MA/A
    
      
        0000769993
        XXXXXXXX
      
      
        Crystal Orgill
        8018841533
      
      crystal.orgill@gs.com
      
        jamison.yardley@gs.com
        divya.bosco@gs.com
        Crystal.Orgill@gs.com
        jaime.dupratt@gs.com
        evelyn.kamurasi@gs.com
      
    
  
  
    GOLDMAN SACHS & CO. LLC
    361
    13-5108880
    
      
        866-00183-00
      
      
        
          867-01181
        
        
          
            008-00129
            361
          
          
            
              
                801-16048
                361
              
              
                361
                AL
                AK
                AZ
                AR
                CA
                CO
                CT
                DE
                DC
                FL
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            Transfer Agent
            084-01100
            0000734700
          
          
            National Futures Association
            0002014
          
        
      
    
    
      
        
          Depository Trust & Clearing Corporation
          FOR8UP27PHTHYVLBNG30
        
      
      
        
          IRS FACTA
          DTLCMF.00000.SP.840
        
      
    
    
      
        
          200 WEST STREET
          NEW YORK
          NY
          10282
        
      
      2129021000
    
    
      
        
          Add
        
        
          
            
              71 SOUTH WACKER DRIVE
              SUITE 500
              CHICAGO
              IL
              60606
            
          
          1-312-655-4600
        
      
      
        
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              609 Main Street
              Suite 2100
              HOUSTON
              TX
              77002
            
          
          1-713-654-8400
        
      
      
        
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              2121 AVENUE OF THE STARS
              SUITE # 2600
              LOS ANGELES
              CA
              90067
            
          
          1-310-407-5700
        
      
      
        
          Add
        
        
          
            
              555 CALIFORNIA STREET
              45TH FLOOR
              SAN FRANCISCO
              CA
              94104
            
          
          1-415-393-7500
        
      
      
        
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              719 2ND AVENUE
              SUITE 1300
              SEATTLE
              WA
              98104
            
          
          1-206-613-5500
        
      
    
    N
    www.gs.com
    
      
        JOHN
        MAURICE
        O'CONNELL
      
      
200 WEST STREET NEW YORK NY 10282
212-902-1000 john.oconnell@gs.com
Jamison NMN Yardley Vice President
111 South Main Street Salt Lake City UT 84111
212-902-1000 jamison.yardley@gs.com
Add GOLDMAN SACHS & CO. LLC 71 SOUTH WACKER DRIVE SUITE 500 CHICAGO IL 60606 1-312-655-4600 Certain books and records. Add GOLDMAN SACHS & CO. LLC 609 Main Street Suite 2100 HOUSTON TX 77002 1-713-654-8400 Certain books and records. Add GOLDMAN SACHS & CO. LLC 2121 AVENUE OF THE STARS SUITE #2600 LOS ANGELES CA 90067 1-310-407-5700 Certain books and records. Add GOLDMAN SACHS & CO. LLC 555 CALIFORNIA STREET 45TH FLOOR SAN FRANCISCO CA 94104 1-415-393-7500 Certain books and records. Add GOLDMAN SACHS & CO. LLC 719 2ND AVENUE SUITE 1300 SEATTLE WA 98104 1-206-613-5500 Certain books and records. Add CHINA SECURITIES REGULATORY COMMISSION QF2003NAS005 F4 Add THE CENTRAL BANK OF REPUBLIC OF CHINA (TAIWAN) F24010002 F4 Add SECURITIES AND FUTURES BUREAU, FINANCIAL SUPERVISORY COMMISSION, EXECUTIVE YUAN (TAIWAN) F24010002 F4 Add SECURITIES AND EXCHANGE BOARD OF INDIA NUSFA022094 K7 Add SUPERINTENDENCIA FINANCIERA DE COLOMBIA F8 Add SWISS FEDERAL BANKING COMMISSION V8 Add DUBAI FINANCIAL SERVICES AUTHORITY F000532 C0 Add AUSTRALIAN SECURITIES AND INVESTMENTS COMMISSION N/A C3 Add MONETARY AUTHORITY OF SINGAPORE U0 THE GOLDMAN SACHS GROUP, INC. Y Federal Reserve Board; Federal Deposit Insurance Corporation; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K GOLDMAN SACHS (UK) L.L.C. N GOLDMAN SACHS GROUP UK LIMITED N GOLDMAN SACHS GROUP HOLDINGS (U.K.) LIMITED N GOLDMAN SACHS INTERNATIONAL BANK Y Financial Conduct Authority; Prudential Regulation Authority; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K X0 GOLDMAN SACHS INTERNATIONAL Y Financial Conduct Authority; Prudential Regulation Authority; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K X0 GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL Y Financial Conduct Authority; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K X0 GOLDMAN SACHS (JAPAN) LTD. N GOLDMAN SACHS JAPAN CO., LTD. Y Financial Services Agency; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K M0 J. ARON & COMPANY LLC Y Commodity Futures Trading Commission; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K GOLDMAN SACHS ASSET MANAGEMENT, L.P. Y Securities and Exchange Commission; Commodity Futures Trading Commission; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K GOLDMAN SACHS HOLDINGS (HONG KONG) LIMITED N J. ARON & COMPANY (SINGAPORE) PTE. Y Commodity Futures Trading Commission; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K 0473108; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K GS LENDING PARTNERS HOLDINGS LLC N GOLDMAN SACHS LENDING PARTNERS LLC N GOLDMAN SACHS MORTGAGE COMPANY Y Housing and Urban Development; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K GS FINANCIAL SERVICES II, LLC N GS FUNDING EUROPE I LTD. N GOLDMAN SACHS HOLDINGS ANZ PTY LIMITED N GOLDMAN SACHS AUSTRALIA PTY LTD Y Australian Securities & Investments Commission; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K C3 GS FUND HOLDINGS, L.L.C. N SPECIAL SITUATIONS INVESTING GROUP II, LLC N GOLDMAN SACHS BANK USA Y New York State Department of Financial Services; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K NY GOLDMAN SACHS HOLDINGS (SINGAPORE) PTE. LTD. N BROAD STREET PRINCIPAL INVESTMENTS, L.L.C. N BROAD STREET CREDIT HOLDINGS LLC N MTGLQ INVESTORS, L.P. N BROAD STREET PRINCIPAL INVESTMENTS SUPERHOLDCO LLC N GSAM HOLDINGS LLC N GOLDMAN SACHS (ASIA) CORPORATE HOLDINGS L.L.C. N GOLDMAN SACHS FINANCIAL MARKETS PTY LTD N GS FUNDING EUROPE V LIMITED N GSSