (BB+/Ba1)

EUR

    2,364,000       2.375     04/15/28   2,375,038

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Entertainment(a) – (continued)

International Game Technology PLC (BB+/Ba1) – (continued)

$

    2,511,000       4.125 %(b)    04/15/26   $    2,443,504
    3,131,000       5.250 (b)    01/15/29   3,031,246

Light & Wonder International, Inc. (B+/B2)

    1,500,000       7.500 (b)    09/01/31   1,551,840

Live Nation Entertainment, Inc. (BB/Ba2)

    4,941,000       3.750 (b)    01/15/28   4,604,666

Merlin Entertainments Group U.S. Holdings, Inc. (B+/B2)

    4,732,000       7.375 (b)    02/15/31   4,822,854

Motion Bondco DAC (CCC+/Caa2)

    2,235,000       6.625 (b)(c)    11/15/27   2,172,934

Penn Entertainment, Inc. (B-/B3)

    2,900,000       5.625 (b)    01/15/27   2,798,616
    1,580,000       4.125 (b)    07/01/29   1,354,202

Pinewood Finco PLC (BB+/NR)

GBP

    2,125,000       3.250 (b)    09/30/25   2,607,882
    2,988,000       6.000 (b)    03/27/30   3,705,553

Premier Entertainment Sub LLC/Premier Entertainment Finance Corp. (CCC/Caa1)

$

    4,764,000       5.625 (b)    09/01/29   3,415,407

Resorts World Las Vegas LLC/RWLV Capital, Inc. (BB+/NR)

    7,100,000       8.450 (b)    07/27/30   7,517,267

SeaWorld Parks & Entertainment, Inc. (B+/B2)

    5,450,000       5.250 (b)    08/15/29   5,146,599

WMG Acquisition Corp. (BB+/Ba2)

    1,655,000       3.750 (b)    12/01/29   1,498,255
    1,200,000       3.875 (b)    07/15/30   1,071,948
    2,922,000       3.000 (b)(c)    02/15/31   2,518,530
       

 

        69,529,230

 

Environmental(a)(b) – 0.8%

GFL Environmental, Inc. (B/B3)

    2,216,000       4.000     08/01/28   2,054,941
    3,235,000       4.375     08/15/29   2,983,188

GFL Environmental, Inc. (BB/Ba3)

    3,460,000       3.500     09/01/28   3,190,224
    720,000       6.750     01/15/31   735,444

Madison IAQ LLC (CCC+/Caa1)

    7,080,000       5.875     06/30/29   6,592,117
       

 

        15,555,914

 

Food & Drug Retailing – 2.2%

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/ Albertsons LLC (BB+/Ba3)

    272,000       4.625 (a)(b)    01/15/27   262,904
    3,744,000       3.500 (a)(b)    03/15/29   3,365,332

Bellis Acquisition Co. PLC (B+/B1)

GBP

    4,350,000       8.125 (a)(b)    05/14/30   5,492,179

Boparan Finance PLC (B-/Caa1)

    2,673,000       7.625 (a)    11/30/25   3,296,762

Iceland Bondco PLC (B/B3)

    1,105,000       10.875 (a)(b)    12/15/27   1,457,075

New Albertsons LP (BB+/WR)

$

    3,100,000       7.450     08/01/29   3,264,238

Performance Food Group, Inc. (BB/B1)

    1,500,000       5.500 (a)(b)    10/15/27   1,467,090

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Food & Drug Retailing – (continued)

Performance Food Group, Inc. (BB/B1) – (continued)

$

    6,255,000       4.250 %(a)(b)    08/01/29   $    5,692,613

Post Holdings, Inc. (B+/B2)

    268,000       5.625 (a)(b)    01/15/28   263,929
    4,673,000       5.500 (a)(b)    12/15/29   4,504,959
    3,980,000       4.625 (a)(b)    04/15/30   3,657,023

Post Holdings, Inc. (BB/Ba1)

    885,000       6.250 (a)(b)    02/15/32   887,257

Sigma Holdco BV (CCC+/Caa1)

    4,900,000       7.875 (a)(b)    05/15/26   4,834,144

U.S. Foods, Inc. (BB-/Ba3)

    1,600,000       6.875 (a)(b)    09/15/28   1,636,480

United Natural Foods, Inc. (CCC+/Caa2)

    3,333,000       6.750 (a)(b)(c)    10/15/28   3,006,233
       

 

        43,088,218

 

Forest Products & Paper(a) – 0.1%

Mercer International, Inc. (B/B2)

    2,248,000       5.500     01/15/26   2,180,515

 

Gaming(a) – 0.6%

Melco Resorts Finance Ltd. (BB-/Ba3)

    2,395,000       4.875 (b)    06/06/25   2,347,100

MGM Resorts International (BB-/B1)

    5,355,000       5.500     04/15/27   5,290,526

Sands China Ltd. (BBB-/Baa2)

    2,315,000       5.125     08/08/25   2,297,591

Wynn Macau Ltd. (BB-/B1)

    2,072,000       4.875 (b)    10/01/24   2,062,593
       

 

        11,997,810

 

Gas(a) – 0.2%

AmeriGas Partners LP/AmeriGas Finance Corp. (NR/B1)

    3,536,000       5.750     05/20/27   3,331,160

 

Hand/Machine Tools – 0.1%

Regal Rexnord Corp. (BB+/Baa3)

    2,165,000       6.050     02/15/26   2,174,526

 

Health Care Products(a)(b) – 0.2%

Solventum Corp. (BBB-/Baa3)

    4,385,000       5.450     02/25/27   4,381,755

 

Healthcare Providers & Services(a) – 2.4%

Catalent Pharma Solutions, Inc. (B/B3)

    4,522,000       3.500 (b)    04/01/30   4,326,604

Centene Corp. (BBB-/Ba1)

    12,000       4.625     12/15/29   11,343
    2,570,000       3.375     02/15/30   2,280,464
    4,574,000       2.500     03/01/31   3,756,489
    911,000       2.625     08/01/31   745,462

CHS/Community Health Systems, Inc. (B-/Caa1)

    4,919,000       5.625 (b)    03/15/27   4,576,883

IQVIA, Inc. (BBB-/Baa3)

    2,880,000       6.250     02/01/29   2,960,208

Laboratoire Eimer Selas (CCC/Caa2)

EUR

    600,000       5.000 (b)    02/01/29   533,802

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Healthcare Providers & Services(a) – (continued)

LifePoint Health, Inc. (B/B2)

$

    2,530,000       11.000 %(b)    10/15/30   $    2,788,490

LifePoint Health, Inc. (CCC+/Caa2)

    3,455,000       5.375 (b)    01/15/29   3,025,751

Medline Borrower LP (B-/B3)

    3,648,000       5.250 (b)    10/01/29   3,476,763

Medline Borrower LP (B+/Ba3)

    5,341,000       3.875 (b)    04/01/29   4,917,886

Tenet Healthcare Corp. (B-/B1)

    850,000       6.250     02/01/27   849,609

Tenet Healthcare Corp. (BB-/B1)

    4,097,000       4.625     06/15/28   3,897,148
    3,270,000       4.250     06/01/29   3,044,403
    1,592,000       6.125     06/15/30   1,582,114
    2,465,000       6.750     05/15/31   2,503,060
       

 

        45,276,479

 

Holding Companies-Diversified(a)(b) – 0.1%

Benteler International AG (BB-/Ba3)

EUR

    1,745,000       9.375     05/15/28   2,002,896

 

Home Builders(a)(b) – 0.2%

Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC (B+/B1)

$

    1,645,000       5.000     06/15/29   1,503,070
    1,031,000       4.875     02/15/30   922,652

LGI Homes, Inc. (BB-/Ba2)

    2,141,000       4.000     07/15/29   1,857,360
       

 

        4,283,082

 

Household Products(a) – 0.2%

Central Garden & Pet Co. (BB/B1)

    2,307,000       4.125     10/15/30   2,058,328
    1,000,000       4.125 (b)    04/30/31   880,760
       

 

        2,939,088

 

Housewares(a) – 0.1%

Newell Brands, Inc. (BB-/Ba3)

    1,282,000       4.875     06/01/25   1,264,231
    1,745,000       7.000     04/01/46   1,415,527
       

 

        2,679,758

 

Insurance(a) – 1.8%

Acrisure LLC/Acrisure Finance, Inc. (B/B2)

    7,413,000       4.250 (b)    02/15/29   6,737,602

Acrisure LLC/Acrisure Finance, Inc. (CCC+/Caa2)

    4,440,000       8.250 (b)    02/01/29   4,471,879
    1,060,000       8.500 (b)    06/15/29   1,073,918
    1,140,000       6.000 (b)    08/01/29   1,054,796

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer (B/B2)

    2,355,000       6.750 (b)    04/15/28   2,359,945

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer (CCC+/Caa2)

    2,884,000       6.750 (b)    10/15/27   2,839,413

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Insurance(a) – (continued)

HUB International Ltd. (B-/Caa2)

$

    3,793,000       7.375 %(b)    01/31/32   $    3,847,885

Panther Escrow Issuer LLC (B/B2)

    4,400,000       7.125 (b)    06/01/31   4,450,204

USI, Inc. (CCC+/Caa1)

    4,763,000       7.500 (b)    01/15/32   4,841,828

Voya Financial, Inc. (BBB-/Ba2) (5 yr. CMT + 3.358%)

    2,597,000       7.758 (e)    09/15/28   2,701,867
       

 

        34,379,337

 

Internet(a)(b) – 1.8%

ANGI Group LLC (B/B2)

    5,665,000       3.875     08/15/28   4,865,329

Gen Digital, Inc. (BB-/B1)

    6,145,000       6.750     09/30/27   6,216,774

ION Trading Technologies SARL (NR/B3)

    4,516,000       9.500     05/30/29   4,600,088

ION Trading Technologies SARL (B-/B3)

    2,087,000       5.750     05/15/28   1,906,975

Match Group Holdings II LLC (BB/Ba3)

    2,774,000       5.000     12/15/27   2,659,850
    2,033,000       4.625     06/01/28   1,905,063
    3,749,000       5.625     02/15/29   3,602,414
    1,004,000       3.625     10/01/31   850,528

Uber Technologies, Inc. (BB/Ba1)

    474,000       8.000     11/01/26   477,982
    712,000       6.250     01/15/28   712,555
    2,990,000       4.500     08/15/29   2,848,962

Ziff Davis, Inc. (BB/Ba3)

    4,653,000       4.625     10/15/30   4,210,593
       

 

        34,857,113

 

Iron/Steel(a)(b) – 0.2%

Cleveland-Cliffs, Inc. (BB-/Ba3)

    2,425,000       6.750     04/15/30   2,403,466
    2,125,000       7.000     03/15/32   2,104,090
       

 

        4,507,556

 

Leisure Time(a)(b) – 2.7%

Acushnet Co. (BB/Ba3)

    325,000       7.375     10/15/28   336,869

Carnival Corp. (BB/B3)

    1,034,000       7.625     03/01/26   1,044,350
    6,593,000       5.750     03/01/27   6,518,433

Carnival Corp. (BBB-/Ba2)

    3,890,000       4.000     08/01/28   3,648,548
    2,571,000       7.000     08/15/29   2,665,176

MajorDrive Holdings IV LLC (CCC+/Caa2)

    9,299,000       6.375     06/01/29   8,751,010

NCL Corp. Ltd. , Class C (B/Caa1)

    5,222,000       5.875     03/15/26   5,163,252
    310,000       7.750     02/15/29   322,478

Pinnacle Bidco PLC (NR/B3)

GBP

    2,783,000       10.000     10/11/28   3,730,897

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Leisure Time(a)(b) – (continued)

Royal Caribbean Cruises Ltd. (BB+/Ba2)

 

$

    4,540,000       4.250   07/01/26   $    4,393,857
    3,280,000       5.500     08/31/26   3,239,459
    4,553,000       5.375     07/15/27   4,484,751
    850,000       6.250     03/15/32   856,417

TUI Cruises GmbH (B/B3)

 

   

EUR

    2,338,116       6.500     05/15/26   2,536,609

Viking Cruises Ltd. (B+/B3)

 

   

$

    1,880,000       5.875     09/15/27   1,860,354
    2,925,000       7.000     02/15/29   2,940,649
       

 

        52,493,109

 

Lodging(a) – 2.3%

Hilton Domestic Operating Co., Inc. (BB+/Ba2)

    900,000       5.750 (b)    05/01/28   894,708
    1,365,000       5.875 (b)    04/01/29   1,365,914
    1,922,000       4.875     01/15/30   1,844,697
    1,460,000       4.000 (b)    05/01/31   1,306,656
    2,295,000       3.625 (b)    02/15/32   1,987,195

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc. (B+/B2)

    6,370,000       5.000 (b)    06/01/29   5,940,089
    2,913,000       4.875 (b)    07/01/31   2,575,354

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc. (BB+/Ba2)

    2,800,000       6.625 (b)    01/15/32   2,812,740

Marriott Ownership Resorts, Inc. (B+/B1)

    2,864,000       4.750     01/15/28   2,702,499
    2,585,000       4.500 (b)(c)    06/15/29   2,374,297

Melco Resorts Finance Ltd. (BB-/Ba3)

    2,190,000       7.625 (b)    04/17/32   2,173,575

MGM Resorts International (BB-/B1)

    1,200,000       4.625     09/01/26   1,169,004
    4,046,000       4.750     10/15/28   3,851,509

Travel & Leisure Co. (BB-/Ba3)

    4,860,000       6.625 (b)    07/31/26   4,896,936
    2,397,000       6.000     04/01/27   2,389,929
    2,610,000       4.500 (b)    12/01/29   2,400,573
    3,287,000       4.625 (b)    03/01/30   2,990,710
       

 

        43,676,385

 

Machinery - Construction & Mining(a)(b) – 0.5%

BWX Technologies, Inc. (BB-/Ba3)

    4,375,000       4.125     04/15/29   4,035,456

Vertiv Group Corp. (BB/Ba3)

    5,321,000       4.125     11/15/28   4,968,058
       

 

        9,003,514

 

Machinery-Diversified(a)(b) – 0.7%

Husky Injection Molding Systems Ltd./Titan Co.-Borrower LLC (B-/B3)

    2,852,000       9.000     02/15/29   2,953,389

Mueller Water Products, Inc. (BB/Ba1)

    3,183,000       4.000     06/15/29   2,915,914

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Machinery-Diversified(a)(b) – (continued)

TK Elevator Holdco GmbH (CCC+/Caa1)

$

    6,723,000       7.625   07/15/28   $    6,682,393
       

 

        12,551,696

 

Media(a) – 5.2%

 

     

Altice Financing SA (B-/Caa1)

    4,111,000       5.000 (b)    01/15/28   3,117,577

Altice Finco SA (CCC/Caa3)

EUR

    3,265,000       4.750     01/15/28   2,111,699

AMC Networks, Inc. (BB/Ba3)

$

    1,995,000       10.250 (b)    01/15/29   1,964,875

CCO Holdings LLC/CCO Holdings Capital Corp. (BB-/B1)

    4,244,000       5.500 (b)    05/01/26   4,192,648
    5,976,000       5.125 (b)    05/01/27   5,735,346
    3,167,000       5.000 (b)    02/01/28   2,961,367
    2,731,000       4.750 (b)    03/01/30   2,365,483
    6,131,000       4.500 (b)    08/15/30   5,184,435
    15,352,000       4.250 (b)    02/01/31   12,530,609
    2,804,000       4.500     05/01/32   2,261,314

CSC Holdings LLC (CCC-/Ca)

    2,030,000       5.750 (b)    01/15/30   765,148

CSC Holdings LLC (CCC+/Caa1)

    5,055,000       5.500 (b)    04/15/27   4,102,941

Cumulus Media New Holdings, Inc. (B-/Caa1)

    1,637,000       8.000 (b)    07/01/29   700,096

Diamond Sports Group LLC/Diamond Sports Finance Co. (NR/WR)

    4,800,000       5.375 (b)(f)    08/15/26   104,304
    3,812,000       6.625 (b)(f)    08/15/27   76,240

Directv Financing LLC/Directv Financing Co.-Obligor, Inc.

    (BB/Ba3)        
    7,880,000       5.875 (b)    08/15/27   7,415,395

DISH DBS Corp. (CCC/Caa1)

    5,216,000       5.250 (b)    12/01/26   4,120,275

Gray Television, Inc. (BB-/Ba3)

    3,080,000       10.500 (b)    07/15/29   3,097,279

iHeartCommunications, Inc. (B-/Caa1)

    1,690,000       6.375 (c)    05/01/26   1,314,854
    2,599,000       4.750 (b)    01/15/28   1,309,012

iHeartCommunications, Inc. (CCC-/Caa3)

    8,945,000       8.375 (c)    05/01/27   3,203,294

Nexstar Media, Inc. (BB+/B2)

    2,744,000       5.625 (b)    07/15/27   2,606,141

Sirius XM Radio, Inc. (BB/Ba3)

    4,676,000       3.125 (b)    09/01/26   4,400,630
    7,384,000       5.000 (b)    08/01/27   7,065,454
    850,000       4.000 (b)    07/15/28   767,916

Sunrise HoldCo IV BV (B/B3)

    3,025,000       5.500 (b)    01/15/28   2,927,807

Urban One, Inc. (B-/B3)

    5,813,000       7.375 (b)    02/01/28   4,443,167

Virgin Media Secured Finance PLC (B+/Ba3)

    2,150,000       5.500 (b)    05/15/29   1,964,498

Virgin Media Vendor Financing Notes IV DAC (B-/B2)

    1,850,000       5.000 (b)    07/15/28   1,646,371

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Media(a) – (continued)

VZ Secured Financing BV (B+/B1)

$

    2,320,000       5.000 %(b)    01/15/32   $    1,979,238

Ziggo Bond Co. BV (B-/B3)

    1,725,000       5.125 (b)    02/28/30   1,467,561

Ziggo BV (B+/B1)

    2,492,000       4.875 (b)    01/15/30   2,218,378
       

 

        100,121,352

 

Metal Fabricate & Hardware(a)(b) – 0.2%

Roller Bearing Co. of America, Inc. (B+/B1)

    4,824,000       4.375     10/15/29   4,442,566

 

Mining(a)(b) – 0.4%

Alcoa Nederland Holding BV (BB/Ba1)

    1,220,000       7.125     03/15/31   1,253,928

FMG Resources August 2006 Pty. Ltd. (BB+/Ba1)

    2,785,000       5.875     04/15/30   2,723,285

Novelis Corp. (BB/Ba3)

    4,432,000       4.750     01/30/30   4,111,256
       

 

        8,088,469

 

Miscellaneous Manufacturing(a) – 0.5%

Amsted Industries, Inc. (BB/Ba3)

    3,272,000       5.625 (b)    07/01/27   3,227,566
    1,951,000       4.625 (b)    05/15/30   1,790,101

Hillenbrand, Inc. (BB+/Ba1)

    1,066,000       6.250     02/15/29   1,071,884
    4,364,000       3.750     03/01/31   3,789,785
       

 

        9,879,336

 

Office & Business Equipment(a)(b) – 0.1%

Xerox Holdings Corp. (BB/B1)

    927,000       5.000     08/15/25   910,249

 

Oil & Gas(a)(b) – 0.3%

CNX Resources Corp. (BB/B1)

    930,000       7.250     03/01/32   947,140

Crescent Energy Finance LLC (BB-/B1)

    1,765,000       7.625     04/01/32   1,799,153

Matador Resources Co. (BB-/B1)

    1,045,000       6.500     04/15/32   1,045,732

Permian Resources Operating LLC (BB-/B1)

    1,337,000       5.875     07/01/29   1,318,188
       

 

        5,110,213

 

Oil Field Services – 6.5%

Aethon United BR LP/Aethon United Finance Corp. (B+/B3)

    4,989,000       8.250 (a)(b)    02/15/26   5,045,326

Archrock Partners LP/Archrock Partners Finance Corp. (BB-/B2)

    2,599,000       6.250 (a)(b)    04/01/28   2,574,751

Ascent Resources Utica Holdings LLC/ARU Finance Corp. (BB-/B1)

    4,209,000       7.000 (a)(b)    11/01/26   4,215,776

Chord Energy Corp. (BB-/Ba3)

    6,155,000       6.375 (a)(b)    06/01/26   6,146,321

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Civitas Resources, Inc. (BB-/B1)

$

    6,281,000       5.000 %(a)(b)    10/15/26   $    6,119,076
    2,496,000       8.375 (a)(b)    07/01/28   2,618,853

CNX Resources Corp. (BB/B1)

    2,915,000       7.375 (a)(b)    01/15/31   2,978,955

Continental Resources, Inc. (BBB-/Baa3u)

    2,470,000       4.375 (a)    01/15/28   2,373,052

Crescent Energy Finance LLC (BB-/B1)

    5,068,000       9.250 (a)(b)    02/15/28   5,353,480

CrownRock LP/CrownRock Finance, Inc. (BB-/B1)

    5,831,000       5.625 (a)(b)    10/15/25   5,818,463
    1,035,000       5.000 (a)(b)    05/01/29   1,026,575

Diamond Foreign Asset Co./Diamond Finance LLC (BB-/B3)

    1,452,000       8.500 (a)(b)    10/01/30   1,522,654

Kodiak Gas Services LLC (B+/B2)

    1,000,000       7.250 (a)(b)    02/15/29   1,025,570

Matador Resources Co. (BB-/B1)

    3,288,000       6.875 (a)(b)    04/15/28   3,339,030

Nabors Industries, Inc. (B-/Ba3)

    2,849,000       7.375 (a)(b)    05/15/27   2,891,792
    1,831,000       9.125 (a)(b)    01/31/30   1,897,941

Noble Finance II LLC (BB-/B1)

    4,342,000       8.000 (a)(b)    04/15/30   4,512,206

Northern Oil & Gas, Inc. (B+/B2)

    2,559,000       8.125 (a)(b)    03/01/28   2,588,275
    4,070,000       8.750 (a)(b)    06/15/31   4,273,012

Occidental Petroleum Corp. (BB+/Baa3)

    775,000       5.500 (a)    12/01/25   772,915
    2,533,000       6.450     09/15/36   2,642,730

Permian Resources Operating LLC (BB-/B1)

    3,385,000       9.875 (a)(b)    07/15/31   3,746,823
    1,252,000       7.000 (a)(b)    01/15/32   1,286,718

Range Resources Corp. (BB+/Ba3)

    2,660,000       4.750 (a)(b)    02/15/30   2,494,734

Sitio Royalties Operating Partnership LP/Sitio Finance Corp. (B/B3)

    3,163,000       7.875 (a)(b)    11/01/28   3,269,941

SM Energy Co. (BB-/B1)

    2,537,000       6.750 (a)    09/15/26   2,534,717
    875,000       6.500 (a)    07/15/28   868,158

Southwestern Energy Co. (BB+/Ba2)

    3,670,000       5.375 (a)    03/15/30   3,545,954
    525,000       4.750 (a)    02/01/32   482,197

Southwestern Energy Co. (BB+/NR)

    6,438,000       5.375 (a)    02/01/29   6,242,800

Sunoco LP (BB+/Ba1)

    1,915,000       7.000 (a)(b)    05/01/29   1,963,354
    1,465,000       7.250 (a)(b)    05/01/32   1,514,620

Sunoco LP/Sunoco Finance Corp. (BB+/Ba1)

    2,925,000       7.000 (a)(b)    09/15/28   2,998,651
    4,425,000       4.500 (a)    04/30/30   4,095,603

TechnipFMC PLC (BBB-/Ba1)

    1,240,000       6.500 (a)(b)    02/01/26   1,235,003

Transocean Poseidon Ltd. (B/B1)

    2,095,875       6.875 (a)(b)    02/01/27   2,092,878

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Transocean Titan Financing Ltd. (B/B1)

$

    415,000       8.375 %(a)(b)    02/01/28   $      428,073

Transocean, Inc. (B/B1)

    4,049,100       8.750 (a)(b)    02/15/30   4,251,312

Transocean, Inc. (B-/Caa1)

    3,285,000       8.250 (a)(b)    05/15/29   3,291,471
    3,295,000       8.500 (a)(b)    05/15/31   3,291,738

USA Compression Partners LP/USA Compression Finance Corp. (B+/B2)

    1,550,000       7.125 (a)(b)    03/15/29   1,560,897

Viper Energy, Inc. (BBB-/Ba3)

    4,200,000       7.375 (a)(b)    11/01/31   4,351,704
       

 

        125,284,099

 

Packaging(a) – 2.5%

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC (B/Ba3)

    2,990,000       6.000 (b)    06/15/27   2,930,260

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC (CCC+/Caa1)

EUR

    3,315,000       3.000     09/01/29   2,866,787

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (C/Caa2)

$

    5,387,000       5.250 (b)(c)    08/15/27   3,330,102

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. (CCC-/B3)

    2,179,000       4.125 (b)(c)    08/15/26   1,891,546

Ball Corp. (BB+/Ba1)

    4,036,000       6.875     03/15/28   4,141,985
    3,620,000       6.000     06/15/29   3,639,403
    2,925,000       2.875     08/15/30   2,486,835

Berry Global, Inc. (BBB-/Ba1u)

    2,300,000       5.500     04/15/28   2,296,665

Crown Americas LLC (BB+/Ba2)

    1,625,000       5.250     04/01/30   1,571,343

Crown Americas LLC/Crown Americas Capital Corp. VI (BB+/Ba2)

    2,709,000       4.750     02/01/26   2,662,080

Kleopatra Finco SARL (B-/B3)

EUR

    1,986,000       4.250     03/01/26   1,867,319

LABL, Inc. (CCC+/Caa3)

$

    4,030,000       10.500 (b)    07/15/27   3,944,121

Mauser Packaging Solutions Holding Co. (B/B2)

    8,886,000       7.875 (b)    04/15/27   9,079,004

Sealed Air Corp. (BB+/Ba2)

    1,160,000       6.500 (b)    07/15/32   1,154,536

Sealed Air Corp./Sealed Air Corp. U.S. (BB+/Ba2)

    2,265,000       7.250 (b)    02/15/31   2,335,396

TriMas Corp. (BB-/Ba3)

    2,865,000       4.125 (b)    04/15/29   2,619,498
       

 

        48,816,880

 

Pharmaceuticals – 2.6%

AdaptHealth LLC (B/B1)

    3,109,000       6.125 (a)(b)    08/01/28   2,966,172

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pharmaceuticals – (continued)

Bausch Health Cos., Inc. (B-/Caa1)

$

    1,766,000       4.875 %(a)(b)(c)    06/01/28   $    1,321,816
    2,823,000       11.000 (b)    09/30/28   2,516,225

Bausch Health Cos., Inc. (CCC/Ca)

    6,780,000       5.250 (a)(b)    01/30/30   3,168,836

Cheplapharm Arzneimittel GmbH (B+/B2)

    4,494,000       5.500 (a)(b)    01/15/28   4,178,836

Grifols SA (CCC+/Caa2)

    4,618,000       4.750 (a)(b)(c)    10/15/28   3,982,794

Jazz Securities DAC (BB-/Ba2)

    5,605,000       4.375 (a)(b)    01/15/29   5,198,918

Organon & Co./Organon Foreign Debt Co.-Issuer BV (BB/Ba1)

    7,500,000       4.125 (a)(b)    04/30/28   6,965,700

Organon & Co./Organon Foreign Debt Co.-Issuer BV (BB-/B1)

    5,380,000       5.125 (a)(b)    04/30/31   4,830,487

Perrigo Finance Unlimited Co. (B+/Ba3)

    1,363,000       3.900 (a)    12/15/24   1,342,950
    4,768,000       4.375 (a)    03/15/26   4,619,572
    6,986,000       5.150 (a)    06/15/30   6,420,483

Prestige Brands, Inc. (BB/B1)

    2,014,000       3.750 (a)(b)    04/01/31   1,754,194
       

 

        49,266,983

 

Pipelines(a) – 5.5%

Antero Midstream Partners LP/Antero Midstream Finance Corp. (BB+/Ba3)

    1,800,000       5.750 (b)    03/01/27   1,786,572
    3,939,000       6.625 (b)    02/01/32   3,973,742

Blue Racer Midstream LLC/Blue Racer Finance Corp. (B+/B2)

    1,260,000       7.000 (b)    07/15/29   1,283,197
    1,270,000       7.250 (b)    07/15/32   1,305,763

Buckeye Partners LP (BB-/B1)

    199,000       4.350     10/15/24   197,728
    3,545,000       3.950     12/01/26   3,372,607
    1,535,000       6.875 (b)    07/01/29   1,540,373

Cheniere Energy Partners LP (BBB-/Baa2)

    4,394,000       4.000     03/01/31   3,991,202

Cheniere Energy, Inc. (BBB-/Baa3)

    2,464,000       4.625     10/15/28   2,392,618

CNX Midstream Partners LP (BB/B1)

    3,461,000       4.750 (b)    04/15/30   3,117,011

DT Midstream, Inc. (BB+/Ba2)

    3,150,000       4.375 (b)    06/15/31   2,875,036

EnLink Midstream LLC (BBB-/Ba1)

    2,429,000       5.375     06/01/29   2,371,481
    2,350,000       6.500 (b)    09/01/30   2,403,345

EQM Midstream Partners LP (BB-/Ba3)

    3,400,000       7.500 (b)    06/01/27   3,474,868

Genesis Energy LP/Genesis Energy Finance Corp. (B/B3)

    7,319,000       8.000     01/15/27   7,485,946
    1,470,000       8.875     04/15/30   1,545,940

Global Partners LP/GLP Finance Corp. (B+/B2)

    912,000       7.000     08/01/27   913,970
    1,383,000       6.875     01/15/29   1,371,881
    1,410,000       8.250 (b)    01/15/32   1,447,718

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pipelines(a) – (continued)

Hess Midstream Operations LP (BB+/Ba2)

$

    1,125,000       6.500 %(b)    06/01/29   $    1,140,075
    807,000       5.500 (b)    10/15/30   779,384

Howard Midstream Energy Partners LLC (B+/B2)

    1,875,000       8.875 (b)    07/15/28   1,984,256
    2,990,000       7.375 (b)    07/15/32   3,035,269

Kinetik Holdings LP (BB+/Ba1)

    3,525,000       6.625 (b)    12/15/28   3,580,871
    4,315,000       5.875 (b)    06/15/30   4,253,468

NGL Energy Operating LLC/NGL Energy Finance Corp. (B+/B2)

    4,696,000       8.125 (b)    02/15/29   4,788,840

Northriver Midstream Finance LP (BB/Ba3)

    2,700,000       5.625 (b)    02/15/26   2,700,162

NuStar Logistics LP (BB+/Ba1)

    3,321,000       5.750     10/01/25   3,301,838
    1,000,000       6.000     06/01/26   998,130
    4,206,000       5.625     04/28/27   4,172,478

Prairie Acquiror LP (B/B3)

    860,000       9.000 (b)    08/01/29   886,918

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. (BB-/B1)

    2,915,000       7.375 (b)    02/15/29   2,929,371
    3,675,000       6.000 (b)    09/01/31   3,440,278

Venture Global Calcasieu Pass LLC (BB+/Ba2)

    2,815,000       4.125 (b)    08/15/31   2,526,885

Venture Global LNG, Inc. (BB/B1)

    3,770,000       8.125 (b)    06/01/28   3,888,039
    5,180,000       9.500 (b)    02/01/29   5,673,032
    3,453,000       9.875 (b)    02/01/32   3,757,865

Western Midstream Operating LP (BBB-/Baa3)

    4,746,000       4.050     02/01/30   4,415,726
       

 

        105,103,883

 

Real Estate – 0.6%

Cushman & Wakefield U.S. Borrower LLC (BB-/Ba3)

    2,303,000       6.750 (a)(b)    05/15/28   2,285,589
    1,120,000       8.875 (a)(b)    09/01/31   1,179,797

Kennedy-Wilson, Inc. (B+/B2)

    2,735,000       4.750 (a)    03/01/29   2,340,941
    3,501,000       4.750 (a)    02/01/30   2,905,830
    1,514,000       5.000 (a)    03/01/31   1,239,209

Redfin Corp. (NR/NR)

    2,115,000       0.500 (c)    04/01/27   1,155,681
       

 

        11,107,047

 

Real Estate Investment Trust(a) – 2.1%

HAT Holdings I LLC/HAT Holdings II LLC (BB+/Baa3)

    2,100,000       6.000 (b)    04/15/25   2,100,000
    3,285,000       8.000 (b)    06/15/27   3,414,922

Iron Mountain, Inc. (BB-/Ba3)

    2,425,000       7.000 (b)    02/15/29   2,469,693
    3,112,000       4.875 (b)    09/15/29   2,929,917

Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp. (BB/Ba1)

    7,216,000       5.250 (b)    10/01/25   7,154,231

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(a) – (continued)

MPT Operating Partnership LP/MPT Finance Corp. (B/B1)

GBP

    2,225,000       3.692   06/05/28   $    2,051,104

$

    2,044,000       4.625     08/01/29   1,501,870
    4,565,000       3.500     03/15/31   2,968,893

SBA Communications Corp. (BB/Ba3)

    5,127,000       3.125     02/01/29   4,575,079

Service Properties Trust (BB/B2)

    4,840,000       8.375     06/15/29   4,759,801

Starwood Property Trust, Inc. (BB-/Ba3)

    4,818,000       7.250 (b)    04/01/29   4,870,275

Uniti Group LP/Uniti Group Finance, Inc./CSL Capital LLC (B-/B2)

    2,190,000       10.500 (b)    02/15/28   2,153,142
       

 

        40,948,927

 

Retailing – 5.3%

1011778 BC ULC/New Red Finance, Inc. (B+/B2)

    2,755,000       4.375 (a)(b)    01/15/28   2,600,004
    4,166,000       4.000 (a)(b)    10/15/30   3,664,664

1011778 BC ULC/New Red Finance, Inc. (BB+/Ba2)

    2,540,000       6.125 (a)(b)    06/15/29   2,548,331

Arko Corp. (B-/B3)

    13,960,000       5.125 (a)(b)(c)    11/15/29   12,161,673

Asbury Automotive Group, Inc. (BB/B1)

    573,000       4.500 (a)    03/01/28   542,717
    8,931,000       4.625 (a)(b)    11/15/29   8,271,178
    185,000       4.750 (a)    03/01/30   171,658
    1,014,000       5.000 (a)(b)    02/15/32   918,268

Beacon Roofing Supply, Inc. (B/B1)

    3,600,000       4.125 (a)(b)    05/15/29   3,288,564

Carvana Co. (CCC+/Cau)

(PIK 12.000%, Cash 9.000%)

    303,743       12.000 (a)(b)(c)(d)    12/01/28   327,550

(PIK 13.000%, Cash 11.000%)

    457,583       13.000 (a)(b)(d)    06/01/30   501,021

(PIK 14.000%, Cash 9.000%)

    543,590       14.000 (a)(b)(d)    06/01/31   611,555

Cheesecake Factory, Inc. (NR/NR)

    1,728,000       0.375     06/15/26   1,559,118

Cougar JV Subsidiary LLC (B+/B2)

    3,773,000       8.000 (a)(b)    05/15/32   3,898,867

eG Global Finance PLC (B-/B3)

    3,970,000       12.000 (a)(b)    11/30/28   4,218,959

Foundation Building Materials, Inc. (CCC+/Caa1)

    3,269,000       6.000 (a)(b)    03/01/29   2,903,951

Group 1 Automotive, Inc. (BB+/Ba2)

    2,208,000       4.000 (a)(b)    08/15/28   2,038,072

GYP Holdings III Corp. (B/Ba2)

    3,038,000       4.625 (a)(b)    05/01/29   2,814,950

Ken Garff Automotive LLC (BB-/B1)

    6,491,000       4.875 (a)(b)    09/15/28   6,020,143

LCM Investments Holdings II LLC (BB-/B2)

    8,252,000       4.875 (a)(b)    05/01/29   7,709,678

Lithia Motors, Inc. (BB+/Ba2)

    1,258,000       3.875 (a)(b)    06/01/29   1,131,219

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Retailing – (continued)

Lithia Motors, Inc. (BB+/Ba2) – (continued)

$

    853,000       4.375 %(a)(b)    01/15/31   $     760,859

Macy’s Retail Holdings LLC (BB+/Ba2)

    1,715,000       5.875 (a)(b)    04/01/29   1,661,835

Maryland Bidco Ltd. (NR/NR) (PIK 10.000%, Cash 10.000%)

GBP

    1,071,000       10.000 (a)(d)    01/26/28   1,108,154

Murphy Oil USA, Inc. (BB+/Ba2)

$

    3,341,000       3.750 (a)(b)    02/15/31   2,943,855

Nordstrom, Inc. (BB+/Ba2)

    1,795,000       4.375 (a)    04/01/30   1,630,668

Penske Automotive Group, Inc. (BB-/Ba3)

    3,707,000       3.500 (a)    09/01/25   3,610,618
    3,469,000       3.750 (a)    06/15/29   3,131,189

Sonic Automotive, Inc. (BB-/B1)

    3,208,000       4.625 (a)(b)    11/15/29   2,897,818

Stonegate Pub Co. Financing 2019 PLC (NR/B3)

GBP

    1,750,000       8.250 (a)(b)    07/31/25   2,180,695

Suburban Propane Partners LP/Suburban Energy Finance Corp. (BB-/B1)

$

    2,121,000       5.875 (a)    03/01/27   2,096,036
    3,272,000       5.000 (a)(b)    06/01/31   2,943,164

Walgreens Boots Alliance, Inc. (BBB-/Ba2)

    2,900,000       3.450 (a)    06/01/26   2,725,449

White Cap Buyer LLC (CCC+/Caa1)

    3,044,000       6.875 (a)(b)    10/15/28   2,939,012

Yum! Brands, Inc. (BB/Ba3)

    4,248,000       3.625 (a)    03/15/31   3,750,474
       

 

        102,281,966

 

Semiconductors(a) – 0.6%

Amkor Technology, Inc. (BB/Ba3)

    4,563,000       6.625 (b)    09/15/27   4,574,453

Broadcom, Inc. (BBB/Baa3)

    3,590,000       3.137 (b)    11/15/35   2,874,226

Entegris, Inc. (BB/Baa3)

    3,240,000       4.750 (b)    04/15/29   3,095,399

Micron Technology, Inc. (BBB-/Baa3)

    1,940,000       2.703     04/15/32   1,605,893
       

 

        12,149,971

 

Software(a) – 2.5%

AthenaHealth Group, Inc. (CCC/Caa2)

    5,574,000       6.500 (b)    02/15/30   5,134,490

Camelot Finance SA (BB-/B1)

    650,000       4.500 (b)    11/01/26   628,349

Castle U.S. Holding Corp. (CCC-/Caa3)

    2,900,000       9.500 (b)    02/15/28   1,385,823

Cloud Software Group, Inc. (B/B2)

    5,041,000       6.500 (b)    03/31/29   4,842,637
    2,940,000       8.250 (b)    06/30/32   2,997,271

Cloud Software Group, Inc. (B-/Caa2)

    4,982,000       9.000 (b)    09/30/29   4,831,344

Concentrix Corp. (BBB/Baa3)

    2,660,000       6.650     08/02/26   2,687,983

Elastic NV (BB-/Ba3)

    3,315,000       4.125 (b)    07/15/29   3,032,429

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Software(a) – (continued)

MSCI, Inc. (BBB-/Baa3)

$

    1,770,000       3.625 %(b)    09/01/30   $    1,590,911

Open Text Corp. (BB/Ba3)

    5,890,000       3.875 (b)    02/15/28   5,451,254
    2,995,000       3.875 (b)    12/01/29   2,683,640

Open Text Corp. (BBB-/Ba1)

    2,350,000       6.900 (b)    12/01/27   2,425,106

ROBLOX Corp. (BB+/Ba2)

    1,769,000       3.875 (b)    05/01/30   1,572,659

TeamSystem SpA (B-/B2)

EUR

    1,075,000       3.500 (b)    02/15/28   1,093,950

Twilio, Inc. (BB/Ba3)

$

    6,714,000       3.875     03/15/31   5,907,111

ZoomInfo Technologies LLC/ZoomInfo Finance Corp. (B+/B1)

    2,060,000       3.875 (b)    02/01/29   1,859,274
       

 

  48,124,231

 

Telecommunication Services – 3.0%

Altice France Holding SA (CCC-/Ca)

    11,716,000       10.500 (a)(b)    05/15/27   4,533,858
    2,775,000       6.000 (a)(b)    02/15/28   899,017

Altice France SA (CCC+/Caa1)

    2,023,000       8.125 (a)(b)    02/01/27   1,517,290
    3,580,000       5.500 (a)(b)(c)    01/15/28   2,449,830
    5,515,000       5.125 (a)(b)    07/15/29   3,628,815

AT&T, Inc. (BBB/Baa2)

    1,947,000       3.500 (a)    06/01/41   1,489,474

Frontier Communications Holdings LLC (B/B3)

    6,489,000       5.875 (a)(b)    10/15/27   6,331,382

Frontier Communications Holdings LLC (CCC+/Caa2)

    4,745,000       6.000 (a)(b)    01/15/30   4,133,939

Hughes Satellite Systems Corp. (CCC-/Caa3)

    2,895,000       6.625     08/01/26   1,306,079

Hughes Satellite Systems Corp. (CCC+/Caa1)

    2,547,000       5.250     08/01/26   1,970,996

Level 3 Financing, Inc. (B/B3)

    900,000       10.750 (a)(b)(c)    12/15/30   897,840

Level 3 Financing, Inc. (B-/Caa2)

    2,814,000       4.500 (a)(b)    04/01/30   1,537,626
    1,124,000       3.875 (a)(b)    10/15/30   592,944

Lorca Telecom Bondco SA (BB+/Ba3)

EUR

    5,135,000       4.000 %(a)(b)    09/18/27   5,364,762

Nokia of America Corp. (NR/WR)

$

    5,200,000       6.450     03/15/29   5,193,448

Sprint LLC (BBB-/Baa2)

    3,081,000       7.625 (a)    03/01/26   3,165,697

Telecom Italia Capital SA (B+/Ba3)

Telecom Italia Capital SA (B+/Ba3)

    2,040,000       6.000 (b)    09/30/34   1,932,685

Telecom Italia Capital SA (B+/Ba3)

    3,746,000       7.200 (b)    07/18/36   3,796,958

Vmed O2 U.K. Financing I PLC (B+/Ba3)

    2,654,000       4.250 (a)(b)    01/31/31   2,206,881

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

Vodafone Group PLC (BB+/Ba1) (5 yr. USD Swap + 4.873%)

$

    4,717,000       7.000 %(a)(e)    04/04/79   $    4,865,019
       

 

        57,814,540

 

Telecommunications(a)(b) – 0.0%

Level 3 Financing, Inc. (B/B3)

    528,000       10.500     05/15/30   525,466

 

Transportation(a)(b) – 0.4%

Rand Parent LLC (BB-/Ba1)

    5,312,000       8.500 (c)     02/15/30   5,372,876

XPO, Inc. (BB-/Ba3)

    1,480,000       7.125     02/01/32   1,515,446
       

 

        6,888,322

 

Transportation Services(a)(b) – 0.1%

SMBC Aviation Capital Finance DAC (A-/NR)

    2,385,000       5.450     05/03/28   2,385,716

 

Trucking & Leasing(a)(b) – 0.1%

Penske Truck Leasing Co. LP/PTL Finance Corp. (BBB/Baa2)

    2,300,000       5.550     05/01/28   2,315,364

 

Water(a)(b) – 0.4%

Solaris Midstream Holdings LLC (B+/B3)

    7,280,000       7.625     04/01/26   7,314,726

 

TOTAL CORPORATE OBLIGATIONS
(Cost $1,756,203,692)
  $1,689,651,400

 

       
Bank Loans(g) – 8.9%

Aerospace & Defense(e) – 0.3%

Dynasty Acquisition Co., Inc. (NR/B3) (1 mo. USD Term SOFR + 3.500%)

$

    5,685,750       8.844   08/24/28   $    5,702,864

 

Automotive(e) – 0.2%

First Brands Group LLC (B+/B1)(3 mo. USD Term SOFR + 5.000%)

    3,433,864       10.591     03/30/27   3,407,046

 

Automotive - Distributors(e) – 0.1%

SRAM LLC (BB-/B1)(1 mo. USD Term SOFR + 2.750%)

    1,983,097       8.208     05/18/28   1,981,451

 

Automotive - Parts – 0.4%

Adient U.S. LLC (BBB-/Ba2)(1 mo. USD Term SOFR + 2.750%)

    6,683,250       8.094     01/31/31   6,719,473

 

Banks(e) – 0.2%

Nouryon Finance BV (B+/B2)(3 mo. USD Term SOFR + 3.500%)

    3,824,651       8.826     04/03/28   3,830,388

 

Building & Construction(e) – 0.6%

Brown Group Holding LLC (B+/B2)(1 mo. USD Term SOFR + 3.000%)

    2,892,750       8.335–8.347     07/02/29   2,889,134

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Building & Construction(e) – (continued)

Energize HoldCo LLC (B/B3)(1 mo. USD Term SOFR + 3.750%)

$

    2,885,242       9.208   12/08/28   $    2,888,127

KKR Apple Bidco LLC (B/B2)(1 mo. USD Term SOFR + 2.750%)

    5,748,692       8.208     09/22/28   5,750,762
       

 

        11,528,023

 

Capital Goods - Others – 0.3%

RC Buyer, Inc. (B-/B2)(1 mo. USD Term SOFR + 3.500%)

    2,474,175       8.958 (e)    07/28/28   2,474,942

Titan Acquisition Ltd. (B-/B3)(6 mo. USD Term SOFR + 3.000%)

    2,950,000       3.267     03/28/25   2,954,926
       

 

        5,429,868

 

Chemicals(e) – 0.1%

Windsor Holdings III LLC (B+/B2)(1 mo. USD Term SOFR + 4.000%)

    1,641,750       9.339     08/01/30   1,650,369

 

Commercial Services(e) – 0.6%

Groundworks LLC (B/B)(1 mo. USD Term SOFR + 3.500%)

    116,891       8.830     03/14/31   119,799

Groundworks LLC (B/B3)(1 mo. USD Term SOFR + 3.500%)

    3,969,430       8.830     03/14/31   3,965,699

Prime Security Services Borrower LLC (BB/Ba2)(3 mo. USD Term SOFR + 2.250%)

    2,947,313       7.582     10/13/30   2,944,483

Wand NewCo 3, Inc. (B/B3)(1 mo. USD Term SOFR + 3.750%)

    4,875,000       9.094     01/30/31   4,904,591
       

 

        11,934,572

 

Consumer Cyclical Services(e) – 0.3%

IRB Holding Corp. (B+/B2)(1 mo. USD Term SOFR + 2.750%)

    2,892,750       8.194     12/15/27   2,889,626

Pre-Paid Legal Services, Inc. (B-/B3)(1 mo. USD Term SOFR + 3.750%)

    2,662,986       9.208     12/15/28   2,658,406
       

 

        5,548,032

 

Diversified Financial Services(e) – 0.2%

NEXUS Buyer LLC (B-/B2)(1 mo. USD Term SOFR + 4.500%)

    3,840,375       9.844     12/13/28   3,839,415

 

Diversified Manufacturing(e) – 0.1%

II-VI, Inc. (BB-/Ba1)(1 mo. USD Term SOFR + 2.500%)

    2,808,042       7.844     07/02/29   2,805,936

 

Energy(e) – 0.1%

Delek U.S. Holdings, Inc. (BB+/B1)(1 mo. USD Term SOFR + 3.500%)

    2,860,480       8.944     11/19/29   2,868,146

 

Entertainment – 0.6%

Alterra Mountain Co. (B+/B1)

 

   
    555,000       0.000 (h)    05/31/30   557,431

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Entertainment – (continued)

Arcis Golf LLC (B+/B2)(1 mo. USD Term SOFR + 3.750%)

$

    2,860,625       9.208 %(e)    11/24/28   $    2,862,999

Cinemark USA, Inc. (BB+/Ba1)((1 mo. USD Term SOFR + 3.250%) – (3 mo. USD Term SOFR + 3.250%))

    3,826,659       8.585–8.594 (e)    05/24/30   3,841,009

SeaWorld Parks & Entertainment, Inc. (BB+/Ba2)(1 mo. USD Term SOFR + 2.500%)

    3,831,504       7.844 (e)     08/25/28   3,826,715
       

 

        11,088,154

 

Healthcare(e) – 0.2%

LifePoint Health, Inc. (B/B2)(3 mo. USD Term SOFR + 4.750%)

    3,377,873       10.056     11/16/28   3,393,919

 

Household Products(e) – 0.1%

Knight Health Holdings LLC (B-/Caa2)(1 mo. USD Term SOFR + 5.250%)

    3,119,968       10.708     12/23/28   1,447,665

 

Insurance(e) – 0.1%

Sedgwick Claims Management Services, Inc. (B+/B2)(1 mo. USD Term SOFR + 3.750%)

    2,860,516       9.094     02/24/28   2,860,116

 

Lodging(e) – 0.5%

Caesars Entertainment, Inc. (BB-/Ba3)(3 mo. USD Term SOFR + 2.750%)

    7,327,015       8.097     02/06/30   7,320,128

Playa Resorts Holding BV (B+/B1)(1 mo. USD Term SOFR + 3.250%)

    2,860,480       8.094     01/05/29   2,860,851
       

 

        10,180,979

 

Machinery(e) – 0.7%

Chart Industries, Inc. (BB-/Ba3)(3 mo. USD Term SOFR + 3.250%)

    7,650,000       7.825     03/15/30   7,669,125

Project Castle, Inc. (B-/Caa1)(3 mo. USD Term SOFR + 5.500%)

    1,788,014       10.832     06/01/29   1,591,333

TK Elevator U.S. Newco, Inc. (B/B2)(3 mo. USD Term SOFR + 3.500%)

    4,051,167       8.791     04/30/30   4,069,316
       

 

      13,329,774

 

Media(e) – 0.2%

CSC Holdings LLC (CCC+/Caa1)(1 mo. USD Term SOFR + 4.500%)

    4,515,703       9.829     01/18/28   4,331,869

 

Media - Cable(e) – 0.1%

DirecTV Financing LLC (BB/Ba3)(1 mo. USD Term SOFR + 5.000%)

    2,530,311       10.458     08/02/27   2,532,841

 

Media - Non Cable(e) – 0.3%

Diamond Sports Group LLC (NR/NR)(Fixed + 5.000%)

 
    481,885       5.000     12/02/24   668,215

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Media - Non Cable(e) – (continued)

Fleet Midco I Ltd. (B+/B2)(1 mo. USD Term SOFR + 3.250%)

$

    2,875,000       8.594   02/21/31   $    2,885,782

iHeartCommunications, Inc. (B-/Caa1)(1 mo. USD Term SOFR + 3.000%)

    4,100,000       8.458     05/01/26   3,164,257
       

 

        6,718,254

 

Midstream(e) – 0.2%

AL NGPL Holdings LLC (B+/Ba3)(3 mo. USD Term SOFR + 3.250%)

    2,860,060       8.556     04/13/28   2,868,096

Prairie ECI Acquiror LP (B/B3)(1 mo. USD Term SOFR + 4.750%)

    1,072,312       10.094     08/01/29   1,071,648
       

 

        3,939,744

 

Packaging(e) – 0.3%

LABL, Inc. (B-/B3)(1 mo. USD Term SOFR + 5.000%)

    4,962,276       10.444     10/29/28   4,893,003

 

Pharmaceuticals(e) – 0.3%

Gainwell Acquisition Corp. (B/B2)(3 mo. USD Term SOFR + 4.000%)

    2,133,669       9.435     10/01/27   2,063,428

Jazz Financing Lux SARL (BB-/Ba2)(1 mo. USD Term SOFR + 3.000%)

    3,770,156       8.458     05/05/28   3,770,156
       

 

        5,833,584

 

Pipelines(e) – 0.4%

Epic Y-Grade Services LP (B-/B3)(3 mo. USD Term SOFR + 5.750%)

    4,700,000       11.082     06/29/29   4,690,459

Oryx Midstream Services Permian Basin LLC (BB-/Ba3)(1 mo. USD Term SOFR + 3.000%)

    2,860,625       8.441     10/05/28   2,859,080
       

 

        7,549,539

 

Restaurants – 0.3%

1011778 BC Unlimited Liability Co. (NR/Ba2)

    2,400,000       0.000 (h)    09/20/30   2,391,384

(1 mo. USD Term SOFR + 2.250%)

    2,743,125       7.594 (e)    09/20/30   2,733,277
       

 

        5,124,661

 

Retailers(e) – 0.0%

Restoration Hardware, Inc. (B+/B1)(1 mo. USD Term SOFR + 2.500%)

    2,614       7.958     10/20/28   2,509

 

Technology(e) – 0.2%

Uber Technologies, Inc. (BBB-/Baa3)(3 mo. USD Term SOFR + 2.750%)

    3,064,917       8.089     03/03/30   3,077,115

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Technology - Software(e) – 0.6%

AppLovin Corp. (BB+/Ba3)(1 mo. USD Term SOFR + 2.500%)

$

    2,867,813       7.844   08/16/30   $    2,868,845

Camelot U.S. Acquisition LLC (BB-/B1)(1 mo. USD Term SOFR + 2.750%)

    2,089,792       8.094     01/31/31   2,092,405

Drake Software LLC (B-/B3)(3 mo. USD Term SOFR + 4.250%)

    4,900,000       9.595     06/17/31   4,851,000

Loyalty Ventures, Inc. (NR/WR)

    1,766,359       0.000 (f)    11/03/27   13,248

Physician Partners LLC (B-/Caa2)(3 mo. USD Term SOFR + 4.000%)

    2,297,125       9.564     12/26/28   1,643,087
       

 

        11,468,585

 

Telecommunications(e) – 0.1%

CCI Buyer, Inc. (B-/B1)(3 mo. USD Term SOFR + 4.000%)

    2,039,460       9.335     12/17/27   2,040,092

 

Transportation Services(e) – 0.2%

MH Sub I LLC (B/B1)(1 mo. USD Term SOFR + 4.250%)

    2,935,176       9.594     05/03/28   2,930,274

 

TOTAL BANK LOANS
(Cost $174,236,445)
  $  169,988,260

 

       
Shares     Description   Value
Common Stocks – 0.8%

Automobile Components – 0.0%

    1,229       Lear Corp.   $      140,364

 

Chemicals – 0.0%

    411       LyondellBasell Industries NV Class A   39,316

 

Commerical Services & Supplies(f)(i) – 0.0%

    7,179,000       Reorganized ISA SA  

 

Communications Equipment(f) – 0.4%

    229,679       Intelsat SA   8,440,703

 

Diversified Telecommunication Services(f) – 0.0%

    4,500       Holdco   31,998

 

Energy Equipment & Services – 0.1%

    33,272       Noble Corp. PLC   1,485,595

 

Oil, Gas & Consumable Fuels(f) – 0.3%

    127,001       Summit Midstream Partners LP   4,516,156
    18,791       Valaris Ltd.   1,399,929
       

 

      5,916,085

 

TOTAL COMMON STOCKS
(Cost $22,735,076)
  $   16,054,061

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Units     

Expiration

Date

  Value  
  Warrants(f) – 0.0%  
 

Intelsat SA (NR/NR)

 
  6,089      02/17/27     $       10,400  
 

Noble Corp. PLC (NR/NR)

 
  4,596      02/04/28           106,351  
  (Cost $11,490)  

 

 

 
 
TOTAL WARRANTS
(Cost $3,316,784)
    $      116,751  

 

 

 
    
Shares      Description   Value  
  Exchange Traded Funds – 0.7%  
  356,595      iShares Broad USD High Yield Corporate Bond ETF (NR/NR)     $   12,937,267  
  (Cost $12,690,454)  

 

 

 
    
Shares      Dividend
Rate
  Value  
  Securities Lending Reinvestment Vehicle(j) – 2.2%  
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

 
 
  42,499,005      5.213%     $   42,499,005  
  (Cost $42,499,005)  

 

 

 
 
TOTAL INVESTMENTS – 100.5%
(Cost $2,011,681,456)
    $1,931,246,744  

 

 

 
 
LIABILITIES IN EXCESS OF
 OTHER ASSETS – (0.5)%
    $    (9,557,734

 

 

 
  NET ASSETS – 100.0%     $1,921,689,010  

 

 

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   All or a portion of security is on loan.
(d)   Pay-in-kind securities.
(e)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
(f)   Security is currently in default and/or non-income producing.
(g)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2024. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(h)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(i)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(j)   Represents an affiliated issuer.
 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2024, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
       Current
Value
       Unrealized
Gain (Loss)
 

 

 

Groundworks LLC (B/B), due 03/14/31

     $ 613,679        $ 610,084        $ (574

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

      

Unrealized

Gain

 

 

 

UBS AG (London)

    

USD

     43,144,930        EUR      39,892,926          07/30/24        $ 359,229  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

      

Settlement

Date

      

Unrealized

Loss

 

 

 

Deutsche Bank AG (London)

    

GBP

     2,237,096          USD        2,836,394          07/02/24        $ (8,448

HSBC Bank PLC

    

EUR

     1,310,905          USD        1,412,491          07/30/24          (6,528

MS & Co. Int. PLC

    

USD

     28,270,576          GBP        22,378,231          07/02/24          (18,072

Royal Bank of Canada (UK)

    

USD

     30,775,809          GBP        24,357,566          09/27/24          (34,667

UBS AG (London)

    

USD

     5,178,720          GBP        4,132,466          07/02/24          (45,191

 

 

TOTAL

                          $ (112,906

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

 

10 Year U.S. Treasury Notes

     181      09/19/24      $ 19,907,172      $ 10,969  

2 Year U.S. Treasury Notes

     259      09/30/24        52,892,656        136,171  

20 Year U.S. Treasury Bonds

     38      09/19/24        4,495,875        (73,700

5 Year U.S. Treasury Notes

     127      09/30/24        13,535,422        97,694  

Ultra 10-Year U.S. Treasury Note

     278      09/19/24        31,561,687        352,541  

Ultra Long U.S. Treasury Bonds

     38      09/19/24        4,763,063        (92,140

 

 

Total

 

   $ 431,535  

 

 

Short position contracts:

                 

Euro-Bobl

     (99)      09/06/24        (12,345,446      (113,598

 

 

TOTAL FUTURES CONTRACTS

 

   $ 317,937  

 

 

SWAP CONTRACTS — At June 30, 2024, the Fund had the following swap contracts:

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced

Obligation/Index

  Financing Rate
Received/(Paid) by
the Fund(a)
    Credit
Spread at
June 30,
2024(b)
    Termination
Date
       Notional
Amount
(000s)
       Value        Upfront
Premiums
(Received)
Paid
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

 

CDX.NA.HY Index 34     5.000%       1.301%       06/20/25        $ 45,880        $ 1,686,034        $ 583,490        $ 1,102,544  
CDX.NA.HY Index 39     5.000       2.955       12/20/27          54,700          3,466,701          3,275,320          191,381  
CDX.NA.HY Index 42     5.000       3.441       06/20/29          22,825          1,466,533          1,468,605          (2,072

 

 

TOTAL

                $ 6,619,268        $ 5,327,415        $ 1,291,853  

 

 

 

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


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

 

Currency Abbreviations:
EUR  

— Euro

GBP  

— British Pound

USD  

— U.S. Dollar

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

ETF  

— Exchange Traded Fund

ICE  

— Inter-Continental Exchange

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PIK  

— Payment in kind

PLC  

— Public Limited Company

SOFR  

— Secured Overnight Financing Rate

USD  

— US.Dollar

Abbreviations:
CDX.NA.HY Index 34  

— CDX North America High Yield Index 34

CDX.NA.HY Ind 39  

— CDX North America High Yield Index 39

CDX.NA.HY Ind 42  

— CDX North America High Yield Index 42

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – 84.2%

Aerospace & Defense – 3.3%

 

ADS Tactical, Inc. (B+/B3) ((1 mo. USD LIBOR + 5.750%) – (1 mo. USD Term SOFR + 5.750%))

$

    10,415,314       11.180–11.183 %(b)    03/19/26   $   10,428,333

Bleriot U.S. Bidco, Inc. (B/B2)

    2,089,887       0.000 (c)     10/31/30   2,098,246

Brown Group Holding LLC (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    10,928,820       8.194 (b)     06/07/28   10,913,848

Castlelake Aviation Ltd. (BB/Ba3) (3 mo. USD Term SOFR + 2.500%)

    6,907,320       7.839 (b)     10/22/26   6,913,398

Dynasty Acquisition Co., Inc. (NR/B3) (1 mo. USD Term SOFR + 3.500%)

    5,949,765       8.844 (b)     08/24/28   5,967,674

Kaman Corp. (B/B2) (3 mo. USD Term SOFR + 3.500%)

    7,125,000       8.835 (b)     04/21/31   7,160,625

Propulsion (BC) Finco SARL (B/B2) (3 mo. USD Term SOFR + 3.750%)

    8,996,775       9.085 (b)     09/14/29   9,017,378

Spirit Aerosystems, Inc. (BB-/Ba2) (3 mo. USD Term SOFR + 4.250%)

    4,948,256       9.580 (b)     01/15/27   4,974,234

TransDigm, Inc. (BB-/Ba3)

    9,792,974       0.000 (c)     08/24/28   9,807,272
       

 

        67,281,008

 

Airlines – 1.4%

Air Canada (BBB-/Ba1) (3 mo. USD Term SOFR + 2.500%)

    5,062,313       7.847 (b)     03/21/31   5,063,882

American Airlines, Inc. (BB/WR)

    4,000,000       0.000 (c)     06/04/29   3,990,000

American Airlines, Inc. (BB-/Ba2) (3 mo. USD Term SOFR + 1.750%)

    5,694,244       7.074 (b)     01/29/27   5,669,360

American Airlines, Inc. (NR/Ba1) (3 mo. USD Term SOFR + 4.750%)

    4,180,000       10.336 (b)     04/20/28   4,312,799

United Airlines, Inc. (BB+/Ba1) (1 mo. USD Term SOFR + 2.750%)

    10,174,500       8.094 (b)     02/22/31   10,183,555
       

 

        29,219,596

 

Automotive(b) – 1.8%

Autokiniton U.S. Holdings, Inc. (B/B2) (1 mo. USD Term SOFR + 4.000%)

    5,463,851       9.458     04/06/28   5,489,203

Belron Finance U.S. LLC (BBB-/Ba1) (3 mo. USD Term SOFR + 2.000%)

    6,162,432       7.514     04/13/28   6,162,432

Belron Luxembourg SARL (BBB-/Ba1) (3 mo. EUR EURIBOR + 2.425%)

EUR

    1,595,000       6.252     04/13/28   1,705,792

First Brands Group LLC (B-/Caa1) (3 mo. USD Term SOFR + 8.500%)

$

    3,850,000       14.141     03/30/28   3,705,625

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Automotive(b) – (continued)

First Brands Group LLC (B+/B1) (3 mo. USD Term SOFR + 5.000%)

$

    8,163,692       10.591%     03/30/27   $    8,099,934

Holley Purchaser, Inc. (B/B3) (1 mo. USD Term SOFR + 3.750%)

    5,848,446       9.208     11/17/28   5,815,168

Wheel Pros LLC (B/B2) (3 mo. USD Term SOFR + 8.875%)

    1,673,744       14.461     02/10/28   1,793,417

Wheel Pros LLC (NR/NR) (3 mo. USD Term SOFR + 4.500%)

    5,350,803       10.086     05/11/28   3,128,293
       

 

        35,899,864

 

Automotive - Distributors(b) – 1.3%

American Axle & Manufacturing, Inc. (BB+/Ba1) (1 mo. USD Term SOFR + 3.500%)

    8,762,917       8.328     12/13/29   8,787,541

DexKo Global, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.750%)

    4,102,291       9.346     10/04/28   4,076,242

RealTruck Group, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.500%)

    4,884,692       8.958     01/31/28   4,861,294

SRAM LLC (BB-/B1) (1 mo. USD Term SOFR + 0.000%)

    9,424,930       8.208     05/18/28   9,417,107
       

 

        27,142,184

 

Automotive - Parts – 0.9%

Adient U.S. LLC (BBB-/Ba2) (1 mo. USD Term SOFR + 2.750%)

    7,964,741       8.094     01/31/31   8,007,910

Clarios Global LP (BB-/Ba3)

(1 mo. EUR EURIBOR + 3.250%)

EUR

    4,125,000       6.896 (b)    04/30/26   4,409,012

(1 mo. USD Term SOFR + 3.000%)

$

    5,336,625       8.344 (b)    05/06/30   5,343,296
       

 

        17,760,218

 

Banks(b) – 0.4%

Nouryon Finance BV (B+/B2) (3 mo. USD Term SOFR + 3.500%)

    7,404,163       8.826     04/03/28   7,415,269

 

Building & Construction(b) – 1.4%

DG Investment Intermediate Holdings 2, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.750%)

    4,629,341       9.208     03/31/28   4,611,981

DG Investment Intermediate Holdings 2, Inc. (CCC/Caa2) (1 mo. USD Term SOFR + 0.000%)

    600,000       12.208     03/30/29   585,000

Energize HoldCo LLC (B/B3) (1 mo. USD Term SOFR + 3.750%)

    10,449,394       9.208     12/08/28   10,459,843

KKR Apple Bidco LLC (B/B2) (1 mo. USD Term SOFR + 2.750%)

    10,699,261       8.208     09/22/28   10,703,113

Rockwood Service Corp. (B/B2) (1 mo. USD Term SOFR + 4.000%)

    1,984,110       9.458     01/23/27   1,993,415
       

 

        28,353,352

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

 

Maturity

Date

  Value
Bank Loans(a) – (continued)

Building Materials(b) – 3.1%

Associated Materials, Inc. (B/B3) (1 mo. USD Term SOFR + 6.000%)

$

    7,215,643     11.344%   03/08/29   $    6,887,332

Chamberlain Group, Inc. (B/B3) (1 mo. USD Term SOFR + 3.250%)

    9,302,101     8.694   11/03/28   9,290,474

Cornerstone Building Brands, Inc. (B/B2) (1 mo. USD Term SOFR + 3.250%)

    4,990,409     8.679   04/12/28   4,860,957

CP Atlas Buyer, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.750%)

    4,115,119     9.194   11/23/27   4,008,496

Icebox Holdco III, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.750%)

    7,388,499     9.346   12/22/28   7,400,838

Icebox Holdco III, Inc. (CCC/Caa2) (3 mo. USD Term SOFR + 6.750%)

    1,525,000     12.346   12/21/29   1,540,250

LBM Acquisition LLC (B-/B3)

    1,200,000     0.000   05/30/31   1,178,664

(1 mo. USD Term SOFR + 3.750%)

    3,893,386     9.194   12/17/27   3,884,743

MI Windows and Doors LLC (BB-/B1) (1 mo. USD Term SOFR + 3.500%)

    6,100,000     8.844   03/28/31   6,131,781

Oscar AcquisitionCo LLC (B/B1) (3 mo. USD Term SOFR + 4.250%)

    3,956,444     9.585   04/29/29   3,951,498

Quikrete Holdings, Inc. (BB/Ba2) (1 mo. USD Term SOFR + 2.500%)

    1,969,086     7.844   04/14/31   1,972,158

Solis IV BV (B/B1) (3 mo. USD Term SOFR + 3.500%)

    6,527,456     8.836   02/26/29   6,464,531

Vector WP Holdco, Inc. (B/B2) (1 mo. USD Term SOFR + 5.000%)

    6,703,125     10.458   10/12/28   6,677,988
       

 

        64,249,710

 

Capital Goods - Others – 1.6%

AI Aqua Merger Sub, Inc. (B/B3) ((1 mo. USD Term SOFR + 4.000%) – (3 mo. USD Term SOFR + 4.000%))

    4,442,530     8.147–9.329(b)   07/31/28   4,447,816

Engineered Machinery Holdings, Inc. (B-/B1)

(3 mo. EUR EURIBOR + 3.750%)

EUR

    3,324,995     7.472(b)   05/21/28   3,557,201

(3 mo. USD Term SOFR + 3.750%)

$

    4,020,590     9.346(b)   05/19/28   4,033,174

Engineered Machinery Holdings, Inc. (CCC+/Caa1)

(3 mo. USD Term SOFR + 6.000%)

    500,000     11.596(b)   05/21/29   495,940

(3 mo. USD Term SOFR + 6.500%)

    2,000,000     12.096(b)   05/21/29   1,987,500

RC Buyer, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.500%)

    4,116,168     8.958(b)   07/28/28   4,117,444

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Capital Goods - Others – (continued)

Team Health Holdings, Inc. (CCC/Caa3) (3 mo. USD Term SOFR + 5.250%)

$

    2,703,323       10.580 %(b)    03/02/27   $    2,510,036

Tempo Acquisition LLC (BB-/NR) (1 mo. USD Term SOFR + 2.250%)

    1,962,371       7.594 (b)    08/31/28   1,965,884

Titan Acquisition Ltd. (B-/B3) (6 mo. USD Term SOFR + 5.000%)

    10,253,263       10.326     03/28/25   10,270,387
       

 

        33,385,382

 

Chemicals(b) – 5.3%

Albaugh LLC (BB/Ba2) (3 mo. USD Term SOFR + 3.750%)

    3,826,608       9.080     04/06/29   3,733,813

Arthur U.S. Finco, Inc. (B/B2) (3 mo. USD Term SOFR + 5.250%)

    2,269,312       10.585     12/14/29   2,182,330

Ascend Performance Materials Operations LLC (B/B1) (3 mo. USD Term SOFR + 4.750%)

    5,945,931       10.074     08/27/26   5,933,861

Berlin Packaging LLC (B-/B2) (3 mo. USD Term SOFR + 3.750%)

    8,776,228       9.093     06/09/31   8,793,166

Chemours Co. (BB+/Ba1) (1 mo. USD Term SOFR + 3.500%)

    6,992,662       8.844     08/18/28   6,957,699

Consolidated Energy Finance SA (BB-/Ba3) (1 mo. USD Term SOFR + 4.500%)

    5,087,250       9.844     11/15/30   4,942,263

ECO Services Operations Corp. (BB/B1) (3 mo. USD Term SOFR + 2.250%)

    5,090,061       7.597     06/12/31   5,083,698

Illuminate Buyer LLC (B+/B1) (1 mo. USD Term SOFR + 3.500%)

    11,106,903       8.958     12/31/29   11,142,556

INEOS Enterprises Holdings U.S. Finco LLC (BB/Ba3) (2 mo. USD Term SOFR + 3.750%)

    10,424,891       9.917     07/08/30   10,429,269

INEOS Styrolution U.S. Holding LLC (BB/Ba3) (1 mo. USD Term SOFR + 2.750%)

    2,603,554       8.208     01/29/26   2,599,493

LSF11 A5 Holdco LLC (B/B1) (3 mo. USD Term SOFR + 3.500%)

    11,081,608       8.941     10/15/28   11,067,756

Momentive Performance Materials, Inc. (B/Ba3) (1 mo. USD Term SOFR + 4.500%)

    4,991,273       9.844     03/29/28   4,978,795

Polar U.S. Borrower LLC (CCC/Caa1) (3 mo. USD Term SOFR + 4.750%)

    2,607,598       10.178     10/15/25   2,056,743

Trident TPI Holdings, Inc. (B-/B2)

(3 mo. USD Term SOFR + 4.000%)

    7,599,172       9.341     09/15/28   7,607,674

(3 mo. USD Term SOFR + 5.250%)

    1,854,361       10.582     09/15/28   1,857,673

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Chemicals(b) – (continued)

Trinseo Materials Operating SCA (B-/B2) ((1 mo. USD Term SOFR + 2.500%) – (3 mo. USD Term SOFR + 2.500%))

$

    4,922,440       7.944–8.109   05/03/28   $    3,904,135

Windsor Holdings III LLC (B+/B2) (1 mo. USD Term SOFR + 4.000%)

    6,378,634       9.339     08/01/30   6,412,122

WR Grace & Co.-Conn. (B-/B1) (3 mo. USD Term SOFR + 3.250%)

    8,718,015       8.594     09/22/28   8,744,518
       

 

        108,427,564

 

Coal(b) – 0.3%

Oxbow Carbon LLC (BB-/B1) (1 mo. USD Term SOFR + 4.000%)

    5,172,750       8.844     05/10/30   5,179,216

 

Commercial Services – 7.2%

Albion Financing 3 SARL (BB-/B1) (3 mo. USD Term SOFR + 5.250%)

    8,043,750       10.836 (b)     08/17/26   8,053,805

Allied Universal Holdco LLC (B/B3)

(1 mo. EUR EURIBOR + 3.750%)

EUR

    656,437       7.396 (b)     05/12/28   695,982

(1 mo. USD Term SOFR + 3.750%)

$

    10,856,637       9.194 (b)     05/12/28   10,810,171

Amentum Government Services Holdings LLC (B/B2)

(1 mo. USD Term SOFR + 4.000%)

    2,401,494       9.458 (b)     01/29/27   2,404,496
    9,757,477       9.344 (b)     02/15/29   9,789,969

Ankura Consulting Group LLC (NR/B3) (6 mo. USD Term SOFR + 4.250%)

    8,868,639       9.564     03/17/28   8,879,725

Anticimex International AB (B/B2) (3 mo. USD Term SOFR + 3.150%)

    6,386,250       8.460 (b)     11/16/28   6,378,267

APi Group DE, Inc. (BB/Ba1) (1 mo. USD Term SOFR + 2.000%)

    11,705,999       7.344 (b)     01/03/29   11,692,420

Biogroup-LCD (B-/B3) (3 mo. EUR EURIBOR + 3.500%)

EUR

    3,875,000       7.314 (b)     02/09/28   3,994,891

Conservice Midco LLC (NR/B3) (1 mo. USD Term SOFR + 4.000%)

$

    6,239,213       9.344 (b)     05/13/27   6,239,213

Da Vinci Purchaser Corp. (B-/B2) (3 mo. USD Term SOFR + 3.500%)

    9,275,952       8.844 (b)     01/08/27   9,273,632

Element Materials Technology Group U.S. Holdings, Inc. (B/B3)

(3 mo. USD Term SOFR + 4.250%)

    5,579,198       9.685 (b)     07/06/29   5,595,490

First Advantage Holdings LLC (BB-/B1)

    5,000,000       0.000 (c)     01/31/27   4,991,650

Garda World Security Corp. (B/B2) (3 mo. USD Term SOFR + 4.250%)

    12,157,814       9.594 (b)     02/01/29   12,218,603

Groundworks LLC (B/B) (1 mo. USD Term SOFR + 3.500%)

    164,767       8.830 (b)     03/14/31   168,865

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Commercial Services – (continued)

Groundworks LLC (B/B3) (1 mo. USD Term SOFR + 3.500%)

$

    5,595,207       8.830 %(b)    03/14/31   $    5,589,948

Holding Socotec (B/B2)

(3 mo. EUR EURIBOR + 3.500%)

EUR

    1,025,000       7.222 (b)     06/02/28   1,095,891

(3 mo. USD Term SOFR + 4.250%)

$

    8,207,364       9.822 (b)     06/30/28   8,190,293

Mavis Tire Express Services Corp. (B-/B2) (1 mo. USD Term SOFR + 3.750%)

    9,886,061       9.094 (b)     05/04/28   9,898,419

Thevelia (U.S.) LLC (B+/B1) (3 mo. USD Term SOFR + 0.000%)

    7,437,580       9.485 (b)     06/18/29   7,481,759

Vaco Holdings LLC (B-/B3) (3 mo. USD Term SOFR + 5.000%)

    7,428,274       10.485 (b)     01/21/29   7,360,157

Wand NewCo 3, Inc. (B/B3) (1 mo. USD Term SOFR + 3.750%)

    7,100,000       9.094 (b)     01/30/31   7,143,097
       

 

        147,946,743

 

Consumer Cyclical Services – 3.5%

APX Group, Inc. (BB/Ba2) ((3 mo. U.S. (Fed) Prime Rate + 1.750%) – (3 mo. USD Term SOFR + 3.250%))

    12,493,470       8.074–10.250 (b)    07/10/28   12,506,838

Asurion LLC (B/B3) (1 mo. USD Term SOFR + 0.000%)

    2,250,000       10.708 (b)     01/20/29   2,069,302

Asurion LLC (B+/Ba3) (1 mo. USD Term SOFR + 3.250%)

    3,377,731       8.708 (b)     12/23/26   3,346,757

BCPE Empire Holdings, Inc. (B-/B3) (1 mo. USD Term SOFR + 4.000%)

    6,110,921       9.344 (b)     12/11/28   6,107,866

Core & Main LP (BB-/Ba3) (3 mo. USD Term SOFR + 2.000%)

    5,842,931       7.339 (b)     07/27/28   5,846,612

Genuine Financial Holdings LLC (B/B3)

    5,112,123       0.000 (c)     09/27/30   5,089,119

Hertz Corp. (BB-/Ba3) (3 mo. USD Term SOFR + 3.250%)

    2,188,423       8.859 (b)     06/30/28   1,974,811

IRB Holding Corp. (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    15,206,624       8.194 (b)     12/15/27   15,190,201

Pre-Paid Legal Services, Inc. (B-/B3) (1 mo. USD Term SOFR + 3.750%)

    4,114,164       9.208 (b)     12/15/28   4,107,087

Stats Intermediate Holdings LLC (B-/B2) (3 mo. USD Term SOFR + 5.250%)

    2,918,807       10.837 (b)     07/10/26   2,845,837

Verisure Holding AB (B+/B1) (3 mo. EUR EURIBOR + 3.000%)

EUR

    12,040,000       6.722 (b)     03/27/28   12,818,039
       

 

        71,902,469

 

Consumer Products(b) – 0.8%

Kronos Acquisition Holdings, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.750%)

$

    10,827,139       9.356     12/22/26   10,808,191

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Consumer Products(b) – (continued)

MajorDrive Holdings IV LLC (B/B2) (3 mo. USD Term SOFR + 4.000%)

$

    4,923,134       9.596   06/01/28   $    4,928,254
       

 

        15,736,445

 

Diversified Financial Services(b) – 3.1%

Advisor Group, Inc. (B/B1) (1 mo. USD Term SOFR + 4.000%)

    5,050,000       9.344     08/17/28   5,063,282

AllSpring Buyer LLC (BB-/Ba2) (3 mo. USD Term SOFR + 4.000%)

    4,013,612       9.375     11/01/28   4,008,595

DRW Holdings LLC (BB-/NR) (1 mo. USD Term SOFR + 3.750%)

    10,097,993       9.192     03/01/28   10,082,240

Edelman Financial Center LLC (B/B2) (1 mo. USD Term SOFR + 3.250%)

    10,255,753       8.594     04/07/28   10,265,394

Eisner Advisory Group LLC (B-/B2) (1 mo. USD Term SOFR + 4.000%)

    4,925,250       9.344     02/28/31   4,964,258

Focus Financial Partners LLC (B+/B1) (1 mo. USD Term SOFR + 2.750%)

    6,750,685       8.094     06/30/28   6,739,681

Franklin Square Holdings LP (BB/Ba1) (1 mo. USD Term SOFR + 2.250%)

    4,175,000       7.594     04/25/31   4,169,781

GTCR W Merger Sub LLC (BB/Ba3) (3 mo. USD Term SOFR + 3.000%)

    5,000,000       8.335     01/31/31   4,999,300

HUB International Ltd. (B/B2) (3 mo. USD Term SOFR + 3.250%)

    4,937,625       8.575     06/20/30   4,946,266

NEXUS Buyer LLC (B-/B2) (1 mo. USD Term SOFR + 4.500%)

    4,364,062       9.844     12/13/28   4,362,971

Syncapay, Inc. (B/B2) (1 mo. USD Term SOFR + 6.500%)

    4,212,549       11.958     12/10/27   4,217,814
       

 

        63,819,582

 

Diversified Manufacturing(b) – 2.9%

Anvil International LLC (B-/B3) (3 mo. USD Term SOFR + 5.000%)

    3,937,971       10.430     05/28/26   3,933,049

AZZ, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 3.250%)

    3,521,770       8.594     05/13/29   3,540,471

CeramTec AcquiCo GmbH (B/B2) (3 mo. EUR EURIBOR + 3.500%)

EUR

    7,950,000       7.294     03/16/29   8,438,707

Dynacast International LLC (NR/NR) (3 mo. USD Term SOFR + 4.500%)

$

    4,117,381       10.197     07/22/25   3,932,099

Fluid-Flow Products, Inc. (B-/B3) (3 mo. USD Term SOFR + 3.750%)

    9,499,436       9.346     03/31/28   9,492,311

II-VI, Inc. (BB-/Ba1) (1 mo. USD Term SOFR + 2.500%)

    11,296,188       7.844     07/02/29   11,287,716

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Diversified Manufacturing(b) – (continued)

MKS Instruments, Inc. (BB/Ba1)

(1 mo. EUR EURIBOR + 3.000%)

EUR

    1,756,063       6.646   08/17/29   $    1,878,983

(1 mo. USD Term SOFR + 2.500%)

$

    3,816,092       7.828     08/17/29   3,815,290

Pelican Products, Inc. (B-/B2) (3 mo. USD Term SOFR + 4.250%)

    7,166,250       9.846     12/29/28   6,587,862

Touchdown Acquirer, Inc. (B/B2)

(3 mo. EUR EURIBOR + 4.000%)

EUR

    607,600       7.794     02/21/31   651,360

(3 mo. USD Term SOFR + 4.000%)

$

    430,689       9.326     02/21/31   432,037

Victory Buyer LLC (CCC+/B3) (3 mo. USD Term SOFR + 3.750%)

    6,222,277       9.342     11/19/28   5,964,301
       

 

        59,954,186

 

Electrical(b) – 0.8%

NRG Energy, Inc. (BBB-/Baa3) (1 mo. USD Term SOFR + 2.000%)

    5,685,750       7.344     04/16/31   5,682,907

Pike Corp. (BB-/Ba3) (1 mo. USD Term SOFR + 3.000%)

    6,105,822       8.458     01/21/28   6,114,309

Trulite Holding Corp. (BB/B2) (1 mo. USD Term SOFR + 6.000%)

    4,153,875       11.344     03/01/30   4,008,490
       

 

        15,805,706

 

Energy(b) – 1.0%

Delek U.S. Holdings, Inc. (BB+/B1) (1 mo. USD Term SOFR + 3.500%)

    12,850,658       8.944     11/19/29   12,885,098

Vistra Zero Operating Co. LLC (BBB-/Ba2) (1 mo. USD Term SOFR + 2.750%)

    1,995,000       8.094     04/30/31   2,002,980

WhiteWater DBR HoldCo LLC (BB/Ba1) (3 mo. USD Term SOFR + 2.750%)

    4,950,000       8.085     03/03/31   4,953,118
       

 

        19,841,196

 

Energy - Exploration & Production(b) – 0.6%

Kohler Energy Co. LLC (B/B1) (3 mo. USD Term SOFR + 4.750%)

    4,975,000       10.085     05/01/31   4,992,114

Parkway Generation LLC (B+/B1) (3 mo. USD Term SOFR + 4.750%)

    6,708,527       10.341     02/18/29   6,695,110
       

 

        11,687,224

 

Entertainment – 3.0%

Alterra Mountain Co. (B+/B1) (1 mo. USD Term SOFR + 3.250%)

    12,713,808       8.594 (b)    08/17/28   12,735,040

Arcis Golf LLC (B+/B2) (1 mo. USD Term SOFR + 3.750%)

    4,941,495       9.208 (b)    11/24/28   4,945,597

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Entertainment – (continued)

Cinemark USA, Inc. (BB+/Ba1) ((1 mo. USD Term SOFR + 3.250%) – (3 mo. USD Term SOFR + 3.250%))

$

    6,887,987       8.585–8.594 %(b)    05/24/30   $    6,913,817

Fender Musical Instruments Corp. (B/B3) (1 mo. USD Term SOFR + 4.000%)

    7,967,613       9.444 (b)     12/01/28   7,831,526

GVC Holdings (Gibraltar) Ltd. (BB-/Ba1) (6 mo. USD Term SOFR + 0.000%)

    2,000,708       7.864 (b)     03/29/27   2,001,789

Motion Finco SARL (B+/B2) (3 mo. USD Term SOFR + 3.500%)

    9,835,076       8.835 (b)     11/12/29   9,832,617

PCI Gaming Authority (BB+/Ba3)

    4,025,000       0.000 (c)     05/29/26   4,014,937

Playtika Holding Corp. (BB+/Ba2) (1 mo. USD Term SOFR + 2.750%)

    8,438,533       8.208 (b)     03/13/28   8,433,301

SeaWorld Parks & Entertainment, Inc. (BB+/Ba2) (1 mo. USD Term SOFR + 2.500%)

    4,888,953       7.844 (b)     08/25/28   4,882,842
       

 

        61,591,466

 

Environmental(b) – 0.8%

Covanta Holding Corp. (BB/Ba2) (1 mo. USD Term SOFR + 2.750%)

    5,075,000       8.081     11/30/28   5,072,869

EnergySolutions LLC (B/B2) (1 mo. USD Term SOFR + 3.750%)

    2,271,263       9.094     09/20/30   2,284,755

Luna III SARL (BB-/B1) ((1 mo. EUR EURIBOR + 4.175%) – (3 mo. EUR EURIBOR + 4.175%))

EUR

    7,625,000       7.783     10/23/28   8,170,570
       

 

        15,528,194

 

Food & Beverages(b) – 1.1%

Chef’s Warehouse Leasing Co. LLC (BB-/B1) (1 mo. USD Term SOFR + 4.000%)

$

    3,805,005       9.344     08/23/29   3,807,402

Chobani LLC (B/B1) (1 mo. USD Term SOFR + 3.250%)

    3,905,094       8.708     10/25/27   3,914,036

Froneri International Ltd. (BB-/Ba3) (1 mo. USD Term SOFR + 2.250%)

    5,305,912       7.694     01/29/27   5,300,341

Pegasus Bidco BV (B+/B1) (3 mo. USD Term SOFR + 3.750%)

    10,180,790       9.072     07/12/29   10,227,418
       

 

        23,249,197

 

Food & Drug Retailing(c) – 0.2%

United Natural Foods, Inc. (B+/B3)

    4,075,000       0.000     05/01/31   4,075,000

 

Gaming(b) – 0.3%

GVC Holdings (Gibraltar) Ltd. (BB-/Ba1) (1 mo. USD Term SOFR + 2.750%)

    5,966,143       8.070     10/31/29   5,971,452

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Health Care Products(b) – 0.6%

Iris BidCo GmbH (B-/B3) (3 mo. EUR EURIBOR + 5.000%)

EUR

    8,525,000       8.865   06/29/28   $    8,652,453

Medline Borrower LP (B+/Ba3) (1 mo. USD Term SOFR + 2.750%)

$

    4,583,788       8.094     10/23/28   4,589,930
       

 

        13,242,383

 

Health Care Services(b) – 2.6%

Accelerated Health Systems LLC (CCC+/Caa2) (3 mo. USD Term SOFR + 4.250%)

    3,689,981       9.595     02/15/29   3,051,909

CAB (B-/B2) (3 mo. EUR EURIBOR + 3.750%)

EUR

    1,350,000       7.564     02/09/28   1,395,904

Electron BidCo, Inc. (B/B1) (1 mo. USD Term SOFR + 0.000%)

$

    4,850,191       8.458     11/01/28   4,845,971

Global Medical Response, Inc. (B-/B3) (1 mo. USD Term SOFR + 5.500%)

          10.831     10/31/28  

Help At Home, Inc. (B-/B1) (1 mo. USD Term SOFR + 5.000%)

$

    12,099,054       10.450     10/29/27   12,114,177

Lonza Group AG (B-/B2) (3 mo. USD Term SOFR + 3.925%)

    5,978,237       9.270     07/03/28   5,786,635

NAPA Management Services Corp. (B-/B3) (1 mo. USD Term SOFR + 0.000%)

    4,310,700       10.694     02/23/29   4,100,554

Phoenix Guarantor, Inc. (B+/B1) (1 mo. USD Term SOFR + 3.250%)

    4,962,563       8.594     02/21/31   4,947,079

Summit Behavioral Healthcare LLC (B-/B3) (3 mo. USD Term SOFR + 4.250%)

    9,819,155       9.597     11/24/28   9,851,853

U.S. Radiology Specialists, Inc. (B-/B3) (3 mo. USD Term SOFR + 5.250%)

    7,881,764       10.735     12/15/27   7,903,439
       

 

        53,997,521

 

Healthcare(b) – 1.0%

Catalent Pharma Solutions, Inc. (BB-/Ba2) (1 mo. USD Term SOFR + 3.000%)

    2,992,493       8.344     02/22/28   2,992,493

LifePoint Health, Inc. (B/B2) (3 mo. USD Term SOFR + 4.750%)

    10,452,587       10.056     11/16/28   10,502,236

Onex TSG Intermediate Corp. (B/B2) (3 mo. USD Term SOFR + 4.750%)

    5,092,046       10.346     02/28/28   5,070,812

R1 RCM, Inc. (B+/Ba3) (1 mo. USD Term SOFR + 3.000%)

    1,868,351       8.343     06/21/29   1,871,864
       

 

        20,437,405

 

Household Products(b) – 0.1%

Knight Health Holdings LLC (B-/Caa2) (1 mo. USD Term SOFR + 5.250%)

    4,996,823       10.708     12/23/28   2,318,526

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Insurance – 2.6%

Acrisure LLC (B/B2) (1 mo. USD LIBOR + 3.500%)

$

    8,083,421       8.958 %(b)    02/15/27   $    8,071,458

Alliant Holdings Intermediate LLC (B/B2) (1 mo. USD Term SOFR + 3.500%)

    4,852,070       8.830 (b)    11/06/30   4,862,454

AssuredPartners, Inc. (B/B2)

    2,992,500       0.000 (c)    02/14/31   2,998,515

Broadstreet Partners, Inc. (B/B2)

    5,125,000       0.000 (b)    06/14/31   5,108,344

Howden Group Holdings Ltd. (B/B2)

(1 mo. USD Term SOFR + 3.500%)

    7,630,875       8.844 (b)    02/15/31   7,641,177

(1 mo. USD Term SOFR + 4.000%)

    1,240,578       9.344 (b)    04/18/30   1,241,359

OneDigital Borrower LLC (B/B3) (1 mo. USD Term SOFR + 4.250%)

    3,918,349       9.679 (b)    11/16/27   3,903,655

Sedgwick Claims Management Services, Inc. (B+/B2) (1 mo. USD Term SOFR + 3.750%)

    11,119,551       9.094 (b)    02/24/28   11,117,994

Truist Insurance Holdings LLC (B/B2) (3 mo. USD Term SOFR + 3.250%)

    1,648,387       8.585 (b)    05/06/31   1,649,854

USI, Inc. (B/B1) (3 mo. USD Term SOFR + 3.000%)

    7,181,943       8.335 (b)    11/22/29   7,177,490
       

 

        53,772,300

 

Lodging – 1.3%

Caesars Entertainment, Inc. (BB-/Ba3) (3 mo. USD Term SOFR + 2.750%)

    5,069,125       8.097 (b)    02/06/30   5,064,360

Hilton Grand Vacations Borrower LLC (BB+/Ba2) (1 mo. USD Term SOFR + 3.000%)

    11,581,986       7.844 (b)    08/02/28   11,571,678

Playa Resorts Holding BV (B+/B1) (1 mo. USD Term SOFR + 3.250%)

    7,338,250       8.094 (b)    01/05/29   7,339,204

Travel & Leisure Co. (BB-/Ba3) (1 mo. USD Term SOFR + 0.000%)

    2,119,687       8.692     12/14/29   2,124,986
       

 

        26,100,228

 

Machinery(b) – 2.5%

Apex Tool Group LLC (CCC-/Caa2) (1 mo. USD Term SOFR + 7.944%)

    6,546,836       12.832     02/08/30   6,284,963

Apex Tool Group LLC (CCC+/B3) (1 mo. USD Term SOFR + 3.250%)

    2,807,812       5.344     02/08/29   2,746,967

CD&R Hydra Buyer, Inc. (B/B3) (3 mo. USD Term SOFR + 4.000%)

    4,039,875       9.444     03/25/31   4,046,177

Chart Industries, Inc. (BB-/Ba3) (3 mo. USD Term SOFR + 3.250%)

    7,915,186       7.825     03/15/30   7,934,973

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Machinery(b) – (continued)

Project Castle, Inc. (B-/Caa1) (3 mo. USD Term SOFR + 5.500%)

$

    7,138,453       10.832   06/01/29   $    6,353,224

SPX Flow, Inc. (B/B2) (1 mo. USD Term SOFR + 3.500%)

    7,538,113       8.844     04/05/29   7,578,291

TK Elevator Topco GmbH (B/B2) (6 mo. EUR EURIBOR + 3.625%)

EUR

    1,605,000       7.491     07/30/27   1,713,805

TK Elevator U.S. Newco, Inc. (B/B2) (3 mo. USD Term SOFR + 3.500%)

$

    13,684,257       8.791     04/30/30   13,745,562
       

 

        50,403,962

 

Machinery - Construction & Mining(b) – 0.2%

Chromalloy Corp. (B/B2) (3 mo. USD Term SOFR + 3.750%)

    5,075,000       9.082     03/27/31   5,081,344

 

Media(b) – 0.6%

Cogeco Communications Finance (USA) LP (BB/B1) (1 mo. USD Term SOFR + 3.250%)

    4,364,062       8.594     09/18/30   4,138,571

Zacapa SARL (B/B2) (3 mo. USD Term SOFR + 4.000%)

    7,128,466       9.330     03/22/29   7,116,205
       

 

        11,254,776

 

Media - Cable(b) – 1.2%

Altice Financing SA (B-/Caa1) (3 mo. USD Term SOFR + 5.000%)

    4,930,783       10.329     10/31/27   4,232,239

Altice France SA (CCC+/Caa1) (3 mo. USD Term SOFR + 5.500%)

    8,311,867       10.829     08/15/28   6,081,544

DirecTV Financing LLC (BB/Ba3) (1 mo. USD Term SOFR + 5.000%)

    1,372,933       10.458     08/02/27   1,374,306

Gray Television, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 3.000%)

    1,944,991       8.458     12/01/28   1,748,664

Virgin Media Bristol LLC (B+/Ba3) (1 mo. USD Term SOFR + 2.500%)

    10,583,080       7.943     01/31/28   10,104,407
       

 

        23,541,160

 

Media - Non Cable(b) – 1.4%

Audacy Capital Corp. (NR/WR) (1 mo. USD Term SOFR + 6.000%)

    323,629       11.458     08/19/24   322,415

CMG Media Corp. (B-/B3) (3 mo. USD Term SOFR + 3.500%)

    951,217       8.935     12/17/26   752,117

Diamond Sports Group LLC (NR/NR) (FIXED + 5.000%)

    461,419       5.000     12/02/24   639,836

Diamond Sports Group LLC (NR/WR)

    2,687,115       0.000     08/24/26   53,742

Entercom Media Corp. (NR/WR)

    8,622,098       0.000     11/18/24   4,052,386

Fleet Midco I Ltd. (B+/B2) (1 mo. USD Term SOFR + 3.250%)

    4,950,000       8.594     02/21/31   4,968,563

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Media-Non Cable(b) – (continued)

Getty Images, Inc. (BB-/Ba3) (3 mo. USD Term SOFR + 4.500%)

$

    7,546,027       9.935   02/19/26   $    7,532,067

iHeartCommunications, Inc. (B-/Caa1)

(1 mo. USD Term SOFR + 3.000%)

    1,258,982       8.458     05/01/26   971,645

(1 mo. USD Term SOFR + 3.250%)

    3,802,591       8.708     05/01/26   2,916,587

NEP/NCP Holdco, Inc. (CCC/Caa3) (1 mo. USD Term SOFR + 7.000%)

    3,200,000       12.458     10/19/26   2,564,800

Taboola.com Ltd. (BB+/Ba3) (1 mo. USD Term SOFR + 4.000%)

    4,142,739       9.458     09/01/28   4,142,739
       

 

        28,916,897

 

Metals & Mining(b) – 0.5%

Arsenal AIC Parent LLC (B+/Ba3) (1 mo. USD Term SOFR + 3.750%)

    2,555,720       9.094     08/18/30   2,567,859

Crosby U.S. Acquisition Corp. (B/B2) (1 mo. USD Term SOFR + 4.000%)

    2,636,750       9.344     08/16/29   2,649,380

PMHC II, Inc. (B-/B3) (3 mo. USD Term SOFR + 4.250%)

    5,907,183       9.706     04/23/29   5,759,504
       

 

        10,976,743

 

Midstream – 1.6%

AL GCX Holdings LLC (B+/Ba3) (1 mo. USD Term SOFR + 3.250%)

    4,627,758       8.578     05/17/29   4,616,189

AL NGPL Holdings LLC (B+/Ba3) (3 mo. USD Term SOFR + 3.250%)

    7,267,321       8.556 (b)    04/13/28   7,287,742

Buckeye Partners LP (BB+/Ba1) (1 mo. USD Term SOFR + 2.000%)

    2,041,494       7.344 (b)    11/22/30   2,040,432

CQP Holdco LP (BB/Ba2) (3 mo. USD Term SOFR + 2.250%)

    12,870,061       7.593     12/31/30   12,865,428

Prairie ECI Acquiror LP (B/B3) (1 mo. USD Term SOFR + 4.750%)

    5,087,250       10.094 (b)    08/01/29   5,084,096
       

 

        31,893,887

 

Oil Field Services(b) – 0.4%

BANGL LLC (BB-/B2) (3 mo. USD Term SOFR + 0.000%)

    5,513,821       9.839     02/01/29   5,548,282

ChampionX Corp. (BBB/Ba1) (1 mo. USD Term SOFR + 2.750%)

    1,961,738       8.194     06/07/29   1,967,251
       

 

        7,515,533

 

Packaging – 3.7%

Charter NEX U.S., Inc. (B/B3) (1 mo. USD Term SOFR + 3.500%)

    10,875,659       8.844 (b)    12/01/27   10,887,404

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Packaging – (continued)

Clydesdale Acquisition Holdings, Inc. (B/B2) (1 mo. USD Term SOFR + 3.675%)

$

    10,186,223       9.119 %(b)    04/13/29   $   10,202,113

Kloeckner-Pentaplast of America, Inc. (B-/B3) (6 mo. USD Term SOFR + 4.725%)

    2,582,004       10.268 (b)     02/12/26   2,407,719

LABL, Inc. (B-/B3) (1 mo. USD Term SOFR + 5.000%)

    6,223,673       10.444 (b)     10/29/28   6,136,791

LC Ahab U.S. Bidco LLC (B/B2) (1 mo. USD Term SOFR + 3.500%)

    5,075,000       8.845 (b)     05/01/31   5,078,198

Pretium Packaging LLC (B/B2) (3 mo. USD Term SOFR + 5.000%)

    700,752       10.327 (b)     10/02/28   718,621

Pretium Packaging LLC (CCC+/Caa2) (3 mo. USD Term SOFR + 4.600%)

    2,600,581       9.927 (b)     10/02/28   2,249,502

Proampac PG Borrower LLC (B-/B3) (3 mo. USD Term SOFR + 4.000%)

    11,264,218       9.322–9.329 (b)    09/15/28   11,281,114

Reynolds Group Holdings, Inc. (B+/B1)

    5,856,480       0.000 (c)     09/24/28   5,858,940

Tosca Services LLC (CCC+/Caa1) (3 mo. USD Term SOFR + 3.500%)

    8,361,618       9.091 (b)     08/18/27   6,974,509

TricorBraun Holdings, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    8,944,019       8.708 (b)     03/03/28   8,920,765

ZoomInfo LLC (NR/Ba1) (1 mo. USD Term SOFR + 1.750%)

    4,645,823       7.076 (b)     02/28/30   4,637,136
       

 

        75,352,812

 

Paper(b) – 0.4%

Pregis TopCo Corp. (B-/B2) (1 mo. USD Term SOFR + 4.000%)

    8,592,150       9.344     07/31/26   8,588,112

 

Pharmaceuticals(b) – 1.4%

Amneal Pharmaceuticals LLC (B/B2) (1 mo. USD Term SOFR + 5.500%)

    4,048,750       10.844     05/04/28   4,067,293

Covetrus, Inc. (B-/B1) (3 mo. USD Term SOFR + 5.000%)

    12,738,750       10.335     10/13/29   12,290,601

Gainwell Acquisition Corp. (B/B2) (3 mo. USD Term SOFR + 4.000%)

    6,497,324       9.435     10/01/27   6,283,432

Jazz Financing Lux SARL (BB-/Ba2) (1 mo. USD Term SOFR + 3.000%)

    6,113,069       8.458     05/05/28   6,113,070
       

 

        28,754,396

 

Pipelines(b) – 1.4%

Brazos Delaware II LLC (B+/B1) (1 mo. USD Term SOFR + 3.500%)

    947,625       8.844     02/11/30   950,705

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Pipelines(b) – (continued)

Epic Y-Grade Services LP (B-/B3) (3 mo. USD Term SOFR + 5.750%)

$

    6,675,000       11.082   06/29/29   $    6,661,450

Medallion Midland Acquisition LLC (NR/B1) (3 mo. USD Term SOFR + 3.500%)

    6,390,662       8.844     10/18/28   6,414,627

Oryx Midstream Services Permian Basin LLC (BB-/Ba3) (1 mo. USD Term SOFR + 3.000%)

    11,142,617       8.441     10/05/28   11,136,599

Traverse Midstream Partners LLC (B+/B2) (3 mo. USD Term SOFR + 0.000%)

    4,100,000       8.830     02/16/28   4,107,708
       

 

        29,271,089

 

Real Estate(b) – 0.2%

Forest City Enterprises LP (CCC+/Caa1) (1 mo. USD Term SOFR + 3.500%)

    4,348,084       8.958     12/08/25   4,028,108

 

Restaurants(b) – 0.5%

1011778 BC Unlimited Liability Co. (NR/Ba2) (1 mo. USD Term SOFR + 2.250%)

    9,950,063       7.594     09/20/30   9,914,342

 

Retailers(b) – 2.0%

CNT Holdings I Corp. (B/B2) (3 mo. USD Term SOFR + 3.500%)

    6,977,469       8.830     11/08/27   6,989,121

Constellation Automotive Ltd. (NR/B2) (6 mo. EUR EURIBOR + 4.000%)

EUR

    2,053,879       7.768     07/28/28   2,076,623

Constellation Automotive Ltd. (NR/Caa2) (Sterling Overnight Index Average + 7.500%)

GBP

    700,000       12.689     07/27/29   627,709

Dealer Tire Financial LLC (B-/B1) (1 mo. USD Term SOFR + 3.750%)

$

    9,380,133       9.096     12/14/27   9,352,743

Harbor Freight Tools USA, Inc. (BB-/B2) (1 mo. USD Term SOFR + 2.500%)

    5,925,000       7.844     06/05/31   5,904,144

Mister Car Wash Holdings, Inc. (B/B2) (1 mo. USD Term SOFR + 3.000%)

    4,075,000       8.344     03/27/31   4,085,188

Restoration Hardware, Inc. (B+/B1) (1 mo. USD Term SOFR + 2.500%)

    3,103,610       7.958     10/20/28   2,978,907

Shutterfly, Inc. (B/B2) (3 mo. USD Term SOFR + 6.000%)

    913,641       11.347     10/01/27   920,493

Shutterfly, Inc. (CCC+/Caa2) (3 mo. USD Term SOFR + 1.000%)

    4,707,341       6.335     10/01/27   4,046,336

TruGreen LP (B-/B3) (1 mo. USD Term SOFR + 4.000%)

    2,510,604       9.444     11/02/27   2,415,201

TruGreen LP (CCC/Caa3) (3 mo. USD Term SOFR + 8.500%)

    2,200,000       14.091     11/02/28   1,683,000
       

 

        41,079,465

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Technology(b) – 1.3%

Ingram Micro, Inc. (BB-/B1) (3 mo. USD Term SOFR + 3.000%)

$

    5,751,742       8.596   06/30/28   $    5,773,310

Light & Wonder International, Inc. (BB/Ba1) (1 mo. USD Term SOFR + 2.750%)

    4,949,811       8.070     04/14/29   4,946,297

Uber Technologies, Inc. (BBB-/Baa3) (3 mo. USD Term SOFR + 2.750%)

    9,968,289       8.089     03/03/30   10,007,963

Ultra Clean Holdings, Inc (B+/B1) (1 mo. USD Term SOFR + 3.500%)

    5,977,673       8.844     02/28/28   5,992,618
       

 

        26,720,188

 

Technology - Hardware(b) – 0.3%

Altar Bidco, Inc. (B/B1) (1 yr. USD Term SOFR + 3.100%)

    1,989,848       7.947     02/01/29   1,985,370

CommScope, Inc. (CCC+/B3) (1 mo. USD Term SOFR + 3.250%)

    3,190,867       8.708     04/06/26   2,862,655

Entegris, Inc. (BB/Baa3) ((1 mo. USD Term SOFR + 1.750%) – (3 mo. USD Term SOFR + 1.750%))

    1,702,170       7.085–8.055     07/06/29   1,701,745
       

 

        6,549,770

 

Technology - Software – 7.5%

Ahead DB Holdings LLC (B/B1) (3 mo. USD Term SOFR + 3.750%)

    9,782,855       9.085 (b)     02/01/31   9,801,247

AppLovin Corp. (BB+/Ba3) (1 mo. USD Term SOFR + 2.500%)

    2,705,496       7.844 (b)     10/25/28   2,709,554
    12,803,008       7.844 (b)     08/16/30   12,807,617

Athenahealth Group, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    3,740,458       5.653 (b)     02/15/29   3,724,112

Atlas Purchaser, Inc. (NR/WR) (3 mo. USD Term SOFR + 9.000%)

    1,225,000       14.340 (b)     05/07/29   122,500

BEP Intermediate Holdco LLC (B/B1) (1 mo. USD Term SOFR + 3.750%)

    3,388,412       9.094 (b)     04/25/31   3,396,883

Camelot U.S. Acquisition LLC (BB-/B1) (1 mo. USD Term SOFR + 2.750%)

    10,224,375       8.094 (b)     01/31/31   10,237,156

Castle U.S. Holding Corp. (CCC+/Caa1) (3 mo. USD Term SOFR + 3.750%)

    7,127,956       9.359 (b)     01/29/27   4,393,743

ConnectWise LLC (NR/B2)

    11,475,639       0.000 (c)     09/29/28   11,375,228

Cotiviti Corp. (B/B2) (1 mo. USD Term SOFR + 3.250%)

    4,912,688       8.593 (b)     05/01/31   4,881,983

DCert Buyer, Inc. (B-/B2) (1 mo. USD Term SOFR + 4.000%)

    5,143       9.344 (b)     10/16/26   5,043

DCert Buyer, Inc. (CCC/Caa2) (1 mo. USD Term SOFR + 7.000%)

    1,700,000       12.344 (b)     02/19/29   1,507,050

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Technology - Software – (continued)

Drake Software LLC (B-/B3) (3 mo. USD Term SOFR + 4.250%)

$

    7,100,000       9.595 %(b)    06/17/31   $    7,029,000

ECI Macola Max Holding LLC (B-/B2)

    3,990,000       0.000 (c)    05/31/30   4,011,626

Epicor Software Corp. (B-/B2)

    458,683       0.000 (c)    05/23/31   460,339
    53,817       0.000 (c)    05/30/31   54,011

iSolved, Inc. (B/B2) (1 mo. USD Term SOFR + 3.500%)

    4,262,405       8.844 (b)    10/15/30   4,266,412

Loyalty Ventures, Inc. (NR/WR)

    11,629,469       0.000 (b)    11/03/27   87,221

Magenta Buyer LLC (CCC-/Ca) (3 mo. USD Term SOFR + 8.250%)

    1,300,000       13.841 (b)    07/27/29   380,978

Magenta Buyer LLC (CCC+/Caa1) (3 mo. USD Term SOFR + 5.000%)

    4,176,893       10.591 (b)    07/27/28   2,304,266

McAfee LLC (B-/B1)

(1 mo. USD Term SOFR + 3.250%)

    225,000       8.593 (b)    03/01/29   224,473

(1 mo. USD Term SOFR + 3.750%)

    11,975,653       8.593 (b)    03/01/29   11,947,857

Peraton Corp. (B/B1) (1 mo. USD Term SOFR + 3.750%)

    8,738,901       9.194 (b)    02/01/28   8,735,230

Peraton Corp. (NR/NR) (3 mo. USD Term SOFR + 7.750%)

    5,411,236       13.177 (b)    02/01/29   5,424,764

Physician Partners LLC (B-/Caa2) (3 mo. USD Term SOFR + 4.000%)

    7,269,196       9.564 (b)    12/26/28   5,199,510

Project Boost Purchaser LLC (B-/B2)

(1 mo. USD Term SOFR + 0.000%)

    1,989,744       8.958 (b)    05/30/26   1,989,744
    3,042,016       8.958 (b)    06/01/26   3,042,442

Quartz Acquireco LLC (NR/B1) (3 mo. USD Term SOFR + 2.750%)

    3,451,425       8.085 (b)    06/28/30   3,451,425

Severin Acquisition LLC (B/B2) (3 mo. USD Term SOFR + 3.000%)

    8,103,652       8.330 (b)    08/01/27   8,123,912

UKG, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    5,075,000       8.576 (b)    02/10/31   5,091,494

Virtusa Corp. (B/B1) (3 mo. USD Term SOFR + 3.750%)

    9,488,221       9.079 (b)    02/11/28   9,497,140

World Wide Technology Holding Co. LLC (BB/Ba3) (1 mo. USD Term SOFR + 0.000%)

    7,099,047       8.179 (b)    03/01/30   7,116,794
       

 

        153,400,754

 

Telecommunications – 1.6%

Buzz Finco LLC (B/B1)

(1 mo. USD Term SOFR + 2.750%)

    3,746,246       8.194 (b)    01/29/27   3,744,673

(1 mo. USD Term SOFR + 3.250%)

    267,727       8.679 (b)    01/29/27   267,896

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – (continued)

Telecommunications – (continued)

Carnival Corp. (BBB-/Ba2)

$

    10,000,000       0.000 %(c)    10/18/28   $   10,012,500

CCI Buyer, Inc. (B-/B1) (3 mo. USD Term SOFR + 4.000%)

    2,760,733       9.335 (b)    12/17/27   2,761,588

Connect Finco SARL (B+/B1)

    5,211,937       0.000 (c)    09/27/29   4,904,121

Endure Digital, Inc. (B/B2) (1 mo. USD Term SOFR + 3.500%)

    3,062,527       8.949 (b)    02/10/28   2,832,072

Lorca Holdco Ltd. (BB+/Ba3) (6 mo. EUR EURIBOR + 3.500%)

EUR

    4,118,680       7.195 (b)    09/17/27   4,400,095

MLN U.S. HoldCo LLC (NR/NR) (3 mo. USD Term SOFR + 9.250%)

$

    1,471,099       14.697 (b)    10/18/27   110,332

Voyage Digital (NZ) Limited (NR/NR) (3 mo. USD Term SOFR + 3.250%)

    4,536,541       8.576 (b)    05/11/29   4,536,541
       

 

        33,569,818

 

Textiles(b) – 0.4%

Fanatics Commerce Intermediate Holdco LLC (BB-/B1) (1 mo.

USD Term SOFR + 3.250%)

    4,963,000       8.708     11/24/28   4,939,723

New Trojan Parent, Inc. (NR/C)

    1,100,000       0.000     01/05/29   4,125

New Trojan Parent, Inc. (NR/WR)

    6,466,706       0.000     01/06/28   1,261,008

(1 mo. USD Term SOFR + 6.000%)

    1,030,818       11.329     10/24/24   1,020,510
       

 

        7,225,366

 

Transportation Services(b) – 0.8%

Kenan Advantage Group, Inc. (B/B2) (1 mo. USD Term SOFR + 3.750%)

    5,885,244       9.094     01/25/29   5,907,313

LaserShip, Inc. (CCC+/B3) (3 mo. USD Term SOFR + 4.500%)

    2,481,681       10.096     05/07/28   2,101,165

MH Sub I LLC (B/B1) (1 mo. USD Term SOFR + 4.250%)

    6,114,922       9.594     05/03/28   6,104,710

MH Sub I LLC (CCC+/Caa1) (1 mo. USD Term SOFR + 6.250%)

    2,400,000       9.594     02/23/29   2,383,872
       

 

    16,497,060

 

TOTAL BANK LOANS
(Cost $1,772,473,578)
  $1,721,826,168

 

       
Corporate Obligations(d) – 5.7%

Automotive – 0.7%

Dornoch Debt Merger Sub, Inc. (CCC/Caa2)

$

    5,970,000       6.625 %(e)(f)    10/15/29   $    5,075,993

Ford Motor Credit Co. LLC (BBB-/Ba1)

    650,000       4.687     06/09/25   642,590
    4,677,000       4.950     05/28/27   4,568,119

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations(d) – (continued)

Automotive – (continued)

$

    3,600,000       7.350   11/04/27   $    3,753,252
       

 

  14,039,954

 

Building Materials(e) – 0.0%

Masterbrand, Inc. (BB/Ba3)

    800,000       7.000     07/15/32   808,944

 

Chemicals(e) – 0.3%

Axalta Coating Systems Dutch Holding B BV (BB/Ba3)

    1,525,000       7.250     02/15/31   1,586,915

Olympus Water U.S. Holding Corp. (B-/B3)

    4,160,000       9.750     11/15/28   4,406,854
       

 

  5,993,769

 

Commercial Services(e) – 0.3%

APX Group, Inc. (B/Ba3)

    1,928,000       5.750     07/15/29   1,849,665

Paysafe Finance PLC/Paysafe Holdings U.S. Corp. (B/B2)

    3,450,000       4.000 (f)    06/15/29   3,172,792

Verisure Midholding AB (B-/B3)

EUR

    1,075,000       5.250     02/15/29   1,123,469
       

 

  6,145,926

 

Diversified Financial Services(e) – 0.7%

LPL Holdings, Inc. (BBB-/Baa3)

$

    2,489,000       4.000     03/15/29   2,324,676

United Wholesale Mortgage LLC (NR/Ba3)

    3,330,000       5.500     04/15/29   3,162,501

VistaJet Malta Finance PLC/Vista Management Holding, Inc. (B-/B3)

    6,805,000       7.875 (f)    05/01/27   6,012,014
    2,965,000       6.375 (f)    02/01/30   2,315,635
       

 

  13,814,826

 

Engineering & Construction(e) – 0.2%

Global Infrastructure Solutions, Inc. (BB-/B1)

    4,470,000       5.625     06/01/29   4,207,745

 

Healthcare Providers & Services(e) – 0.5%

CHS/Community Health Systems, Inc. (CCC-/Caa3)

    1,125,000       6.125     04/01/30   784,755

Medline Borrower LP (B+/Ba3)

    10,100,000       3.875     04/01/29   9,299,878
       

 

  10,084,633

 

Insurance(e) – 0.1%

Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance LLC (B/B2)

    1,620,000       7.250     02/15/31   1,608,952

 

Internet(e) – 0.3%

ANGI Group LLC (B/B2)

    4,485,000       3.875     08/15/28   3,851,897

Go Daddy Operating Co. LLC/GD Finance Co., Inc. (BB-/Ba3)

    1,942,000       3.500     03/01/29   1,753,801

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations(d) – (continued)

Internet(e) – (continued)

Match Group Holdings II LLC (BB/Ba3)

$

    665,000       3.625   10/01/31   $    563,348
       

 

  6,169,046

 

Leisure Time(e) – 0.3%

Carnival Corp. (BB/B3)

    960,000       5.750     03/01/27   949,142

Carnival Corp. (BBB-/Ba2)

    1,290,000       7.000     08/15/29   1,337,253

MajorDrive Holdings IV LLC (CCC+/Caa2)

    2,543,000       6.375     06/01/29   2,393,141

Royal Caribbean Cruises Ltd. (BB+/Ba2)

    1,860,000       5.500     04/01/28   1,836,657
       

 

  6,516,193

 

Lodging(e) – 0.2%

Travel & Leisure Co. (BB-/Ba3)

    4,332,000       4.500     12/01/29   3,984,400

 

Machinery - Construction & Mining(e) – 0.4%

Vertiv Group Corp. (BB/Ba3)

    8,450,000       4.125     11/15/28   7,889,512

 

Media – 0.2%

Cumulus Media New Holdings, Inc. (B-/Caa1)

    3,854,000       8.000 (e)    07/01/29   1,648,240

Diamond Sports Group LLC/Diamond Sports Finance Co. (NR/WR)

    2,350,000       5.375 (e)(g)    08/15/26   51,066
    3,225,000       6.625 (e)(g)    08/15/27   64,500

iHeartCommunications, Inc. (B-/Caa1)

    3,100,000       6.375 (f)    05/01/26   2,411,862

iHeartCommunications, Inc. (CCC-/Caa3)

    1       8.375     05/01/27   0
       

 

  4,175,668

 

Miscellaneous Manufacturing – 0.0%

Hillenbrand, Inc. (BB+/Ba1)

    922,000       3.750     03/01/31   800,683

 

Oil Field Services – 0.4%

Kodiak Gas Services LLC (B+/B2)

    620,000       7.250 (e)    02/15/29   635,853

Noble Finance II LLC (BB-/B1)

    800,000       8.000 (e)    04/15/30   831,360

Sitio Royalties Operating Partnership LP/Sitio Finance Corp. (B/B3)

    1,720,000       7.875 (e)    11/01/28   1,778,153

Sunoco LP (BB+/Ba1)

    1,145,000       7.000 (e)    05/01/29   1,173,911
    880,000       7.250 (e)    05/01/32   909,806

Sunoco LP/Sunoco Finance Corp. (BB+/Ba1)

    2,070,000       7.000 (e)    09/15/28   2,122,123
    1,425,000       4.500     04/30/30   1,318,923
       

 

  8,770,129

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations(d) – (continued)

Pipelines(e) – 0.2%

Hess Midstream Operations LP (BB+/Ba2)

$

    935,000       6.500   06/01/29   $      947,529

ITT Holdings LLC (B-/B3)

    2,305,000       6.500     08/01/29   2,090,635
       

 

    3,038,164

 

Real Estate(e) (f) – 0.1%

Anywhere Real Estate Group LLC/Realogy Co.-Issuer Corp. (CCC+/Caa1)

    2,885,000       5.250     04/15/30   1,734,924

 

Retailing(e) – 0.1%

LCM Investments Holdings II LLC (BB-/B2)

    2,285,000       4.875     05/01/29   2,134,830

Specialty Building Products Holdings LLC/SBP Finance Corp. (B/B3)

    855,000       6.375     09/30/26   840,260
       

 

    2,975,090

 

Software(e) – 0.6%

AthenaHealth Group, Inc. (CCC/Caa2)

    8,970,000       6.500     02/15/30   8,262,716

Castle U.S. Holding Corp. (CCC-/Caa3)

    3,965,000       9.500     02/15/28   1,894,755

Rackspace Finance LLC (B-/Caa1)

    2,366,000       3.500     05/15/28   1,026,678
       

 

    11,184,149

 

Transportation(e)(f) – 0.1%

Rand Parent LLC (BB-/Ba1)

    2,705,000       8.500     02/15/30   2,735,999

 

TOTAL CORPORATE OBLIGATIONS
(Cost $133,939,499)

  $  116,678,706

 

       
Asset-Backed Securities(b)(d)(e) – 1.5%

Collateralized Loan Obligations – 1.5%

Golub Capital Partners 48 LP Series 2020-48A, Class D (BBB-/NR) (3 mo. USD Term SOFR + 4.062%)

$

    5,400,000       9.379   04/17/33   $    5,410,795

Golub Capital Partners CLO 74 B Ltd. Series 2024-74A, Class D1 (NR/NR) (3 mo. USD Term SOFR + 3.200%)

    2,000,000       8.515     07/25/37   2,003,426

ICG U.S. CLO Ltd. Series 2015-2RA, Class C (NR/Baa3) (3 mo. USD Term SOFR + 3.762%)

    2,100,000       9.089     01/16/33   2,073,403

Park Blue CLO Ltd. Series 2024-5A, Class D (NR/NR) (3 mo. USD Term SOFR + 3.200%)

    2,000,000       8.518     07/25/37   2,003,402

Race Point VIII CLO Ltd. Series 2013-8A, Class DR2 (BBB-/NR) (3 mo. USD Term SOFR + 3.762%)

    3,235,000       9.087     02/20/30   3,235,000

TCW CLO AMR Ltd. Series 2019-1A, Class DR (BBB-/NR) (3 mo. USD Term SOFR + 3.932%)

    4,900,000       9.258     08/16/34   4,909,584

 

Principal

Amount

 

Interest

Rate

   

Maturity

Date

  Value
Asset-Backed Securities(b)(d)(e) – (continued)

Collateralized Loan Obligations – (continued)

THL Credit Wind River CLO Ltd. Series 2017-1A, Class DR (BBB-/NR) (3 mo. USD Term SOFR + 3.982%)

$

  4,000,000     9.309   04/18/36   $    3,939,948

Tralee CLO V Ltd. Series 2018-5A, Class DR (BBB-/NR) (3 mo. USD Term SOFR + 4.072%)

  7,000,000     9.396     10/20/34   6,794,928

 

TOTAL ASSET-BACKED SECURITIES
(Cost $30,421,997)

  $   30,370,486

 

Shares      Description   Value
  Common Stocks(g) – 0.4%
 

Aerospace & Defense – 0.2%

  204,620      Swissport Ltd.   $    3,588,383

 

 

 

Media – 0.2%

           162,749      Bright Pattern Holdco(h)   163
  579,399      Clear Channel Outdoor Holdings, Inc.   816,953
  591,024      National CineMedia, Inc.   2,594,595
    

 

     3,411,711

 

 

 

Software(h) – 0.0%

  229      Travelport LLC   458,000

 

 

 

Specialty Retail – 0.0%

  9,541      Neiman Marcus Group Ltd. LLC   954,100

 

 

 
TOTAL COMMON STOCKS
(Cost $16,248,818)
  $    8,412,194

 

 

    
Units     

Expiration

Date

  Value
  Warrants(g) – 0.1%
 

Aspect Software, Inc. (NR/NR)(h)

           162,749      12/31/99   $          163
 

Cineworld Group PLC (NR/NR)

  50,868      12/31/99   861,598
 

Noble Corp. PLC (NR/NR)

  6,346      02/04/28   146,846
  (Cost $15,866)  

 

 

 
TOTAL WARRANTS
(Cost $785,878)
  $    1,008,607

 

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Shares     

Dividend

Rate

  Value
  Preferred Stocks(g)(h) – 0.0%
 

Post Secondary Education – 0.0%

 

Travelport LLC

  163      0.000   $       15,485
  (Cost $163,000)  

 

 

Shares      Description   Value
  Exchange Traded Funds – 2.4%
  956,076      Invesco Senior Loan ETF (NR/NR)   $   20,115,839
  129,178      iShares iBoxx $ High Yield Corporate Bond ETF (NR/NR)   9,964,791
  472,562      SPDR Blackstone Senior Loan ETF (NR/NR)   19,753,092

 

 

 

TOTAL EXCHANGE TRADED FUNDS
(Cost $49,225,493)

  $   49,833,722

 

 

Shares     

Dividend

Rate

  Value
  Investment Company(i) – 6.3%
 

Goldman Sachs Financial Square Government Fund —
Institutional Shares

  129,116,294      5.213%   $  129,116,294

 

 

  (Cost $129,116,294)  

 

 

    
  Securities Lending Reinvestment Vehicle(i) – 3.2%
 

Goldman Sachs Financial Square Government Fund —
Institutional Shares

  64,241,960      5.213%   $   64,241,960
  (Cost $64,241,960)  

 

 

 
TOTAL INVESTMENTS – 103.8%
(Cost $2,196,616,517)
  $2,121,503,622

 

 

 

LIABILITIES IN EXCESS OF OTHER

 ASSETS – (3.8)%

  $ (77,322,200)

 

 

  NET ASSETS – 100.0%   $2,044,181,422

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2024. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(b)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
(c)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(d)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(e)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(f)   All or a portion of security is on loan.
(g)   Security is currently in default and/or non-income producing.
(h)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(i)   Represents an affiliated issuer.
 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2024, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
     Current
Value
       Unrealized
Gain (Loss)
 

 

 

Groundworks LLC (B/B), due 03/14/31

     $865,026      $ 859,959        $ (809

Touchdown Acquirer, Inc. (NR/B2), due 02/21/31

     94,311        94,607          295  

 

 

TOTA L

               $ (514

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

EUR

     6,683,621          USD        7,155,435          07/30/24        $ 12,838  
    

USD

     80,300,145          EUR        74,250,510          07/30/24          665,473  

 

 

TOTAL

                          $ 678,311  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC

    

EUR

     868,390        USD      938,634          07/30/24        $ (7,274

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

Description      Number of
Contracts
    

Expiration

Date

    

Notional

Amount

    

Unrealized

Appreciation/

(Depreciation)

 

 

 

Short position contracts:

                 

10 Year U.S. Treasury Notes

     (66)      09/19/24      $ (7,258,969    $ (78,941

2 Year U.S. Treasury Notes

     (166)      09/30/24        (33,900,313      (89,291

5 Year U.S. Treasury Notes

     (572)      09/30/24        (60,962,687      (408,679

Ultra 10-Year U.S. Treasury Note

     (56)      09/19/24        (6,357,750      (69,072

 

 

TOTAL FUTURES CONTRACTS

                  $ (645,983

 

 

 

 

Currency Abbreviations:
EUR  

— Euro

GBP  

— British Pound

USD  

— U.S. Dollar

 
Investment Abbreviations:
CLO  

— Collateralized Loan Obligation

ETF  

— Exchange Traded Fund

EURIBOR  

— Euro Interbank Offered Rate

LIBOR  

— London Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PLC  

— Public Limited Company

SOFR  

— Secured Overnight Financing Rate

USD  

— US.Dollar

 

Abbreviation:
MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 93.2%

Aerospace & Defense – 1.9%

Boeing Co.(a)

$

    525,000       2.196   02/04/26   $    493,820
    1,950,000       3.450     11/01/28   1,764,984
    480,000       5.150     05/01/30   460,829
    1,145,000       6.528 (b)    05/01/34   1,172,194
    1,375,000       3.250     02/01/35   1,050,294
    500,000       3.550     03/01/38   362,150
    1,306,000       3.375     06/15/46   832,053
    575,000       3.625     03/01/48   369,897
    900,000       3.850     11/01/48   600,462
    634,000       6.858 (b)    05/01/54   650,027

Northrop Grumman Corp.

    75,000       4.750     06/01/43   67,219

RTX Corp.

    1,975,000       4.125 (a)    11/16/28   1,902,103
    1,200,000       6.100 (a)    03/15/34   1,263,600
    695,000       4.875     10/15/40   633,666
       

 

    11,623,298

 

Agriculture(a) – 1.7%

Altria Group, Inc.

    975,000       4.800     02/14/29   958,952

BAT Capital Corp.

    875,000       3.215     09/06/26   835,118
    200,000       3.557     08/15/27   189,912
    1,350,000       2.259     03/25/28   1,209,343
    1,000,000       6.343     08/02/30   1,044,300
    5,855,000       6.000     02/20/34   5,918,468
       

 

    10,156,093

 

Automotive – 3.9%

Ford Motor Credit Co. LLC(a)

    3,460,000       3.375     11/13/25   3,348,519
    2,186,000       5.850     05/17/27   2,188,011

General Motors Co.(a)

    2,925,000       6.800     10/01/27   3,036,793
    950,000       6.600     04/01/36   995,353

General Motors Financial Co., Inc.(a)

    4,365,000       5.250     03/01/26   4,340,425
    2,575,000       1.500     06/10/26   2,384,965
    400,000       2.700     08/20/27   369,144
    775,000       3.850     01/05/28   735,258

Hyundai Capital America(a)(b)

    1,450,000       5.600     03/30/28   1,459,874
    2,188,000       5.700     06/26/30   2,214,978
    1,350,000       6.200     09/21/30   1,401,962

Toyota Motor Credit Corp.

    1,035,000       4.800     01/05/34   1,005,099
       

 

    23,480,381

 

Banks – 23.5%

Banco Santander SA

    1,600,000       6.921     08/08/33   1,672,384

(1 yr. CMT + 1.600%)

    400,000       3.225 (a)(c)    11/22/32   333,860

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Bank of America Corp.(a)(c)

(3 mo. USD Term SOFR + 1.252%)

$

    275,000       2.496   02/13/31   $    237,622

(3 mo. USD Term SOFR+ 1.302%)

    2,863,000       3.419     12/20/28   2,691,535

(3 mo. USD Term SOFR +1.332%)

    5,356,000       3.970     03/05/29   5,120,282

(3 mo. USD Term SOFR +1.572%)

    1,950,000       4.271     07/23/29   1,878,474

(3 mo. USD Term SOFR +4.436%)

    1,562,000       6.500     10/23/24   1,560,672

(5 yr. CMT+ 1.200%)

    1,025,000       2.482     09/21/36   818,442

(Secured Overnight Financing Rate + 1.330%)

    1,825,000       2.972     02/04/33   1,544,972

(Secured Overnight Financing Rate + 1.570%)

    1,615,000       5.819     09/15/29   1,648,608

(Secured Overnight Financing Rate + 1.630%)

    1,210,000       5.202     04/25/29   1,207,858

(Secured Overnight Financing Rate + 1.830%)

    8,215,000       4.571     04/27/33   7,748,224

Bank of New York Mellon Corp.(a)(c)

(5 yr. CMT + 4.358%)

    1,170,000       4.700     09/20/25   1,149,981

Barclays PLC

    425,000       5.200     05/12/26   420,066
    1,850,000       4.836 (a)    05/09/28   1,785,176

BNP Paribas SA(a)(b)(c) (1 yr. CMT + 1.500%)

    1,680,000       5.335     06/12/29   1,678,925

(Secured Overnight Financing Rate + 1.004%)

    4,225,000       1.323     01/13/27   3,944,967

(Secured Overnight Financing Rate + 1.507%)

    370,000       3.052     01/13/31   324,039

BPCE SA(b)

    1,350,000       4.625     09/12/28   1,305,464

(Secured Overnight Financing Rate + 1.730%)

    1,050,000       3.116 (a)(c)    10/19/32   858,417

(Secured Overnight Financing Rate + 2.865%)

    1,690,000       5.748 (a)(c)    07/19/33   1,669,331

Citigroup, Inc.

    925,000       4.750     05/18/46   793,040

(3 mo. USD Term SOFR + 1.825%)

    2,598,000       3.887 (a)(c)    01/10/28   2,509,070

(Secured Overnight Financing Rate + 0.765%)

    600,000       1.122 (a)(c)    01/28/27   559,800

(Secured Overnight Financing Rate + 1.351%)

    800,000       3.057 (a)(c)    01/25/33   678,408

(Secured Overnight Financing Rate + 1.422%)

    1,025,000       2.976 (a)(c)    11/05/30   912,927

(Secured Overnight Financing Rate + 1.447%)

    1,535,000       5.449 (a)(c)    06/11/35   1,523,288

(Secured Overnight Financing Rate +2.338%)

    1,645,000       6.270 (a)(c)    11/17/33   1,724,453

(Secured Overnight Financing Rate + 3.914%)

    675,000       4.412 (a)(c)    03/31/31   643,322

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Comerica, Inc.(a)(c) (Secured Overnight Financing Rate + 2.155%)

$

    10,000       5.982   01/30/30   $      9,855

Credit Agricole SA

    1,950,000       4.375     03/17/25     1,925,430
    725,000       5.514 (b)    07/05/33   731,235

(5 yr. USD Swap + 4.319%)

    500,000       6.875 (a)(b)(c)    09/23/24   498,235

(5 yr. USD Swap + 6.185%)

    1,290,000       8.125 (a)(b)(c)    12/23/25   1,308,305

Discover Bank(a)

    1,500,000       4.650     09/13/28   1,438,305

First-Citizens Bank & Trust Co.(a)(c) (3 mo. USD Term SOFR + 1.715%)

    2,550,000       2.969     09/27/25   2,523,148

HSBC Bank USA NA

    800,000       5.625     08/15/35   789,128

HSBC Holdings PLC

    600,000       7.625     05/17/32   657,030

(3 mo. USD Term SOFR + 1.609%)

    1,875,000       4.292 (a)(c)    09/12/26   1,841,944

(Secured Overnight Financing Rate + 1.929%)

    925,000       2.099 (a)(c)    06/04/26   894,299

(Secured Overnight Financing Rate + 2.870%)

    216,000       5.402 (a)(c)    08/11/33   213,304

Huntington Bancshares, Inc.(a)(c)

(Secured Overnight Financing Rate + 2.020%)

    1,085,000       6.208     08/21/29   1,107,470

ING Groep NV(a)(c)

(5 yr. USD Swap + 4.446%)

    1,310,000       6.500     04/16/25   1,299,848

(Secured Overnight Financing Rate + 1.005%)

    1,725,000       1.726     04/01/27   1,613,582

(Secured Overnight Financing Rate + 1.440%)

    1,620,000       5.335     03/19/30   1,613,828

JPMorgan Chase & Co.(a)(c)

(3 mo. USD Term SOFR + 1.622%)

    875,000       3.882     07/24/38   750,829

(3 mo. USD Term SOFR + 2.515%)

    3,650,000       2.956     05/13/31   3,198,823

(Secured Overnight Financing Rate + 1.800%)

    11,324,000       4.586     04/26/33   10,774,220

(Secured Overnight Financing Rate + 2.080%)

    955,000       4.912     07/25/33   927,716

KeyCorp(a)(c) (Secured Overnight Financing Rate + 1.250%)

    2,775,000       6.619     05/23/25   2,772,530

Lloyds Banking Group PLC

    1,575,000       4.582     12/10/25   1,546,209

(1 yr. CMT + 0.850%)

    350,000       1.627 (a)(c)    05/11/27   325,070

M&T Bank Corp.(a)(c) (Secured Overnight Financing Rate + 2.260%)

    2,505,000       6.082     03/13/32   2,496,733

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Macquarie Group Ltd.(a)(b)(c)

(3 mo. USD LIBOR + 1.372%)

$

    1,900,000       3.763   11/28/28   $  1,789,477

(Secured Overnight Financing Rate + 1.069%)

    2,200,000       1.340     01/12/27   2,059,596

Morgan Stanley(a)(c)

    2,720,000       3.971     07/22/38   2,302,507

(Secured Overnight Financing Rate + 1.143%)

    650,000       2.699     01/22/31   569,797

(Secured Overnight Financing Rate + 1.360%)

    725,000       2.484     09/16/36   573,772

(Secured Overnight Financing Rate + 1.590%)

    1,645,000       5.164     04/20/29   1,639,292

(Secured Overnight Financing Rate + 1.630%)

    6,385,000       5.449     07/20/29   6,422,927

(Secured Overnight Financing Rate + 1.730%)

    255,000       5.466     01/18/35   254,411

(Secured Overnight Financing Rate + 2.076%)

    2,181,000       4.889     07/20/33   2,102,746

NatWest Group PLC(a)(c) (5 yr. USD Swap + 5.720%)

    1,305,000       8.000     08/10/25   1,314,383

Regions Financial Corp.(a)(c) (Secured Overnight Financing Rate + 1.490%)

    1,975,000       5.722     06/06/30   1,973,321

Santander U.K. Group Holdings PLC(a)(c)

(3 mo. USD LIBOR + 1.400%)

    325,000       3.823     11/03/28   306,989

(Secured Overnight Financing Rate + 1.220%)

    550,000       2.469     01/11/28   507,595

Shinhan Bank Co. Ltd.(b)

    260,000       4.500     04/12/28   255,450

Sumitomo Mitsui Financial Group, Inc.

    605,000       5.808     09/14/33   627,331

Truist Financial Corp.(a)(c)

(5 yr. CMT + 4.605%)

    1,525,000       4.950     09/01/25   1,495,079

(Secured Overnight Financing Rate + 1.922%)

    685,000       5.711     01/24/35   682,144

(Secured Overnight Financing Rate + 2.050%)

    700,000       6.047     06/08/27   704,914

U.S. Bancorp(a)(c) (Secured Overnight Financing Rate + 2.020%)

    1,260,000       5.775     06/12/29   1,279,240

UBS Group AG(a)(b)

    7,097,000       4.282     01/09/28   6,806,520

(5 yr. CMT + 4.758%)

    405,000       9.250 (c)    11/13/33   453,539

(Secured Overnight Financing Rate + 0.980%)

    4,925,000       1.305 (c)    02/02/27   4,590,100

(Secured Overnight Financing Rate + 1.560%)

    3,071,000       2.593 (c)    09/11/25   3,051,100

(Secured Overnight Financing Rate + 3.340%)

    1,300,000       6.373 (c)    07/15/26   1,306,578

(Secured Overnight Financing Rate + 5.020%)

    1,875,000       9.016 (c)    11/15/33   2,261,119

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

Wells Fargo & Co.(a)(c)

(3 mo. USD Term SOFR + 1.572%)

$

    498,000       3.584   05/22/28   $    474,260

(Secured Overnight Financing Rate + 1.510%)

    1,325,000       3.526     03/24/28   1,263,586

(Secured Overnight Financing Rate + 2.100%)

    3,403,000       4.897     07/25/33   3,275,898

Wells Fargo Bank NA

    824,000       5.950     08/26/36   854,051

Westpac Banking Corp.(a)(c)

(5 yr. CMT + 1.350%)

    375,000       2.894     02/04/30   367,631

(5 yr. CMT + 2.000%)

    1,300,000       4.110     07/24/34   1,201,486

(5 yr. USD SOFR ICE Swap Rate + 2.236%)

    125,000       4.322     11/23/31   120,629
       

 

  143,088,151

 

Beverages – 2.3%

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.(a)

    4,438,000       4.700     02/01/36   4,228,837

Anheuser-Busch InBev Finance, Inc.(a)

    600,000       4.700     02/01/36   568,686

Anheuser-Busch InBev Worldwide, Inc.

    180,000       8.200     01/15/39   228,875
    175,000       5.450 (a)    01/23/39   177,410

Bacardi Ltd.(a)(b)

    2,275,000       4.700     05/15/28   2,212,073
    700,000       5.300     05/15/48   631,351

Bacardi Ltd./Bacardi-Martini BV(a)(b)

    1,475,000       5.900     06/15/43   1,440,411

Coca-Cola Consolidated, Inc.(a)

    410,000       5.450     06/01/34   413,657

Constellation Brands, Inc. (a)

    450,000       4.350     05/09/27   439,241
    350,000       4.650     11/15/28   342,468
    455,000       4.800     01/15/29   448,744
    1,256,000       4.750     05/09/32   1,207,657
    50,000       4.500     05/09/47   41,748

JDE Peet’s NV(a)(b)

    1,970,000       2.250     09/24/31   1,587,347

Keurig Dr Pepper, Inc.(a)

    325,000       4.500     11/15/45   276,877
       

 

  14,245,382

 

Biotechnology(a) –1.6%

Amgen, Inc.

    2,065,000       5.250     03/02/30   2,080,198
    5,000,000       4.200     03/01/33   4,631,450
    1,773,000       5.250     03/02/33   1,767,770

Royalty Pharma PLC

    1,436,000       5.400     09/02/34   1,397,831
       

 

  9,877,249

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Building Materials(a) – 0.4%

Carrier Global Corp.

$

    1,180,000       5.900   03/15/34   $  1,232,345

Fortune Brands Innovations, Inc.

    672,000       4.000     03/25/32   610,183

Owens Corning

    422,000       5.950     06/15/54   424,865
       

 

  2,267,393

 

Chemicals(a) – 1.2%

Celanese U.S. Holdings LLC

    1,240,000       6.165     07/15/27   1,258,501
    715,000       6.350     11/15/28   734,484
    1,250,000       6.550     11/15/30   1,306,675

DuPont de Nemours, Inc.

    76,000       5.319     11/15/38   78,114
    850,000       5.419     11/15/48   880,515

Huntsman International LLC

    1,050,000       4.500     05/01/29   994,717

International Flavors & Fragrances, Inc.(b)

    385,000       2.300     11/01/30   321,044
    1,075,000       3.268     11/15/40   760,100

LYB International Finance BV

    725,000       4.875     03/15/44   630,329

Sherwin-Williams Co.

    475,000       4.000     12/15/42   381,810
       

 

  7,346,289

 

Coal(a) – 0.1%

Teck Resources Ltd.

    692,000       3.900     07/15/30   642,031

 

Commercial Services – 1.0%

Ashtead Capital, Inc.(a)(b)

    925,000       1.500     08/12/26   843,424
    525,000       2.450     08/12/31   423,707
    456,000       5.800     04/15/34   452,753

DP World Ltd.

    360,000       5.625     09/25/48   342,450

Global Payments, Inc.(a)

    1,150,000       4.450     06/01/28   1,111,049

GXO Logistics, Inc.(a)

    2,573,000       2.650     07/15/31   2,090,460
    887,000       6.500     05/06/34   900,864
       

 

  6,164,707

 

Computers – 0.5%

Dell International LLC/EMC Corp.(a)

    375,000       4.900     10/01/26   371,332
    225,000       6.200     07/15/30   236,088
    Dell, Inc.        
    2,075,000       7.100     04/15/28   2,211,058

Hewlett Packard Enterprise Co.(a)

    341,000       6.200     10/15/35   358,957
    80,000       6.350     10/15/45   84,032
       

 

  3,261,467

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Diversified Financial Services – 5.4%

AerCap Ireland Capital DAC/AerCap Global Aviation Trust(a)

$

    5,485,000       6.500   07/15/25   $5,532,281
    725,000       6.450     04/15/27   742,059
    850,000       4.625     10/15/27   828,708
    775,000       3.000     10/29/28   704,359

Air Lease Corp.(a)

    2,150,000       3.375     07/01/25   2,101,001
    3,525,000       2.875     01/15/26   3,381,885
    1,475,000       3.750     06/01/26   1,424,865
    325,000       3.625     04/01/27   310,424

Ally Financial, Inc.

    950,000       4.625     03/30/25   941,118
    1,335,000       4.750 (a)    06/09/27   1,302,333
    1,575,000       2.200 (a)    11/02/28   1,364,123

Aviation Capital Group LLC(a)(b)

    2,675,000       1.950     01/30/26   2,517,202

Avolon Holdings Funding Ltd.(a)(b)

    3,750,000       4.250     04/15/26   3,641,137
    1,450,000       3.250     02/15/27   1,358,128

Capital One Financial Corp.(a)(c) (Secured Overnight Financing Rate + 3.070%)

    1,165,000       7.624     10/30/31   1,281,418

Charles Schwab Corp.(a)(c) (5 yr. CMT + 4.971%)

    583,000       5.375     06/01/25   576,558

Discover Financial Services(a)

    800,000       4.100     02/09/27   768,952

Intercontinental Exchange, Inc.(a)(b)

    350,000       3.625     09/01/28   330,148

Jefferies Financial Group, Inc.(a)

    1,220,000       6.200     04/14/34   1,236,372

Macquarie Airfinance Holdings Ltd.(a)(b)

    135,000       6.400     03/26/29   137,399

Nomura Holdings, Inc.

    2,375,000       1.653     07/14/26   2,195,806
       

 

  32,676,276

 

Electrical – 3.6%

American Electric Power Co., Inc.(a)

    350,000       2.300     03/01/30   297,997

Berkshire Hathaway Energy Co.

    767,000       6.125     04/01/36   803,824
    500,000       2.850 (a)    05/15/51   305,425

CMS Energy Corp.(a)

    500,000       4.875     03/01/44   450,315

Dominion Energy, Inc.(a)

    925,000       3.375     04/01/30   835,478

DTE Energy Co.(a)

    4,736,000       4.875     06/01/28   4,660,035

Duke Energy Corp.(a)

    400,000       4.800     12/15/45   343,764

Duquesne Light Holdings, Inc.(a)(b)

    1,075,000       2.532     10/01/30   903,398

Emera U.S. Finance LP(a)

    575,000       3.550     06/15/26   551,201

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Electrical – (continued)

NextEra Energy Capital Holdings, Inc.(a)

$

    2,055,000       1.900   06/15/28   $1,816,908

Pacific Gas & Electric Co.(a)

    250,000       2.950     03/01/26   239,203
    675,000       2.100     08/01/27   609,613

PacifiCorp(a)

    2,090,000       5.800     01/15/55   2,024,938

Progress Energy, Inc.

    1,400,000       7.000     10/30/31   1,517,390

Public Service Electric & Gas Co.(a)

    975,000       3.950     05/01/42   795,132

Sempra(a)

    1,125,000       3.800     02/01/38   919,080

Southern California Edison Co.(a)

    1,325,000       4.200     03/01/29   1,266,620
    275,000       4.050     03/15/42   220,110

Southern Co.(a)

    425,000       4.400     07/01/46   355,283

Vistra Operations Co. LLC(a)(b)

    975,000       4.300     07/15/29   921,404

Xcel Energy, Inc.(a)

    2,380,000       3.350     12/01/26   2,270,829
       

 

  22,107,947

 

Electronics(a) – 0.1%

Allegion U.S. Holding Co., Inc.

    460,000       5.600     05/29/34   460,216

 

Engineering & Construction(a) – 0.3%

MasTec, Inc.

    551,000       5.900     06/15/29   553,618

Mexico City Airport Trust

    240,000       3.875 (b)    04/30/28   225,300
    800,000       5.500     07/31/47   662,750
    220,000       5.500 (b)    07/31/47   182,256
       

 

  1,623,924

 

Entertainment(a) – 0.7%

Warnermedia Holdings, Inc.

    4,535,000       4.279     03/15/32   3,957,150
    8,000       5.050     03/15/42   6,502
       

 

  3,963,652

 

Environmental(a)(b) – 0.3%

Veralto Corp.

    775,000       5.500     09/18/26   774,752
    1,355,000       5.450     09/18/33   1,351,179
       

 

  2,125,931

 

Food & Drug Retailing(a) – 1.3%

Campbell Soup Co.

    1,264,000       5.400     03/21/34   1,256,365

Grupo Bimbo SAB de CV

    1,070,000       4.700     11/10/47   910,169

J M Smucker Co.

    4,530,000       6.200     11/15/33   4,756,590

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Food & Drug Retailing(a) – (continued)

Kellanova

$

    549,000       5.750   05/16/54   $    548,649

Sysco Corp.

    150,000       6.600     04/01/40   162,300
    75,000       4.450     03/15/48   62,337
       

 

  7,696,410

 

Healthcare Providers & Services – 5.0%

Centene Corp.(a)

    950,000       4.250     12/15/27   907,060

CommonSpirit Health

    150,000       4.350     11/01/42   126,775
    510,000       6.461 (a)    11/01/52   563,494

GE HealthCare Technologies, Inc.(a)

    4,900,000       5.650     11/15/27   4,965,905
    397,000       5.857     03/15/30   407,842

HCA, Inc.(a)

    4,800,000       5.250     06/15/26   4,781,184
    2,205,000       3.500     09/01/30   1,989,064
    1,145,000       5.500     06/01/33   1,135,394

Humana, Inc.(a)

    1,395,000       5.375     04/15/31   1,387,342
    1,075,000       5.950     03/15/34   1,099,188

Icon Investments Six DAC(a)

    1,095,000       5.849     05/08/29   1,112,257

IQVIA, Inc.(a)

    1,140,000       6.250     02/01/29   1,171,749

Novant Health, Inc.(a)

    710,000       3.168     11/01/51   474,931

Revvity, Inc.(a)

    1,405,000       1.900     09/15/28   1,229,192
    1,200,000       3.300     09/15/29   1,091,988

Solventum Corp.(a)(b)

    1,230,000       5.400     03/01/29   1,226,199
    2,130,000       5.600     03/23/34   2,090,552

STERIS Irish FinCo UnLtd Co.(a)

    218,000       2.700     03/15/31   185,721

UnitedHealth Group, Inc.

    1,100,000       5.800     03/15/36   1,149,555
    766,000       5.050 (a)    04/15/53   710,503
    2,625,000       6.050 (a)    02/15/63   2,761,395
       

 

  30,567,290

 

Insurance – 1.4%

American International Group, Inc.

    700,000       6.250     05/01/36   739,774
    598,000       4.500 (a)    07/16/44   516,953
    200,000       4.800 (a)    07/10/45   178,452

Arch Capital Finance LLC(a)

    400,000       4.011     12/15/26   387,084

Arch Capital Group Ltd.

    595,000       7.350     05/01/34   672,415

Hartford Financial Services Group, Inc.

    200,000       6.625     04/15/42   209,394

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Insurance – (continued)

MetLife, Inc.

$

    475,000       4.721   12/15/44   $    419,164

Principal Financial Group, Inc.

    150,000       6.050     10/15/36   157,860

Prudential Financial, Inc.

    1,850,000       5.700     12/14/36   1,893,049

QBE Insurance Group Ltd.(a)(b)(c) (5 yr. CMT + 5.513%)

    1,590,000       5.875     05/12/25   1,573,528

Teachers Insurance & Annuity Association of America(b)

    890,000       4.900     09/15/44   789,430

Willis North America, Inc.(a)

    1,200,000       2.950     09/15/29   1,075,164
       

 

  8,612,267

 

Internet(a) – 1.1%

Expedia Group, Inc.

    725,000       3.250     02/15/30   653,725
    196,000       2.950     03/15/31   169,693

Netflix, Inc.(b)

    5,060,000       4.875     06/15/30   4,977,471

Prosus NV

    200,000       3.680 (b)    01/21/30   177,438
    200,000       3.680     01/21/30   177,438
    580,000       3.061     07/13/31   480,675
       

 

  6,636,440

 

Investment Companies(a) – 0.5%

Blackstone Private Credit Fund

    2,425,000       2.625     12/15/26   2,218,559
    125,000       3.250     03/15/27   115,409

JAB Holdings BV(b)

    700,000       2.200     11/23/30   563,507
       

 

  2,897,475

 

Iron/Steel – 0.6%

ArcelorMittal SA

    950,000       4.550     03/11/26   932,691

POSCO(b)

    240,000       5.750     01/17/28   242,850

Steel Dynamics, Inc.(a)

    1,950,000       1.650     10/15/27   1,739,283

Vale Overseas Ltd.(a)

    630,000       6.400     06/28/54   619,643
       

 

  3,534,467

 

Lodging(a) – 0.9%

Choice Hotels International, Inc.

    409,000       3.700     01/15/31   360,918
    712,000       5.850     08/01/34   701,249

Hyatt Hotels Corp.

    1,963,000       5.500     06/30/34   1,909,861

Marriott International, Inc.

    543,000       4.000     04/15/28   521,291
    1,350,000       5.550     10/15/28   1,368,009

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Lodging(a) – (continued)

$

    675,000       4.650   12/01/28   $    660,987
       

 

        5,522,315

 

Machinery - Construction & Mining(a)(b) – 0.1%

Weir Group PLC

    925,000       2.200     05/13/26   867,678

 

Machinery-Diversified(a) – 0.7%

AGCO Corp.

    1,230,000       5.800     03/21/34   1,224,637

Ingersoll Rand, Inc.

    475,000       5.314     06/15/31   477,403
    549,000       5.450     06/15/34   553,458

Nordson Corp.

    2,075,000       5.800     09/15/33   2,129,718
       

 

        4,385,216

 

Media – 3.0%

Charter Communications Operating LLC/Charter
Communications Operating Capital(a)

    2,217,000       4.908     07/23/25   2,198,089
    1,050,000       3.750     02/15/28   976,447
    5,125,000       4.200     03/15/28   4,843,074
    256,000       6.650     02/01/34   258,634
    625,000       6.384     10/23/35   609,269

Comcast Corp.

    1,280,000       5.300 (a)    06/01/34   1,282,598
    150,000       3.250 (a)    11/01/39   115,418
    475,000       3.750 (a)    04/01/40   385,994
    75,000       4.750     03/01/44   67,525
    738,000       5.650 (a)    06/01/54   736,923

Discovery Communications LLC(a)

    3,125,000       4.900     03/11/26   3,079,625

Time Warner Cable Enterprises LLC

    1,600,000       8.375     07/15/33   1,768,032

Time Warner Cable LLC(a)

    675,000       5.875     11/15/40   587,155

Walt Disney Co.

    1,400,000       6.400     12/15/35   1,532,426
       

 

        18,441,209

 

Mining(b) – 0.5%

Glencore Finance Canada Ltd.

    525,000       5.550     10/25/42   488,822

Glencore Funding LLC(a)

    1,075,000       4.000     03/27/27   1,037,278
    925,000       2.850     04/27/31   779,756
    725,000       2.625     09/23/31   596,748
       

 

        2,902,604

 

Miscellaneous Manufacturing – 0.3%

GE Capital International Funding Co. Unlimited Co.

    860,000       4.418     11/15/35   793,324

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Miscellaneous Manufacturing – (continued)

General Electric Co.

$

    1,294,000       5.875   01/14/38   $    1,329,766
       

 

        2,123,090

 

Multi-National(a)(b) – 0.0%

African Export-Import Bank

    200,000       3.798     05/17/31   170,566

 

Oil Field Services – 2.7%

Aker BP ASA(a)(b)

    1,043,000       2.000     07/15/26   970,480

Continental Resources, Inc.(a)

    25,000       4.375     01/15/28   24,019
    925,000       5.750 (b)    01/15/31   909,654

Diamondback Energy, Inc.(a)

    2,215,000       6.250     03/15/33   2,316,956
    890,000       5.400     04/18/34   880,967

Marathon Oil Corp.

    1,450,000       5.300 (a)    04/01/29   1,456,249
    900,000       6.800     03/15/32   979,191

Marathon Petroleum Corp.(a)

    2,095,000       3.800     04/01/28   1,996,242

Occidental Petroleum Corp.(a)

    2,500,000       8.875     07/15/30   2,881,950

Ovintiv, Inc.

    800,000       5.375 (a)    01/01/26   796,160
    1,025,000       8.125     09/15/30   1,157,246

Pertamina Persero PT(a)

    370,000       4.175     01/21/50   285,363

QatarEnergy(a)(b)

    200,000       3.125     07/12/41   148,500

Reliance Industries Ltd.(b)

    890,000       3.625     01/12/52   623,556

Saudi Arabian Oil Co.

    1,100,000       3.500     04/16/29   1,023,000

Shell International Finance BV

    225,000       6.375     12/15/38   247,950
       

 

        16,697,483

 

Packaging(a) – 0.6%

Berry Global, Inc.

    1,800,000       1.570     01/15/26   1,691,586
    1,225,000       1.650     01/15/27   1,115,203

Smurfit Kappa Treasury ULC(b)

    910,000       5.200     01/15/30   905,205
       

 

        3,711,994

 

Pharmaceuticals(a) – 3.6%

AbbVie, Inc.

    2,850,000       4.500     05/14/35   2,687,721
    301,000       4.050     11/21/39   261,202

Becton Dickinson & Co.

    439,000       4.685     12/15/44   386,346

Bristol-Myers Squibb Co.

    1,371,000       5.200     02/22/34   1,368,423
    970,000       6.250     11/15/53   1,041,945

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pharmaceuticals(a) – (continued)

$

    2,365,000       5.550   02/22/54   $    2,331,015

Cardinal Health, Inc.

    1,160,000       5.450     02/15/34   1,155,592

Cencora, Inc.

    212,000       5.125     02/15/34   208,182

Cigna Group

    1,581,000       4.800     08/15/38   1,452,338
    1,675,000       4.900     12/15/48   1,468,690

CVS Health Corp.

    1,125,000       4.875     07/20/35   1,050,300
    3,811,000       4.780     03/25/38   3,402,689

Perrigo Finance Unlimited Co.

    1,425,000       4.375     03/15/26   1,380,640

Pfizer Investment Enterprises Pte. Ltd.

    3,655,000       5.300     05/19/53   3,527,660
       

 

        21,722,743

 

Pipelines – 4.8%

Abu Dhabi Crude Oil Pipeline LLC(b)

    490,000       4.600     11/02/47   439,163

Columbia Pipelines Operating Co. LLC(a)(b)

    1,010,000       6.036     11/15/33   1,031,947

Enbridge, Inc.(a)

    2,025,000       1.600     10/04/26   1,864,114
    940,000       6.200     11/15/30   986,934
    939,000       5.700     03/08/33   946,568

Energy Transfer LP(a)

    550,000       5.950     12/01/25   551,474
    2,922,000       3.900     07/15/26   2,829,489
    300,000       5.500     06/01/27   300,945
    354,000       4.950     05/15/28   348,800
    650,000       7.375 (b)    02/01/31   677,794
    1,472,000       6.550     12/01/33   1,557,523
    456,000       5.150     03/15/45   400,792

Enterprise Products Operating LLC

    2,200,000       6.875     03/01/33   2,443,694

Galaxy Pipeline Assets Bidco Ltd.(b)

    200,000       2.625     03/31/36   162,938

Kinder Morgan Energy Partners LP

    1,100,000       7.750     03/15/32   1,238,204
    650,000       6.550     09/15/40   669,650

MPLX LP(a)

    150,000       2.650     08/15/30   129,296
    950,000       4.500     04/15/38   829,198
    520,000       5.500     02/15/49   480,376

ONEOK, Inc.(a)

    1,668,000       5.550     11/01/26   1,674,922
    2,245,000       4.550     07/15/28   2,189,189

Plains All American Pipeline LP/PAA Finance Corp.(a)

    1,917,000       4.650     10/15/25   1,890,660

Sabine Pass Liquefaction LLC(a)

    900,000       5.000     03/15/27   892,692

Valero Energy Partners LP(a)

    675,000       4.500     03/15/28   657,497

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Western Midstream Operating LP(a)

$

    2,307,000       5.450   04/01/44   $    2,065,434

Williams Cos., Inc.(a)

    2,000,000       4.650     08/15/32   1,901,360
       

 

        29,160,653

 

Real Estate(a) – 0.4%

CBRE Services, Inc.

    450,000       5.500     04/01/29   451,746
    1,760,000       5.950     08/15/34   1,781,208
       

 

        2,232,954

 

Real Estate Investment Trust(a) – 4.5%

Agree LP

    295,000       4.800     10/01/32   276,616
    695,000       5.625     06/15/34   688,092

American Homes 4 Rent LP

    225,000       2.375     07/15/31   182,745

American Tower Corp.

    2,475,000       3.375     10/15/26   2,364,788

Crown Castle, Inc.

    3,025,000       4.000     03/01/27   2,923,239
    100,000       2.900     04/01/41   69,160

Essex Portfolio LP

    2,375,000       3.000     01/15/30   2,104,986

GLP Capital LP/GLP Financing II, Inc.

    2,886,000       5.375     04/15/26   2,862,912
    830,000       6.750     12/01/33   869,608

Healthcare Realty Holdings LP

    875,000       2.050     03/15/31   676,970

Highwoods Realty LP

    1,585,000       7.650     02/01/34   1,701,783

Host Hotels & Resorts LP

    480,000       5.700     07/01/34   471,821

Invitation Homes Operating Partnership LP

    600,000       2.300     11/15/28   531,204
    1,505,000       5.450     08/15/30   1,506,821

Kilroy Realty LP

    670,000       6.250     01/15/36   635,803

Kimco Realty OP LLC

    2,125,000       3.800     04/01/27   2,043,846

NNN REIT, Inc.

    1,300,000       3.600     12/15/26   1,247,129
    870,000       5.600     10/15/33   866,128

Phillips Edison Grocery Center Operating Partnership I LP

    900,000       5.750     07/15/34   888,624

Prologis Targeted U.S. Logistics Fund LP(b)

    1,105,000       5.500     04/01/34   1,106,901

Realty Income Corp.

    1,125,000       4.000     07/15/29   1,064,475

Retail Opportunity Investments Partnership LP

    1,525,000       6.750     10/15/28   1,578,466

Simon Property Group LP

    850,000       2.250     01/15/32   689,945

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(a) – (continued)

WP Carey, Inc.

$

    50,000       2.400   02/01/31   $    41,472
       

 

        27,393,534

 

Retailing(a) – 0.9%

7-Eleven, Inc.(b)

    1,280,000       2.500     02/10/41   836,058

AutoNation, Inc.

    702,000       4.500     10/01/25   690,691
    1,425,000       4.750     06/01/30   1,362,528
    25,000       2.400     08/01/31   20,102

CK Hutchison International 23 Ltd.(b)

    220,000       4.750     04/21/28   217,076

Lowe’s Cos., Inc.

    875,000       1.700     09/15/28   764,627
    1,950,000       4.250     04/01/52   1,532,914

Walgreens Boots Alliance, Inc.

    243,000       4.100     04/15/50   167,770
       

 

        5,591,766

 

Savings & Loans(a)(b)(c) – 0.4%

Nationwide Building Society (3 mo. USD LIBOR + 1.855%)

    2,525,000       3.960     07/18/30   2,336,357

 

Semiconductors(a) – 2.3%

Broadcom Corp./Broadcom Cayman Finance Ltd.

    1,225,000       3.875     01/15/27   1,185,763

Broadcom, Inc.(b)

    2,130,000       2.600     02/15/33   1,724,491
    1,025,000       3.419     04/15/33   883,406
    2,399,000       3.469     04/15/34   2,044,524
    3,289,000       3.137     11/15/35   2,633,239
    1,764,000       3.187     11/15/36   1,395,183

Intel Corp.

    549,000       5.150     02/21/34   542,088

NXP BV/NXP Funding LLC/NXP USA, Inc.

    1,050,000       3.875     06/18/26   1,019,665
    525,000       4.400     06/01/27   513,408
    1,125,000       3.400     05/01/30   1,018,485
    1,301,000       5.000     01/15/33   1,269,152
       

 

        14,229,404

 

Software(a) – 3.2%

Atlassian Corp.

    1,287,000       5.500     05/15/34   1,274,876

Constellation Software, Inc.(b)

    1,555,000       5.461     02/16/34   1,554,067

MSCI, Inc.(b)

    1,945,000       3.875     02/15/31   1,749,197
    1,280,000       3.250     08/15/33   1,057,766

Oracle Corp.

    2,062,000       2.950     04/01/30   1,832,953
    825,000       4.650     05/06/30   808,195
    3,200,000       2.875     03/25/31   2,764,256
    1,100,000       6.250     11/09/32   1,164,570
    837,000       4.900     02/06/33   812,317

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Software(a) – (continued)

$

    425,000       3.600   04/01/40   $    326,664
    1,500,000       4.000     11/15/47   1,135,875
    2,775,000       6.900     11/09/52   3,101,812

VMware LLC

    1,075,000       1.800     08/15/28   941,259

Workday, Inc.

    1,375,000       3.800     04/01/32   1,235,479
       

 

        19,759,286

 

Telecommunication Services – 4.9%

AT&T, Inc.(a)

    6,017,000       3.800     02/15/27   5,813,806
    875,000       2.250     02/01/32   710,106
    1,350,000       4.500     05/15/35   1,243,040
    175,000       4.900     08/15/37   163,317
    925,000       4.850     03/01/39   847,374
    75,000       4.350     06/15/45   62,109
    886,000       4.750     05/15/46   766,975
    775,000       5.150     11/15/46   719,580

British Telecommunications PLC

    1,415,000       9.625     12/15/30   1,727,757

Rogers Communications, Inc.(a)

    3,328,000       3.800     03/15/32   2,974,167
    300,000       4.500     03/15/42   253,842

T-Mobile USA, Inc.(a)

    48,000       3.750     04/15/27   46,141
    1,162,000       3.875     04/15/30   1,086,319
    1,055,000       2.875     02/15/31   914,105
    6,275,000       3.500     04/15/31   5,639,531
    1,975,000       5.200     01/15/33   1,954,578
    700,000       5.050     07/15/33   684,719

Verizon Communications, Inc.(a)

    475,000       3.150     03/22/30   428,165
    1,950,000       1.750     01/20/31   1,578,174
    2,800,000       2.550     03/21/31   2,378,460
       

 

        29,992,265

 

Transportation – 0.4%

Burlington Northern Santa Fe LLC

    425,000       6.150     05/01/37   458,426
    1,225,000       5.750 (a)    05/01/40   1,257,377

CSX Corp.

    690,000       6.000     10/01/36   729,068
       

 

        2,444,871

 

Trucking & Leasing(a)(b) – 0.6%

Penske Truck Leasing Co. LP/PTL Finance Corp.

    2,075,000       4.400     07/01/27   2,019,390
    525,000       5.875     11/15/27   532,271

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Trucking & Leasing(a)(b) – (continued)

$

    836,000       5.250   07/01/29   $    829,187
       

 

        3,380,848

 

TOTAL CORPORATE OBLIGATIONS
(Cost $588,818,944)
  $568,121,572

 

 
Sovereign Debt Obligations – 1.7%

Euro – 0.3%

Mexico Government International Bonds(a)

EUR

    130,000       1.350   09/18/27   $    128,738
    1,152,000       1.450     10/25/33   935,325

Peru Government International Bonds(a)

    100,000       1.250     03/11/33   84,371

Philippines Government International Bonds

    450,000       0.700     02/03/29   419,729

Romania Government International Bonds(b)

    90,000       2.124     07/16/31   77,621
       

 

        1,645,784

 

United States Dollar – 1.4%

Chile Government International Bonds

$

    150,000       3.625     10/30/42   115,983
    200,000       3.500 (a)    01/25/50   144,000

Export-Import Bank of Korea

    390,000       5.125     01/11/33   391,825

Hungary Government International Bonds(b)

    470,000       3.125     09/21/51   298,450

Mexico Government International Bonds(a)

    2,540,000       3.250     04/16/30   2,232,025
    802,000       3.500     02/12/34   652,427
    1,399,000       3.771     05/24/61   860,385
    440,000       3.750     04/19/71   264,220

Panama Government International Bonds(a)

    380,000       2.252     09/29/32   273,410
    650,000       6.853     03/28/54   596,700
    200,000       3.870     07/23/60   113,937
    390,000       4.500     01/19/63   249,210

Peru Government International Bonds(a)

    430,000       2.780     12/01/60   241,203

Philippines Government International Bonds

    210,000       2.650     12/10/45   137,616

Republic of Poland Government International Bonds(a)

    570,000       5.125     09/18/34   560,823
    700,000       5.500     03/18/54   679,056

Romania Government International Bonds

    160,000       3.000 (b)    02/27/27   148,800
    70,000       6.375     01/30/34   70,294
    560,000       6.125     01/22/44   532,350
       

 

        8,562,714

 

TOTALS OVEREIGN DEBT OBLIGATIONS
(Cost $12,618,032)
  $ 10,208,498

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Municipal Debt Obligations – 0.5%

California – 0.1%

California State GO Bonds Build America Taxable Series 2009

$

    455,000       7.300   10/01/39   $    520,538

 

Illinois – 0.4%

Illinois State GO Bonds Build America Series 2010

    1,375,000       6.630     02/01/35   1,431,827

Illinois State GO Bonds Taxable-Pension Series 2003

    941,176       5.100     06/01/33   923,492
       

 

        2,355,319

 

Pennsylvania – 0.0%

Pennsylvania Commonwealth Financing Authority RB (Taxable) Series A

    335,000       2.991     06/01/42   251,253

 

TOTAL MUNICIPAL DEBT OBLIGATIONS
(Cost $3,095,603)
  $  3,127,110

 

 
U.S. Treasury Obligations – 0.5%

U.S. Treasury Bonds

$

    200,000       4.000   11/15/42   $    184,344
    200,000       3.875     05/15/43   180,469
    2,230,000       2.875     05/15/52   1,634,520
    310,000       4.000     11/15/52   282,439
    1,160,000       4.750     11/15/53   1,199,513

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $3,517,305)
  $  3,481,285

 

TOTAL INVESTMENTS – 95.9%
(Cost $608,049,884)
  $584,938,465

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 4.1%

  24,726,831

 

NET ASSETS – 100.0%   $609,665,296

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency
Purchased

      

Currency
Sold

       Settlement
Date
       Unrealized
Gain
 

 

 

UBS AG (London)

    

USD

      1,749,498        EUR      1,617,695          07/30/24        $ 14,499  

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

10 Year U.S. Treasury Notes

     114      09/19/24      $ 12,538,219      $ 86,774  

20 Year U.S. Treasury Bonds

     158      09/19/24        18,693,375        182,342  

5 Year U.S. Treasury Notes

     182      09/30/24        19,397,219        101,540  

Ultra Long U.S. Treasury Bonds

     353      09/19/24        44,246,344        428,810  

 

 

Total

                  $ 799,466  

 

 

Short position contracts:

                 

2 Year U.S. Treasury Notes

     (97)      09/30/24        (19,809,219      (38,482

Ultra 10-Year U.S. Treasury Note

     (207)      09/19/24        (23,500,969      (248,413

 

 

Total

                  $ (286,895

 

 

TOTAL FUTURES CONTRACTS

                  $ 512,571  

 

 

SWAP CONTRACTS — At June 30, 2024, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

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

 

 

4.223%

     12M SOFR    04/11/26           $     $     $  

4.223(b)

   12M SOFR(b)    04/11/26    $ 5,210        1,512       (90     1,602  

4.426

   12M SOFR    04/16/26                          

4.426(b)

   12M SOFR(b)    04/16/26    $ 7,240        (12,264     2,884       (15,148

4.172

   12M SOFR    05/20/26                          

4.172(b)

   12M SOFR(b)    05/20/26    $ 4,000        221       238       (17

12M SOFR

   4.730%    06/30/26                          

12M SOFR(c)

   4.730(c)    06/30/26    $ 19,650        82,605       7,438       75,167  

12M SOFR

   3.804    04/13/28                          

12M SOFR(c)

   3.804(c)    04/13/28    $ 11,130        12,872       3,055       9,817  

4.301

   12M SOFR    11/30/28                          

4.301(c)

   12M SOFR(c)    11/30/28    $ 38,560        (367,936     (10,197     (357,739

12M SOFR

   4.024    04/16/30                          

12M SOFR(c)

   4.024(c)    04/16/30    $ 12,540        106,976       (53,011     159,987  

2.680(c)

   12M SOFR(c)    07/28/32      7,520        314,247       69,102       245,145  

12M SOFR

   3.789    05/21/34                          

12M SOFR(c)

   3.789(c)    05/21/34    $ 6,670        (5,281     2,659       (7,940

2.500

   6M EURO    09/18/34                          

2.500(c)

   6M EURO(d)    09/18/34      EUR 1,050        30,219       27,346       2,873  

3.992

     12M SOFR    04/16/35                          


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS (continued)

 

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

 

 

3.992%(c)

   12M SOFR(c)      04/16/35      $ 6,920      $ (84,947   $ 39,223     $ (124,170

12M SOFR(c)

   2.910%(c)      07/28/37        18,320        (619,603     (214,113     (405,490

12M SOFR(c)

   3.391(c)      05/10/38        2,950        (53,772     (72,633     18,861  

2.080(c)

   12M SOFR(c)      07/28/47        18,180        566,113       309,005       257,108  

2.564(c)

   12M SOFR(c)      05/11/53        2,850        73,385       (4,507     77,892  

3.380

   12M SOFR      04/11/54                            

3.380(c)

   12M SOFR(c)      04/11/54      $ 3,070        1,041       (2,040     3,081  

3.343

   12M SOFR      05/20/54                            

3.343(c)

   12M SOFR(c)      05/20/54      $ 3,810        8,176       3,454       4,722  

 

 

TOTAL

            $ 53,564     $ 107,813     $ (54,249

 

 

 

(a)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2024.
(b)   Payments made at maturity.
(c)   Payments made annually.
(d)   Payments made semi-annually.

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced Obligation/Index    Financing Rate
Received/(Paid)
by the Fund(a)
   

Credit
Spread at
June 30,
2024(b)

  Termination
Date
   Notional
Amount
(000s)
     Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

 

       

AT&T, Inc., 3.800%, 02/15/27

        1.000%         0.398%    06/20/26    $ 2,375      $ 27,765      $ 17,357     $ 10,408  

CDX.NA.IG Index 40

     1.000      0.422    06/20/28      43,349        923,620        386,028       537,592  

CDX.NA.IG Index 41

     1.000      0.479    12/20/28      15,145        323,063        197,546       125,517  

CDX.NA.IG Index 42

     1.000      0.538    06/20/29                           

CDX.NA.IG Index 42

     1.000      0.538    06/20/29    $ 130,235        2,699,738        2,686,128       13,610  

General Electric Co. 6.750%, 03/15/32

     1.000      0.103    06/20/26      3,550        61,588        20,142       41,446  

Nordstrom, Inc., 6.950%, 03/15/28

     1.000      0.399    12/20/24      1,125        3,560        (3,449     7,009  

Republic of Chile, 3.240%, 02/06/28

     1.000      0.579    06/20/29      2,630        50,223        53,750       (3,527

Republic of Indonesia, 2.150%, 07/28/31

     1.000      0.783    06/20/29      2,700        26,756        29,927       (3,171

Republic of Peru, 8.750%, 11/21/33

     1.000      0.773    06/20/29      2,680        27,831        38,708       (10,877

Republic of the Philippines, 9.500%, 02/02/30

     1.000      0.698    06/20/29      2,690        36,874        43,586       (6,712

 

 
TOTAL              $ 4,181,018      $ 3,469,723     $ 711,295  

 

 

 

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


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

OVER THE COUNTER TOTAL RETURN SWAP CONTRACTS

 

Reference Obligation/Index   

Financing Rate
Paid/(Received)
by the Fund(a)

   Counterparty    Termination
Date#
     Notional
Amount
(000s)
     Unrealized
Application/
(Depreciation)*
 

 

 

IBOXIG Index

   12M SOFR    JPMorgan Securities, Inc.      09/20/24      $  57      $ (62,707

 

 

 

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

 

 

Currency Abbreviations:
EUR   — Euro
USD   — U.S. Dollar
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
GO   — General Obligation
ICE   — Inter-Continental Exchange

LIBOR

  — London Interbank Offered Rate
LLC   — Limited Liability Company
LP   — Limited Partnership
MSCI   — Morgan Stanley Capital International
PLC   — Public Limited Company
RB   — Revenue Bond
REIT   — Real Estate Investment Trust
SOFR   — Secured Overnight Financing Rate
Abbreviations:
CDX.NA.IG Ind 40   — CDX North America Investment Grade Index 40
CDX.NA.IG Ind 41   — CDX North America Investment Grade Index 41
CDX.NA.IG Ind 42   — CDX North America Investment Grade Index 42
EURO   — Euro Offered Rate
SOFR   — Secured Overnight Financing Rate

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – 83.3%

Advertising(a)(b) – 0.8%

Clear Channel Outdoor Holdings, Inc. (B/B2)

$

    60,000       7.875   04/01/30   $    60,395

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

    46,000       4.250     01/15/29   41,909
    279,000       4.625     03/15/30   251,279

Outfront Media Capital LLC/Outfront Media Capital Corp. (BB/Ba1)

    10,000       7.375     02/15/31   10,438
       

 

           364,021

 

Aerospace & Defense(a) – 2.7%

Bombardier, Inc. (B+/B1)

    110,000       6.000 (b)    02/15/28   108,815
    85,000       7.000 (b)    06/01/32   86,161

Rolls-Royce PLC (BBB-/Ba1)

    200,000       5.750 (b)    10/15/27   201,348

TransDigm, Inc. (B/B3)

    203,000       5.500     11/15/27   199,368
    327,000       4.625     01/15/29   305,546

TransDigm, Inc. (BB-/Ba3)

    295,000       6.750 (b)    08/15/28   298,906
       

 

        1,200,144

 

Airlines(b) – 0.6%

American Airlines, Inc./AAdvantage Loyalty IP Ltd. (NR/Ba1)

    117,261       5.750     04/20/29   114,266

United Airlines, Inc. (BB+/Ba1)

    173,000       4.375 (a)    04/15/26   167,203
       

 

        281,469

 

Automotive(a) – 2.2%

Adient Global Holdings Ltd. (BB/B2)

    75,000       8.250 (b)    04/15/31   78,131

Adient Global Holdings Ltd. (BBB-/Ba2)

    171,000       7.000 (b)    04/15/28   175,183

Allison Transmission, Inc. (NR/Ba2)

    291,000       3.750 (b)    01/30/31   255,265

Dana, Inc. (BB-/B1)

    232,000       5.625     06/15/28   224,896

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

    107,000       8.000 (b)    02/01/28   103,499

Phinia, Inc. (BB+/Ba1)

    145,000       6.750 (b)    04/15/29   147,200
       

 

        984,174

 

Banks(a)(b) – 0.8%

Freedom Mortgage Corp. (B/B2)

    139,000       6.625     01/15/27   134,228

UBS Group AG (BB/NR) (5 yr. CMT + 3.098%)

    256,000       3.875 (c)    06/02/26   236,332
       

 

        370,560

 

Building Materials(a)(b) – 1.0%

Builders FirstSource, Inc. (BB-/Ba2)

    248,000       4.250     02/01/32   219,011

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Building Materials(a)(b) – (continued)

Masterbrand, Inc. (BB/Ba3)

$

    25,000       7.000   07/15/32   $    25,280

Standard Industries, Inc. (BB/B1)

    96,000       5.000     02/15/27   93,287
    95,000       4.375     07/15/30   85,824
       

 

        423,402

 

Chemicals(a)(b) – 4.5%

Avient Corp. (BB-/Ba3)

    102,000       7.125     08/01/30   103,807

Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding B BV (BB/Ba3)

    483,000       4.750     06/15/27   469,708

Chemours Co. (BB-/B1)

    222,000       4.625     11/15/29   191,120

Element Solutions, Inc. (BB/B1)

    202,000       3.875     09/01/28   185,783

Ingevity Corp. (NR/Ba3)

    381,000       3.875     11/01/28   346,097

Olympus Water U.S. Holding Corp. (B-/B3)

    200,000       4.250     10/01/28   181,774

SNF Group SACA (BB+/Ba1)

    200,000       3.125     03/15/27   184,098

Vibrantz Technologies, Inc. (CCC+/Caa2)

    102,000       9.000     02/15/30   93,312

WR Grace Holdings LLC (B-/B1)

    247,000       4.875     06/15/27   238,446
       

 

        1,994,145

 

Commercial Services(a)(b) – 3.0%

ADT Security Corp. (BB/Ba2)

    301,000       4.125     08/01/29   277,648

Allied Universal Holdco LLC/Allied Universal Finance
Corp. (B/B3)

    59,000       6.625     07/15/26   58,835

APi Group DE, Inc. (B+/B1)

    471,000       4.125     07/15/29   428,535
    28,000       4.750     10/15/29   26,127

APX Group, Inc. (B/Ba3)

    199,000       5.750     07/15/29   190,915

APX Group, Inc. (BB/Ba2)

    85,000       6.750     02/15/27   84,790

Garda World Security Corp. (B/B2)

    85,000       7.750     02/15/28   86,654

Mavis Tire Express Services Topco Corp. (CCC/Caa2)

    41,000       6.500     05/15/29   38,221

VT Topco, Inc. (B/B2)

    150,000       8.500     08/15/30   157,483
       

 

        1,349,208

 

Computers(a)(b) – 0.7%

Ahead DB Holdings LLC (CCC+/Caa1)

    48,000       6.625     05/01/28   45,433

McAfee Corp. (CCC+/Caa1)

    160,000       7.375     02/15/30   147,733

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Computers(a)(b) – (continued)

Virtusa Corp. (CCC+/Caa1)

$

    114,000       7.125   12/15/28   $   106,027
       

 

        299,193

 

Distribution & Wholesale(a)(b) – 1.2%

American Builders & Contractors Supply Co., Inc. (B+/Ba3)

    298,000       3.875     11/15/29   266,406

H&E Equipment Services, Inc. (BB-/B1)

    304,000       3.875     12/15/28   274,217
       

 

        540,623

 

Diversified Financial Services(a) – 2.4%

Castlelake Aviation Finance DAC (B+/B2)

    116,000       5.000 (b)    04/15/27   112,018

Coinbase Global, Inc. (BB-/B1)

    105,000       3.375 (b)    10/01/28   90,004

Freedom Mortgage Holdings LLC (B/B2)

    15,000       9.250 (b)    02/01/29   15,003

Macquarie Airfinance Holdings Ltd. (BB+/Baa3)

    15,000       6.400 (b)    03/26/29   15,266
    80,000       8.125 (b)    03/30/29   84,658

Navient Corp. (B+/Ba3)

    118,000       5.500     03/15/29   107,668

OneMain Finance Corp. (BB/Ba2)

    215,000       9.000     01/15/29   226,745

United Wholesale Mortgage LLC (NR/Ba3)

    138,000       5.500 (b)    04/15/29   131,058

VFH Parent LLC/Valor Co.-Issuer, Inc. (B+/B1)

    75,000       7.500 (b)    06/15/31   75,352

VistaJet Malta Finance PLC/Vista Management Holding, Inc.

    (B-/B3)        
    127,000       7.875 (b)    05/01/27   112,201
    130,000       6.375 (b)    02/01/30   101,529
       

 

        1,071,502

 

Electrical(a) – 2.1%

Calpine Corp. (BB+/Ba2)

    283,000       3.750 (b)    03/01/31   250,302

NRG Energy, Inc. (BB/Ba2)

    65,000       5.750     01/15/28   64,503
    155,000       3.375 (b)    02/15/29   137,885
    131,000       3.625 (b)    02/15/31   112,391

Pike Corp. (B-/B3)

    257,000       5.500 (b)    09/01/28   246,353

Vistra Operations Co. LLC (BB/Ba2)

    130,000       4.375 (b)    05/01/29   121,107
       

 

        932,541

 

Electrical Components & Equipment(a)(b) – 0.6%

WESCO Distribution, Inc. (BB/Ba3)

    248,000       7.250     06/15/28   252,719
    15,000       6.375     03/15/29   15,060
    10,000       6.625     03/15/32   10,113
       

 

        277,892

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Electronics(a)(b) – 1.2%

Atkore, Inc. (BB+/Ba2)

$

    180,000       4.250   06/01/31   $   159,303

Sensata Technologies BV (BB+/Ba2)

    200,000       4.000     04/15/29   183,738

Sensata Technologies, Inc. (BB+/Ba2)

    191,000       3.750     02/15/31   166,598
       

 

        509,639

 

Engineering & Construction(a) – 1.5%

AECOM (BB/Ba2)

    280,000       5.125     03/15/27   274,921

Global Infrastructure Solutions, Inc. (BB-/B1)

    257,000       5.625 (b)    06/01/29   241,922
    156,000       7.500 (b)    04/15/32   152,561
       

 

        669,404

 

Entertainment(a)(b) – 2.1%

Boyne USA, Inc. (B/B1)

    245,000       4.750     05/15/29   228,972

Caesars Entertainment, Inc. (B-/B3)

    88,000       4.625     10/15/29   80,654

Caesars Entertainment, Inc. (BB-/Ba3)

    175,000       7.000     02/15/30   178,820

Cinemark USA, Inc. (BB-/B2)

    240,000       5.250     07/15/28   229,289

SeaWorld Parks & Entertainment, Inc. (B+/B2)

    204,000       5.250     08/15/29   192,643
       

 

        910,378

 

Environmental(a)(b) – 0.7%

Madison IAQ LLC (CCC+/Caa1)

    206,000       5.875     06/30/29   191,804

Stericycle, Inc. (BB-/NR)

    138,000       3.875     01/15/29   128,895
       

 

        320,699

 

Food & Drug Retailing(a)(b) – 1.4%

Performance Food Group, Inc. (BB/B1)

    178,000       4.250     08/01/29   161,996

Post Holdings, Inc. (B+/B2)

    55,000       5.625     01/15/28   54,165
    116,000       5.500     12/15/29   111,829

Post Holdings, Inc. (BB/Ba1)

    50,000       6.250     02/15/32   50,127

U.S. Foods, Inc. (BB-/Ba3)

    176,000       4.750     02/15/29   166,957
    84,000       4.625     06/01/30   78,171
       

 

        623,245

 

Forest Products & Paper(a)(b) – 0.2%

Glatfelter Corp. (CCC/Caa1)

    122,000       4.750     11/15/29   100,939

 

Healthcare Providers & Services(a) – 2.2%

Charles River Laboratories International, Inc. (BB/Ba2)

    284,000       4.000 (b)    03/15/31   254,052

Encompass Health Corp. (B+/B1)

    150,000       4.500     02/01/28   142,740

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Healthcare Providers & Services(a) – (continued)

LifePoint Health, Inc. (B/B2)

$

    60,000       11.000 %(b)    10/15/30   $    66,130

LifePoint Health, Inc. (CCC+/Caa2)

    85,000       5.375 (b)    01/15/29   74,440

Medline Borrower LP (B-/B3)

    210,000       5.250 (b)    10/01/29   200,142

Medline Borrower LP (B+/Ba3)

    269,000       3.875 (b)    04/01/29   247,690
       

 

        985,194

 

Holding Companies-Diversified(a)(b) – 0.5%

Benteler International AG (BB-/Ba3)

    200,000       10.500     05/15/28   215,170

 

Home Builders(a) – 1.5%

Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC (B+/B1)

    141,000       4.875 (b)    02/15/30   126,182

Century Communities, Inc. (BB/Ba2)

    220,000       3.875 (b)    08/15/29   196,033

KB Home (BB+/Ba1)

    82,000       7.250     07/15/30   84,427

LGI Homes, Inc. (BB-/Ba2)

    108,000       4.000 (b)    07/15/29   93,692

Taylor Morrison Communities, Inc. (BB+/Ba1)

    155,000       5.875 (b)    06/15/27   154,253
       

 

        654,587

 

Household Products(a)(b) – 0.1%

Kronos Acquisition Holdings, Inc. (NR/B2)

    45,000       8.250     06/30/31   45,084

 

Housewares(a) – 0.5%

Scotts Miracle-Gro Co. (B-/B2)

    251,000       4.375     02/01/32   216,134

 

Insurance(a)(b) – 1.8%

Acrisure LLC/Acrisure Finance, Inc. (B/B2)

    238,000       4.250     02/15/29   216,316

Acrisure LLC/Acrisure Finance, Inc. (CCC+/Caa2)

    90,000       6.000     08/01/29   83,273

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer (B/B2)

    160,000       6.750     04/15/28   160,336

HUB International Ltd. (B-/Caa2)

    130,000       7.375     01/31/32   131,881

Panther Escrow Issuer LLC (B/B2)

    155,000       7.125     06/01/31   156,769

USI, Inc. (CCC+/Caa1)

    45,000       7.500     01/15/32   45,745
       

 

        794,320

 

Internet(a)(b) – 1.9%

ANGI Group LLC (B/B2)

    215,000       3.875     08/15/28   184,651

GrubHub Holdings, Inc. (B-/B3)

    128,000       5.500     07/01/27   116,093

Match Group Holdings II LLC (BB/Ba3)

    242,000       4.625     06/01/28   226,771

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Internet(a)(b) – (continued)

$

    145,000       4.125   08/01/30   $   128,624

Uber Technologies, Inc. (BB/Ba1)

    205,000       6.250     01/15/28   205,160
       

 

        861,299

 

Iron/Steel(a)(b) – 0.3%

Cleveland-Cliffs, Inc. (BB-/Ba3)

    145,000       6.750     04/15/30   143,712

 

Leisure Time(a)(b) – 3.6%

Acushnet Co. (BB/Ba3)

    15,000       7.375     10/15/28   15,548

Carnival Corp. (BB/B3)

    231,000       7.625     03/01/26   233,312
    186,000       6.000     05/01/29   183,708

Carnival Corp. (BBB-/Ba2)

    278,000       4.000     08/01/28   260,745
    40,000       7.000     08/15/29   41,465

MajorDrive Holdings IV LLC (CCC+/Caa2)

    184,000       6.375     06/01/29   173,157

Royal Caribbean Cruises Ltd. (BB+/Ba2)

    157,000       4.250     07/01/26   151,946
    143,000       5.500     04/01/28   141,205
    260,000       6.250     03/15/32   261,963

Viking Cruises Ltd. (B+/B3)

    40,000       7.000     02/15/29   40,214

Viking Ocean Cruises Ship VII Ltd. (BB/Ba2)

    47,000       5.625     02/15/29   45,971

VOC Escrow Ltd. (BB/Ba2)

    67,000       5.000     02/15/28   64,969
       

 

        1,614,203

 

Lodging(a)(b) – 1.3%

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc. (B+/B2)

    184,000       5.000     06/01/29   171,582
    193,000       4.875     07/01/31   170,629

Travel & Leisure Co. (BB-/Ba3)

    251,000       4.500     12/01/29   230,860
       

 

        573,071

 

Machinery - Construction & Mining(a)(b) – 0.4%

Vertiv Group Corp. (BB/Ba3)

    195,000       4.125     11/15/28   182,066

 

Machinery-Diversified(a)(b) – 1.7%

Chart Industries, Inc. (BB-/Ba3)

    245,000       7.500     01/01/30   253,573

Esab Corp. (BB+/Ba1)

    135,000       6.250     04/15/29   135,864

Husky Injection Molding Systems Ltd./Titan Co.-Borrower LLC (B-/B3)

    175,000       9.000     02/15/29   181,221

TK Elevator Holdco GmbH (CCC+/Caa1)

    200,000       7.625     07/15/28   198,792
       

 

        769,450

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Media(a) – 6.4%

Altice Financing SA (B-/Caa1)

$

    316,000       5.000 %(b)    01/15/28   $   239,639

CCO Holdings LLC/CCO Holdings Capital Corp. (BB-/B1)

    553,000       4.750 (b)    03/01/30   478,986
    320,000       4.250 (b)    01/15/34   242,736

CSC Holdings LLC (CCC+/Caa1)

    245,000       4.500 (b)    11/15/31   158,084

Directv Financing LLC/Directv Financing Co.-Obligor, Inc. (BB/Ba3)

    201,000       5.875 (b)    08/15/27   189,149

DISH Network Corp. (CCC+/Caa1)

    45,000       11.750 (b)    11/15/27   44,205

GCI LLC (B+/B3)

    190,000       4.750 (b)    10/15/28   173,525

Gray Television, Inc. (B-/Caa1)

    140,000       7.000 (b)    05/15/27   128,843

Gray Television, Inc. (BB-/Ba3)

    105,000       10.500 (b)    07/15/29   105,589

Nexstar Media, Inc. (BB+/B2)

    130,000       4.750 (b)    11/01/28   115,473

Scripps Escrow II, Inc. (BB-/B2)

    124,000       3.875 (b)    01/15/29   86,275

Sirius XM Radio, Inc. (BB/Ba3)

    190,000       4.000 (b)    07/15/28   171,652
    202,000       4.125 (b)    07/01/30   172,556

Sunrise HoldCo IV BV (B/B3)

    200,000       5.500 (b)    01/15/28   193,574

TEGNA, Inc. (BB+/Ba3)

    162,000       5.000     09/15/29   142,947

VZ Secured Financing BV (B+/B1)

    256,000       5.000 (b)    01/15/32   218,399
       

 

        2,861,632

 

Metal Fabricate & Hardware(a)(b) – 0.4%

Roller Bearing Co. of America, Inc. (B+/B1)

    203,000       4.375     10/15/29   186,949

 

Miscellaneous Manufacturing(a) –0.8%

Hillenbrand, Inc. (BB+/Ba1)

    401,000       3.750     03/01/31   348,236

 

Oil & Gas(a)(b) – 0.4%

CNX Resources Corp. (BB/B1)

    40,000       7.250     03/01/32   40,737

Matador Resources Co. (BB-/B1)

    55,000       6.500     04/15/32   55,039

Permian Resources Operating LLC (BB-/B1)

    85,000       5.875     07/01/29   83,804
       

 

        179,580

 

Oil Field Services(a) – 9.2%

Archrock Partners LP/Archrock Partners Finance Corp. (BB-/B2)

    267,000       6.250 (b)    04/01/28   264,509

California Resources Corp. (BB-/B2)

    164,000       7.125 (b)    02/01/26   164,367

Civitas Resources, Inc. (BB-/B1)

    234,000       8.375 (b)    07/01/28   245,517

CNX Resources Corp. (BB/B1)

    192,000       6.000 (b)    01/15/29   188,283

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services(a) – (continued)

$

    90,000       7.375 %(b)    01/15/31   $    91,975

Crescent Energy Finance LLC (BB-/B1)

    155,000       7.375 (b)    01/15/33   155,332

Kodiak Gas Services LLC (B+/B2)

    198,000       7.250 (b)    02/15/29   203,063

Matador Resources Co. (BB-/B1)

    155,000       6.875 (b)    04/15/28   157,406

MEG Energy Corp. (BB-/B1)

    220,000       5.875 (b)    02/01/29   214,034

Nabors Industries, Inc. (B-/Ba3)

    239,000       7.375 (b)    05/15/27   242,590

Noble Finance II LLC (BB-/B1)

    130,000       8.000 (b)    04/15/30   135,096

Permian Resources Operating LLC (BB-/B1)

    144,000       7.000 (b)    01/15/32   147,993

Sitio Royalties Operating Partnership LP/Sitio Finance Corp.

    (B/B3)        
    95,000       7.875 (b)    11/01/28   98,212

Southwestern Energy Co. (BB+/Ba2)

    135,000       5.375     03/15/30   130,437
    67,000       4.750     02/01/32   61,537

Southwestern Energy Co. (BB+/NR)

    124,000       5.375     02/01/29   120,240

Sunoco LP (BB+/Ba1)

    80,000       7.000 (b)    05/01/29   82,020

Sunoco LP/Sunoco Finance Corp. (BB+/Ba1)

    249,000       4.500     04/30/30   230,464

TechnipFMC PLC (BBB-/Ba1)

    188,000       6.500 (b)    02/01/26   187,242

Transocean Poseidon Ltd. (B/B1)

    116,100       6.875 (b)    02/01/27   115,934

Transocean Titan Financing Ltd. (B/B1)

    150,000       8.375 (b)    02/01/28   154,725

Transocean, Inc. (B/B1)

    90,000       8.750 (b)    02/15/30   94,495

Transocean, Inc. (B-/Caa1)

    100,000       8.250 (b)    05/15/29   100,197

USA Compression Partners LP/USA Compression Finance Corp. (B+/B2)

    246,000       7.125 (b)    03/15/29   247,729

Viper Energy, Inc. (BBB-/Ba3)

    125,000       7.375 (b)    11/01/31   129,515

Vital Energy, Inc. (B/B2)

    110,000       7.875 (b)    04/15/32   111,683
       

 

        4,074,595

 

Packaging(a)(b) – 1.0%

Clearwater Paper Corp. (B/B1)

    138,000       4.750     08/15/28   128,172

Mauser Packaging Solutions Holding Co. (B/B2)

    130,000       7.875     04/15/27   132,823

Pactiv Evergreen Group Issuer LLC/Pactiv Evergreen Group Issuer, Inc. (B+/B1)

    85,000       4.375     10/15/28   79,341

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Packaging(a)(b) – (continued)

Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC (B+/B1)

$

    87,000       4.000   10/15/27   $    81,519
       

 

        421,855

 

Pharmaceuticals(a)(b) – 0.9%

AdaptHealth LLC (B/B1)

    144,000       6.125     08/01/28   137,385
    38,000       4.625     08/01/29   32,937
    49,000       5.125     03/01/30   42,908

Organon & Co./Organon Foreign Debt Co.-Issuer BV (BB-/B1)

    200,000       5.125     04/30/31   179,572
       

 

        392,802

 

Pipelines(a) – 6.4%

Antero Midstream Partners LP/Antero Midstream Finance Corp. (BB+/Ba3)

    120,000       5.375 (b)    06/15/29   116,430
    125,000       6.625 (b)    02/01/32   126,103

Blue Racer Midstream LLC/Blue Racer Finance Corp. (B+/B2)

    50,000       7.000 (b)    07/15/29   50,921

Buckeye Partners LP (BB-/B1)

    80,000       6.875 (b)    07/01/29   80,280

CNX Midstream Partners LP (BB/B1)

    48,000       4.750 (b)    04/15/30   43,229

CQP Holdco LP/BIP-V Chinook Holdco LLC (BB/Ba2)

    250,000       7.500 (b)    12/15/33   259,207

DT Midstream, Inc. (BB+/Ba2)

    210,000       4.375 (b)    06/15/31   191,669

EQM Midstream Partners LP (BB-/Ba3)

    71,000       7.500 (b)    06/01/27   72,563

Genesis Energy LP/Genesis Energy Finance Corp. (B/B3)

    70,000       7.875     05/15/32   70,650

Global Partners LP/GLP Finance Corp. (B+/B2)

    124,000       6.875     01/15/29   123,003
    65,000       8.250 (b)    01/15/32   66,739

Hess Midstream Operations LP (BB+/Ba2)

    35,000       6.500 (b)    06/01/29   35,469

Howard Midstream Energy Partners LLC (B+/B2)

    130,000       8.875 (b)    07/15/28   137,575
    70,000       7.375 (b)    07/15/32   71,060

Kinetik Holdings LP (BB+/Ba1)

    326,000       5.875 (b)    06/15/30   321,351

NuStar Logistics LP (BB+/Ba1)

    115,000       6.000     06/01/26   114,785

Prairie Acquiror LP (B/B3)

    35,000       9.000 (b)    08/01/29   36,096

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. (BB-/B1)

    65,000       7.375 (b)    02/15/29   65,320
    167,000       6.000 (b)    12/31/30   155,721
    156,000       6.000 (b)    09/01/31   146,036

Venture Global LNG, Inc. (BB/B1)

    407,000       8.125 (b)    06/01/28   419,743
    105,000       9.500 (b)    02/01/29   114,994
    40,000       9.875 (b)    02/01/32   43,532
       

 

        2,862,476

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(a) – 0.7%

Iron Mountain Information Management Services, Inc. (BB-/Ba3)

$

    105,000       5.000 %(b)    07/15/32   $    95,975

SBA Communications Corp. (BB/Ba3)

    263,000       3.125     02/01/29   234,688
       

 

        330,663

 

Retailing(a) – 7.4%

1011778 BC ULC/New Red Finance, Inc. (B+/B2)

    192,000       4.375 (b)    01/15/28   181,198
    305,000       4.000 (b)    10/15/30   268,296

Arko Corp. (B-/B3)

    211,000       5.125 (b)    11/15/29   183,819

Asbury Automotive Group, Inc. (BB/B1)

    141,000       4.500     03/01/28   133,548
    67,000       4.625 (b)    11/15/29   62,050
    132,000       4.750     03/01/30   122,480
    28,000       5.000 (b)    02/15/32   25,357

Beacon Roofing Supply, Inc. (B/B1)

    137,000       4.125 (b)    05/15/29   125,148

Cougar JV Subsidiary LLC (B+/B2)

    40,000       8.000 (b)    05/15/32   41,334

Foundation Building Materials, Inc. (CCC+/Caa1)

    221,000       6.000 (b)    03/01/29   196,321

Group 1 Automotive, Inc. (BB+/Ba2)

    200,000       4.000 (b)    08/15/28   184,608

IRB Holding Corp. (B+/B2)

    227,000       7.000 (b)    06/15/25   227,023

Ken Garff Automotive LLC (BB-/B1)

    197,000       4.875 (b)    09/15/28   182,710

LCM Investments Holdings II LLC (BB-/B2)

    278,000       4.875 (b)    05/01/29   259,730
    40,000       8.250 (b)    08/01/31   41,784

Lithia Motors, Inc. (BB+/Ba2)

    173,000       3.875 (b)    06/01/29   155,565
    191,000       4.375 (b)    01/15/31   170,368

Murphy Oil USA, Inc. (BB+/Ba2)

    192,000       3.750 (b)    02/15/31   169,177

Penske Automotive Group, Inc. (BB-/Ba3)

    360,000       3.750     06/15/29   324,943

Sonic Automotive, Inc. (BB-/B1)

    174,000       4.625 (b)    11/15/29   157,176
    63,000       4.875 (b)    11/15/31   55,414
       

 

        3,268,049

 

Software(a) – 3.2%

AthenaHealth Group, Inc. (CCC/Caa2)

    136,000       6.500 (b)    02/15/30   125,276

Castle U.S. Holding Corp. (CCC-/Caa3)

    111,000       9.500 (b)    02/15/28   53,044

Clarivate Science Holdings Corp. (B/Caa1)

    119,000       4.875 (b)    07/01/29   110,612

Clarivate Science Holdings Corp. (BB-/B1)

    158,000       3.875 (b)    07/01/28   146,875

Cloud Software Group, Inc. (B/B2)

    100,000       6.500 (b)    03/31/29   96,065
    90,000       8.250 (b)    06/30/32   91,753

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Software(a) – (continued)

Open Text Corp. (BB/Ba3)

$

    217,000       3.875 %(b)     02/15/28   $   200,836
    159,000       3.875 (b)     12/01/29   142,470

Twilio, Inc. (BB/Ba3)

    255,000       3.625     03/15/29   229,918

ZoomInfo Technologies LLC/ZoomInfo Finance Corp. (B+/B1)

    251,000       3.875 (b)     02/01/29   226,543
       

 

        1,423,392

 

Telecommunication Services(a)(b) – 0.2%

Frontier Communications Holdings LLC (CCC+/Caa2)

    101,000       6.750     05/01/29   92,632

 

Transportation(a)(b) – 0.8%

Cargo Aircraft Management, Inc. (BB/Ba2)

    171,000       4.750     02/01/28   158,585

Rand Parent LLC (BB-/Ba1)

    199,000       8.500     02/15/30   201,281
       

 

        359,866

 

TOTAL CORPORATE OBLIGATIONS

(Cost $38,151,703)

  $37,080,195

 

       
Bank Loans(d) – 11.2%

Aerospace & Defense(c) – 0.7%

ADS Tactical, Inc. (B+/B3) ((1 mo. USD LIBOR + 5.750%) – (1 mo. USD Term SOFR + 5.750%))

$

    129,077       11.180–11.183   03/19/26   $   129,238

Propulsion (BC) Finco SARL (B/B2) (3 mo. USD Term SOFR + 3.750%)

    182,099       9.085     09/14/29   182,516
       

 

        311,754

 

Automotive(c) – 0.4%

First Brands Group LLC (B+/B1) (3 mo. USD Term SOFR + 5.000%)

    191,534       10.591     03/30/27   190,038

 

Building & Construction(c) – 0.5%

DG Investment Intermediate Holdings 2, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.750%)

    143,450       9.208     03/31/28   142,912

Energize HoldCo LLC (B/B3) (1 mo. USD Term SOFR + 3.750%)

    69,822       9.208     12/08/28   69,891
       

 

        212,803

 

Building Materials(c) – 0.3%

Icebox Holdco III, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.750%)

    95,447       9.346     12/22/28   95,607

Icebox Holdco III, Inc. (CCC/Caa2) (3 mo. USD Term SOFR + 6.750%)

    50,000       12.346     12/21/29   50,500
       

 

        146,107

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(d) – (continued)

Capital Goods - Others – 0.9%

Engineered Machinery Holdings, Inc. (B-/B1) (3 mo. EUR EURIBOR + 3.750%)

EUR

    71,691       7.472 %(c)    05/21/28   $    76,697

(3 mo. USD Term SOFR + 3.750%)

$

    70,955       9.346 (c)    05/19/28   71,177

RC Buyer, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.500%)

    142,566       8.958 (c)    07/28/28   142,610

Titan Acquisition Ltd. (B-/B3)

    125,000       0.000(e)     03/28/25   125,209
       

 

        415,693

 

Commercial Services – 1.6%

Ankura Consulting Group LLC (NR/B3)

    148,700       0.000 (e)    03/17/28   148,886

Garda World Security Corp. (B/B2) (3 mo. USD Term SOFR + 4.250%)

    131,673       9.594 (c)    02/01/29   132,332

Groundworks LLC (B/B) (1 mo. USD Term SOFR + 3.500%)

    23,316       8.830 (c)    03/14/31   23,294

Groundworks LLC (B/B3) (1 mo. USD Term SOFR + 3.500%)

    126,684       8.830 (c)    03/14/31   126,565

Holding Socotec (B/B2) (3 mo. USD Term SOFR + 3.500%)

EUR

    75,000       7.222 (c)    06/02/28   80,187

(3 mo. USD Term SOFR + 4.250%)

    $95,036       9.822 (c)    06/30/28   94,838

Mavis Tire Express Services Corp. (B-/B2) (1 mo. USD Term SOFR + 3.750%)

    118,841       9.094(c)     05/04/28   118,989
       

 

        725,091

 

Consumer Cyclical Services(c) – 0.3%

BCPE Empire Holdings, Inc. (B-/B3) (1 mo. USD Term SOFR + 4.000%)

    143,980       9.344     12/11/28   143,908

 

Energy - Exploration & Production(c) – 0.3%

Kohler Energy Co. LLC (B/B1) (3 mo. USD Term SOFR + 4.750%)

    150,000       10.085     05/01/31   150,516

 

Entertainment(e) – 0.1%

Alterra Mountain Co. (B+/B1)

    20,000       0.000     05/31/30   20,088

 

Healthcare(c) – 0.4%

Onex TSG Intermediate Corp. (B/B2) (3 mo. USD Term SOFR + 4.750%)

    166,321       10.346     02/28/28   165,628

 

Machinery(c) – 1.1%

Apex Tool Group LLC (CCC-/Caa2) (1 mo. USD Term SOFR + 7.944%)

    56,658       7.500     02/08/30   54,391

Apex Tool Group LLC (CCC+/B3) (1 mo. USD Term SOFR + 3.250%)

    24,299       5.344     02/08/29   23,773

SPX Flow, Inc. (B/B2) (1 mo. USD Term SOFR + 3.500%)

    189,343       8.844     04/05/29   190,353

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

Principal

Amount

 

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(d) – (continued)

Machinery(c) – (continued)

TK Elevator U.S. Newco, Inc. (B/B2) (3 mo. USD Term SOFR + 3.500%)

$

  204,455     8.791   04/30/30   $    205,371
       

 

        473,888

 

Media - Cable(c) – 0.3%

DirecTV Financing LLC (BB/Ba3) (1 mo. USD Term SOFR + 5.000%)

  124,725     10.458     08/02/27   124,850

 

Metals & Mining(c) – 0.1%

PMHC II, Inc. (B-/B3) (3 mo. USD Term SOFR + 4.250%)

  48,623     9.706     04/23/29   47,407

 

Midstream – 0.4%

AL GCX Holdings LLC (B+/Ba3)

  24,872     0.000 (e)    05/17/29   24,810

CQP Holdco LP (BB/Ba2) (3 mo. USD Term SOFR + 2.250%)

$

  147,011     8.345 (c)    12/31/30   147,011
       

 

        171,821

 

Oil Field Services(c) – 0.4%

ChampionX Corp. (BBB/Ba1) (1 mo. USD Term SOFR + 2.750%)

  170,708     8.194     06/07/29   171,188

 

Packaging(c) – 0.9%

Charter NEX U.S., Inc. (B/B3) (1 mo. USD Term SOFR + 3.500%)

  140,806     8.844     12/01/27   140,958

Clydesdale Acquisition Holdings, Inc. (B/B2) (1 mo. USD Term SOFR + 3.675%)

  143,155     9.119     04/13/29   143,378

Pretium Packaging LLC (B/B2) (3 mo. USD Term SOFR + 5.000%)

  126,848     10.327     10/02/28   130,083
       

 

        414,419

 

Pharmaceuticals(c) – 1.0%

Covetrus, Inc. (B-/B1) (3 mo. USD Term SOFR + 5.000%)

  271,563     10.335     10/13/29   262,009

Jazz Financing Lux SARL (BB-/Ba2) (1 mo. USD Term SOFR + 3.000%)

  157,173     8.458     05/05/28   157,173
       

 

        419,182

 

Pipelines(c) – 0.4%

Epic Y-Grade Services LP (B-/B3) (3 mo. USD Term SOFR + 5.750%)

  175,000     11.082     06/29/29   174,645

 

Retailers(c) – 0.3%

Harbor Freight Tools USA, Inc. (BB-/B2) (1 mo. USD Term SOFR + 2.500%)

  150,000     7.844     06/05/31   149,472

 

Technology - Software(c) – 0.8%

Ahead DB Holdings LLC (B/B1) (3 mo. USD Term SOFR + 3.750%)

  124,688     9.085     02/01/31   124,922

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(d) – (continued)

Technology - Software(c) – (continued)

Castle U.S. Holding Corp. (CCC+/Caa1) (3 mo. USD Term SOFR + 3.750%)

$     114,752       9.359   01/29/27   $    70,734

Loyalty Ventures, Inc. (NR/WR)

    239,876       0.000     11/03/27   1,799

McAfee LLC (B-/B1) (1 mo. USD Term SOFR + 3.250%)

    25,000       8.593     03/01/29   24,942

Virtusa Corp. (B/B1) (3 mo. USD Term SOFR + 3.750%)

    116,769       9.079     02/11/28   116,879
       

 

  339,276

 

TOTAL BANK LOANS

(Cost $5,222,430)

  $ 4,967,774

 

Shares      Description   Value
  Common Stocks – 0.5%
 

Energy Equipment & Services – 0.4%

 
     3,489      Noble Corp. PLC   $   155,784

 

 

 

Oil, Gas & Consumable Fuels(f) – 0.1%

 
  1,141,924      Prairie Provident Resources, Inc.   45,909

 

 

 

TOTAL COMMON STOCKS

(Cost $2,968,823)

  $   201,693

 

 

Shares     

Dividend

Rate

  Value
  Investment Company(g) – 2.1%
 

Goldman Sachs Financial Square Government Fund —
Institutional Shares

  957,435      5.213%   $   957,435
  (Cost $957,435)  

 

 

 

TOTAL INVESTMENTS – 97.1%

(Cost $47,300,391)

  $43,207,097

 

 

 
OTHER ASSETS IN EXCESS OF
 LIABILITIES – 2.9%
  $ 1,288,688

 

 

  NET ASSETS – 100.0%   $44,495,785

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2024.
 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

(d)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2024. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(e)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(f)   Security is currently in default and/or non-income producing.
(g)   Represents an affiliated issuer.
 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2024, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency
Purchased

       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

Citibank NA

    

USD

     54,132        EUR      49,764          07/30/24        $ 760  

MS & Co. Int. PLC

    

USD

     238,139        EUR      220,156          07/30/24          2,019  

 

 

TOTAL

                          $ 2,779  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency
Purchased

       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

Citibank NA

    

EUR

     74,006        USD      80,523          07/30/24        $ (1,151

MS & Co. Int. PLC

    

EUR

     49,764        USD      54,129          07/30/24          (757

 

 

TOTAL

                          $ (1,908

 

 

FUTURES CONTRACTS — At June 30, 2024, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

2 Year U.S. Treasury Notes

     42      09/30/24      $ 8,577,187      $ 21,881  

Ultra Long U.S. Treasury Bonds

     1      09/19/24        125,344        4,092  

 

 

Total

                  $ 25,973  

 

 

Short position contracts:

                 

10 Year U.S. Treasury Notes

     (39)      09/19/24        (4,289,391      (45,217

20 Year U.S. Treasury Bonds

     (2)      09/19/24        (236,625      (3,395

5 Year U.S. Treasury Notes

     (18)      09/30/24        (1,918,406      (4,016

Ultra 10-Year U.S. Treasury Note

     (8)      09/19/24        (908,250      (8,458

 

 

Total

                  $ (61,086

 

 

TOTAL FUTURES CONTRACTS

                  $ (35,113

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

 

Currency Abbreviations:
EUR   — Euro
USD   — U.S. Dollar
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
EURIBOR   — Euro Interbank Offered Rate
LIBOR   — London Interbank Offered Rate
LLC   — Limited Liability Company
LP   — Limited Partnership
PLC   — Public Limited Company
SOFR   — Secured Overnight Financing Rate
USD   — US.Dollar
Abbreviation:
MS & Co. Int. PLC   — Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS

 

 

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

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

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

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

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

The Board of Trustees (“Trustees”) has approved Valuation Procedures that govern the valuation of the portfolio investments held by the Funds, including investments for which market quotations are not readily available. With respect to the Funds’ investments that do not have readily available market quotations, the Trustees have designated GSAM as the valuation designee to perform fair valuations pursuant to Rule 2a-5 under the Investment Company Act of 1940 (the “Valuation Designee”). GSAM has 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.

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 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 the Valuation Procedures 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.


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

Debt Securities — Debt securities for which market quotations are readily available are valued daily on the basis of quotations supplied by dealers or an independent pricing service. The pricing services may use valuation models or matrix pricing, which consider: (i) yield or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date or (ii) quotations from securities dealers to determine current value. With the exception of treasury securities of G7 countries, which are generally classified as Level 1, these investments are generally classified as Level 2 of the fair value hierarchy.

i. Bank Loans — Bank loans (“Loans”) are interests in amounts owed by corporate, governmental, or other borrowers to lenders or lending syndicates. Loans are arranged through private negotiations between the borrower and one or more financial institutions (“Lenders”). A Fund’s investments in Loans are in the form of either participations in Loans (“Participations”) or assignments of all or a portion of Loans from third parties (“Assignments”). With respect to Participations, a Fund has the right to receive payments of principal, interest and any fees to which it is entitled from the Lender selling the Participations and only upon receipt by the Lender of the payments from the borrower. A Fund generally has no right to enforce compliance by the borrower with the terms of the loan agreement with respect to Participations. Conversely, assignments result in a Fund having a direct contractual relationship with the borrower, and a Fund may be permitted to enforce compliance by the borrower with the terms of the loan agreement.

The High Yield Floating Rate and Short Duration High Yield Funds may also enter into certain credit arrangements, all or a portion of which may be unfunded. Unfunded loan commitments represent the remaining obligation of a Fund to the borrower. A Fund is obligated to fund these commitments at the borrower’s discretion. A Fund may receive a commitment fee based on the undrawn portion of the underlying line of credit of a loan. All loans and unfunded loan commitments involve interest rate risk, liquidity risk and credit risk, including the potential default or insolvency of the borrower. Loans, including unfunded loan commitments, are marked to market daily using pricing vendor quotations and the change in value, if any, is recorded as an unrealized gain or loss.

ii. Commercial Paper — Commercial paper normally represents short-term unsecured promissory notes issued in bearer form by banks or bank holding companies, corporations, finance companies and other issuers. Commercial paper consists of direct U.S. dollar-denominated obligations of domestic or foreign issuers. Asset-backed commercial paper is issued by a special purpose entity that is organized to issue the commercial paper and to purchase trade receivables or other financial assets.

iii. Mortgage-Backed and Asset-Backed Securities — Mortgage-backed securities represent direct or indirect participations in, or are collateralized by and payable from, mortgage loans secured by residential and/or commercial real estate property. Asset-backed securities include securities whose principal and interest payments are collateralized by pools of other assets or receivables. The value of certain mortgage-backed and asset-backed securities (including adjustable rate mortgage loans) may be particularly sensitive to changes in prevailing interest rates. The value of these securities may also fluctuate in response to the market’s perception of the creditworthiness of the issuers.

Asset-backed securities may present credit risks that are not presented by mortgage-backed securities because they generally do not have the benefit of a security interest in collateral that is comparable to mortgage assets. Some asset-backed securities may only have a subordinated claim on collateral.


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Stripped mortgage-backed securities are usually structured with two different classes: one that receives substantially all interest payments (interest-only, or “IO” and/or high coupon rate with relatively low principal amount, or “IOette”), and the other that receives substantially all principal payments (principal-only, or “PO”) from a pool of mortgage loans. Little to no principal will be received at the maturity of an IO; as a result, periodic adjustments are recorded to reduce the cost of the security until maturity. These adjustments are included in interest income.

iv. Mortgage Dollar Rolls — Mortgage dollar rolls are transactions whereby a Fund sells mortgage-backed-securities and simultaneously contracts with the same counterparty to repurchase similar securities on a specified future date. During the settlement period, a Fund will not be entitled to accrue interest and receive principal payments on the securities sold. The Funds account for mortgage dollar roll transactions as purchases and sales and realize gains and losses on these transactions.

v. When-Issued Securities and Forward Commitments — When-issued securities, including TBA (“To Be Announced”) securities, are securities that are authorized but not yet issued in the market and purchased in order to secure what is considered to be an advantageous price or yield to a Fund. A forward commitment involves entering into a contract to purchase or sell securities, typically on an extended settlement basis, for a fixed price at a future date. The purchase of securities on a when-issued or forward commitment basis involves a risk of loss if the value of the security to be purchased declines before the settlement date. Conversely, the sale of securities on a forward commitment basis involves the risk that the value of the securities sold may increase before the settlement date. Although a Fund will generally purchase securities on a when-issued or forward commitment basis with the intention of acquiring the securities for its portfolio, the Fund may dispose of when-issued securities or forward commitments prior to settlement, which may result in a realized gain or loss. For financial reporting purposes, cash collateral that has been pledged to cover obligations of a Fund and cash collateral received, if any, is reported separately on the Statements of Assets and Liabilities as receivables/payables for collateral on other investments. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments.

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

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

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

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

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

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

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

An interest rate swap is an agreement that obligates two parties to exchange a series of cash flows at specified intervals, based upon or calculated by reference to changes in interest rates on a specified notional principal amount. The payment flows are usually netted against each other, with the difference being paid by one party to the other.

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

As a seller of protection, a Fund generally receives a payment stream throughout the term of the swap, provided that there is no credit event. In addition, if a Fund sells protection through a credit default swap, a Fund could suffer a loss because the value of the referenced obligation and the premium payments received may be less than the notional amount of the swap paid to the buyer of protection. Upon the occurrence of a specified credit event, a Fund, as a seller of credit protection, may be required to take possession of the defaulted reference obligation and pay the buyer an amount equal to the notional amount of the swap in a physically settled trade. A Fund may also pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade. Recovery values are at times established through the credit event auction process in which market participants are ensured that a transparent price has been set for the defaulted security or obligation. In addition, a Fund is entitled to a return of any assets, which have been pledged as collateral to the counterparty upon settlement.

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

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 the Valuation Procedures. 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.

Fair Value Hierarchy — The following is a summary of the Funds’ investments and derivatives classified in the fair value hierarchy as of June 30, 2024:

 

                                                                    
EMERGING MARKETS CREDIT               
Investment Type      Level 1        Level 2        Level 3  
Assets

 

Fixed Income

 

Corporate Obligations

     $        $ 28,658,282        $  

Sovereign Debt Obligations

                805,549           

Investment Company

       293,069                    
Total      $ 293,069        $ 29,463,831        $  
Derivative Type                              
Assets(a)               

Forward Foreign Currency Exchange Contracts

     $        $ 15,029        $  

Futures Contracts

       9,708                    

Interest Rate Swap Contracts

                686           
Total      $ 9,708        $ 15,715        $  


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
EMERGING MARKETS CREDIT (continued)           
Derivative Type      Level 1      Level 2      Level 3  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (342    $  

Futures Contracts

       (3,474              

Interest Rate Swap Contracts

              (569       

Credit Default Swap Contracts

              (7       
Total      $ (3,474    $ (918    $  
EMERGING MARKETS DEBT           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Sovereign Debt Obligations

     $      $ 289,679,727      $  

Corporate Obligations

              89,882,701         

Common Stock and/or Other Equity Investments(b)

          

Asia

              96,567         

Investment Company

       2,362,620                
Total      $ 2,362,620      $ 379,658,995      $  
Derivative Type                          
Assets           

Forward Foreign Currency Exchange Contracts(a)

     $      $ 976,425      $  

Futures Contracts(a)

       94,637                

Interest Rate Swap Contracts(a)

              1,515,040         

Credit Default Swap Contracts(a)

              21,501         

Purchased Option Contracts

              1,475,614         
Total      $ 94,637      $ 3,988,580      $  
Liabilities           

Forward Foreign Currency Exchange Contracts(a)

     $      $ (1,321,269    $  

Futures Contracts(a)

       (68,693              

Interest Rate Swap Contracts(a)

              (2,197,388       

Credit Default Swap Contracts(a)

              (37,815       

Written Option Contracts

              (1,064,829       
Total      $ (68,693    $ (4,621,301    $  


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
HIGH YIELD           
Investment Type      Level 1      Level 2      Level 3  
Assets           

Fixed Income

          

Corporate Obligations

     $      $ 1,689,651,400      $  

Bank Loans

              169,988,260         

Securities Lending Reinvestment Vehicle

       42,499,005                

Common Stock and/or Other Equity Investments(b)

          

Europe

       39,316        8,472,701         

North America

       6,142,115        1,399,929         

Warrants

              116,751         

Exchange Traded Funds

       12,937,267                
Total      $ 61,617,703      $ 1,869,629,041      $  
Liabilities           

Fixed Income(a)

          

Unfunded Loan Committment

     $      $ (574    $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 359,229      $  

Futures Contracts

       597,375                

Credit Default Swap Contracts

              1,293,925         
Total      $ 597,375      $ 1,653,154      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (112,906    $  

Futures Contracts

       (279,438              

Credit Default Swap Contracts

              (2,072       
Total      $ (279,438    $ (114,978    $  


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
HIGH YIELD FLOATING RATE           
Investment Type      Level 1      Level 2      Level 3  
Assets                       

Fixed Income

          

Bank Loans

     $      $ 1,721,826,168      $  

Corporate Obligations

              116,678,706         

Asset-Backed Securities

              30,370,486         

Securities Lending Reinvestment Vehicle

       64,241,960                

Common Stock and/or Other Equity Investments(b)

          

Europe

              3,588,383         

North America

       3,411,548        954,100        458,163  

Warrants

              1,008,444        163  

Preferred Stocks

                     15,485  

Exchange Traded Funds

       49,833,722                

Investment Company

       129,116,294                
Total      $ 246,603,524      $ 1,874,426,287      $ 473,811  
Liabilities           

Fixed Income(a)

          

Unfunded Loan Committments

     $      $ (514    $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 678,311      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (7,274    $  

Futures Contracts

       (645,983              
Total      $ (645,983    $ (7,274    $  
INVESTMENT GRADE CREDIT           
Investment Type      Level 1      Level 2      Level 3  
Assets                       

Fixed Income

          

Corporate Obligations

     $      $ 568,121,572      $  

Sovereign Debt Obligations

              10,208,498         

U.S. Treasury Obligations

       3,481,285                

Municipal Debt Obligations

              3,127,110         
Total      $ 3,481,285      $ 581,457,180      $  


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

                                                                    
INVESTMENT GRADE CREDIT (continued)           
Derivative Type      Level 1      Level 2      Level 3  
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 14,499      $  

Futures Contracts

       799,466                

Interest Rate Swap Contracts

              856,255         

Credit Default Swap Contracts

              735,582         
Total      $ 799,466      $ 1,606,336      $  
Liabilities(a)           

Futures Contracts

     $ (286,895    $      $  

Interest Rate Swap Contracts

              (910,504       

Credit Default Swap Contracts

              (24,287       

Total Return Swap Contracts

              (62,707       
Total      $ (286,895    $ (997,498    $  
SHORT DURATION HIGH YIELD           
Investment Type      Level 1      Level 2      Level 3  
Assets                       

Fixed Income

          

Corporate Obligations

     $      $ 37,080,195      $  

Bank Loans

              4,967,774         

Common Stock and/or Other Equity Investments(b)

          

North America

       201,693                

Investment Company

       957,435                
Total      $ 1,159,128      $ 42,047,969      $  
Derivative Type                          
Assets(a)           

Forward Foreign Currency Exchange Contracts

     $      $ 2,779      $  

Futures Contracts

       25,973                
Total      $ 25,973      $ 2,779      $  
Liabilities(a)           

Forward Foreign Currency Exchange Contracts

     $      $ (1,908    $  

Futures Contracts

       (61,086              
Total      $ (61,086    $ (1,908    $  

 

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

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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

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

Derivatives Risk — The Funds’ use of derivatives and other similar instruments (collectively referred to in this paragraph as “derivatives”) may result in loss, including due to adverse market movements. Derivatives, which may pose risks in addition to and greater than those associated with investing directly in securities, currencies or other assets and instruments, may increase market exposure and be illiquid or less liquid, volatile, difficult to price and leveraged so that small changes in the value of the underlying assets or instruments may produce disproportionate losses to the Funds. Certain derivatives are also subject to counterparty risk, which is the risk that the other party in the transaction will not, or lacks the capacity or authority to, fulfill its contractual obligations, liquidity risk, which includes the risk that the Funds will not be able to exit the derivative when it is advantageous to do so, and risks arising from margin requirements, which include the risk that the Funds will be required to pay additional margin or set aside additional collateral to maintain open derivative positions. The use of derivatives is a highly specialized activity that involves investment techniques and risks different from those associated with investments in more traditional securities and instruments. Losses from derivatives can also result from a lack of correlation between changes in the value of derivative instruments and the portfolio assets (if any) being hedged.

Floating and Variable Rate Obligations Risk — Floating rate and variable rate obligations are debt instruments issued by companies or other entities with interest rates that reset periodically (typically daily, monthly, quarterly, or semiannually) in response to changes in the market rate of interest on which the interest rate is based. Such market rates are generally the Secured Overnight Financing Rate, (“SOFR”), a term SOFR rate published by CME Group Benchmark Administration Limited (CBA) calculated using certain derivatives markets (“Term SOFR”), the Prime Rate of a designated U.S. bank, the Federal Funds Rate, or another base lending rate used by commercial lenders. For floating and variable rate obligations, there may be a lag between an actual change in the underlying interest rate benchmark and the reset time for an interest payment of such an obligation, which could harm or benefit a Fund, depending on the interest rate environment or other circumstances. In a rising interest rate environment, for example, a floating or variable rate obligation that does not reset immediately would prevent a Fund from taking full advantage of rising interest rates in a timely manner. However, in a declining interest rate environment, a Fund may benefit from a lag due to an obligation’s interest rate payment not being immediately impacted by a decline in interest rates.

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 sanctions, 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 from problems in registration, settlement or custody, may also result in losses. The type and severity of sanctions and other similar measures, including counter sanctions and other retaliatory actions, that may be imposed could vary broadly in scope, and their impact is impossible to predict. For example, the imposition of sanctions and other similar measures could, among other things, cause a decline in the value and/or liquidity of securities issued by the sanctioned country or companies located in or economically tied to the sanctioned country and increase market volatility and disruption in the sanctioned country and throughout the world. Sanctions and other similar measures could limit or prevent a Fund from buying and selling securities (in the sanctioned country and other markets), significantly delay or prevent the settlement of securities transactions, and significantly impact a Fund’s liquidity and performance. Foreign risk also involves the risk of negative foreign currency exchange 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


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

subject to little or no regulatory oversight over, or independent evaluation of, their operations. Further, the laws of certain countries may place limitations on a Fund’s ability to recover its assets if a Foreign Custodian enters bankruptcy. Investments in emerging markets may be subject to even greater custody risks than investments in more developed markets. Custody services in emerging market countries are very often undeveloped and may be considerably less well regulated than in more developed countries, and thus may not afford the same level of investor protection as would apply in developed countries.

Interest Rate Risk — When interest rates increase, fixed income securities or instruments held by a Fund will generally decline in value. Long-term fixed income securities or instruments will normally have more price volatility because of this risk than short-term fixed income securities or instruments. A wide variety of market factors can cause interest rates to rise, including central bank monetary policy, rising inflation and changes in general economic conditions. Changing interest rates may have unpredictable effects on the markets, may result in heightened market volatility and may detract from Fund performance. In addition, changes in monetary policy may exacerbate the risks associated with changing interest rates. Funds with longer average portfolio durations will generally be more sensitive to changes in interest rates than funds with a shorter average portfolio duration. Fluctuations in interest rates may also affect the liquidity of fixed income securities and instruments held by the Funds. A sudden or unpredictable increase in interest rates may cause volatility in the market and may decrease the liquidity of a Fund’s investments, which would make it harder for the Fund to sell its investments at an advantageous time.

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

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

Leverage Risk — Leverage creates exposure to potential gains and losses in excess of the initial amount invested. Borrowing and the use of derivatives may result in leverage and may make a Fund more volatile. When a Fund uses leverage, the sum of that Fund’s investment exposure may significantly exceed the amount of assets invested in the Fund, although these exposures may vary over time. Relatively small market movements may result in large changes in the value of a leveraged investment. The use of leverage may cause a Fund to liquidate portfolio positions to satisfy its obligations when it may not be advantageous to do so. The use of leverage by a Fund can substantially increase the adverse impact to which the Fund’s investment portfolio may be subject.

Liquidity Risk — A Fund may make investments that are illiquid or that may become less liquid in response to market developments or adverse investor perceptions. Illiquid investments may be more difficult to value. Liquidity risk may also refer to the risk that a Fund will not be able to pay redemption proceeds within the allowable time period or without significant dilution to remaining investors’ interests because of unusual market conditions, declining prices of the securities sold, 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 a Fund’s NAV and dilute remaining investors’ interests. Liquidity risk may be the result of, among other things, the reduced number and capacity of traditional market participants to make a market in fixed


GOLDMAN SACHS SINGLE SECTOR FIXED INCOME FUNDS

 

Schedule of Investments (continued)

June 30, 2024 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

income securities or the lack of an active market. The potential for liquidity risk may be magnified by a rising interest rate environment or other circumstances where investor redemptions from fixed income funds may be higher than normal, potentially causing increased supply in the market due to selling activity. These risks may be more pronounced in connection with the Funds’ investments in securities of issuers located in emerging market countries. Redemptions by large shareholders may have a negative impact on a Fund’s liquidity.

Loan-Related Investments Risk — In addition to risks generally associated with debt investments (e.g., interest rate risk and default risk), loan-related investments such as loan participations and assignments are subject to other risks. Although a loan obligation may be fully collateralized at the time of acquisition, the collateral may decline in value, be or become illiquid or less liquid, or lose all or substantially all of its value subsequent to investment. Many loan investments are subject to legal or contractual restrictions on resale and certain loan investments may be or become illiquid or less liquid and more difficult to value, particularly in the event of a downgrade of the loan or the borrower. There is less readily available, reliable information about most loan investments than is the case for many other types of securities. Substantial increases in interest rates may cause an increase in loan obligation defaults. With respect to loan participations, a Fund may not always have direct recourse against a borrower if the borrower fails to pay scheduled principal and/or interest; may be subject to greater delays, expenses and risks than if a Fund had purchased a direct obligation of the borrower; and may be regarded as the creditor of the agent lender (rather than the borrower), subjecting a Fund to the creditworthiness of that lender as well. Investors in loans, such as a Fund, may not be entitled to rely on the anti-fraud protections of the federal securities laws, although they may be entitled to certain contractual remedies. The market for loan obligations may be subject to irregular trading activity, wide bid/ask spreads and extended trade settlement periods. Because transactions in many loans are subject to extended trade settlement periods, a Fund may not receive the proceeds from the sale of a loan for a period after the sale. As a result, sale proceeds related to the sale of loans may not be available to make additional investments or to meet a Fund’s redemption obligations for a period after the sale of the loans, and, as a result, a Fund may have to sell other investments or engage in borrowing transactions, such as borrowing from its credit facility, if necessary to raise cash to meet its obligations.

Senior Loans hold the most senior position in the capital structure of a business entity, and are typically secured with specific collateral, but are nevertheless usually rated below investment grade. Because Second Lien Loans are subordinated or unsecured and thus lower in priority of payment to Senior Loans, they are subject to the additional risk that the cash flow of the borrower and property securing the loan or debt, if any, may be insufficient to meet scheduled payments after giving effect to the senior secured obligations of the borrower. Second Lien Loans generally have greater price volatility than Senior Loans and may be less liquid.

Market and Credit Risks — In the normal course of business, a Fund trades financial instruments and 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, military conflict, acts of terrorism, social unrest, natural disasters, recessions, inflation, rapid interest rate changes, supply chain disruptions, sanctions, 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 a Fund has unsettled or open transactions defaults.

Non-Diversification Risk — Local Emerging Markets Debt Fund is non-diversified, meaning that it is permitted to invest a larger percentage of its assets in one or more issuers or in fewer issuers than diversified mutual funds. Thus, the Fund may be more susceptible to adverse developments affecting any single issuer held in its portfolio, and may be more susceptible to greater losses because of these developments.

Non-Investment Grade Fixed Income Securities Risk Non-investment grade fixed income securities and unrated securities of comparable credit quality (commonly known as “junk bonds”) are considered speculative and are subject to the increased risk of an issuer’s inability to meet principal and interest payment obligations. These securities may be subject to greater price volatility due to such factors as specific issuer developments, interest rate sensitivity, negative perceptions of the junk bond markets generally and less liquidity. The Funds may purchase the securities of issuers that are in default.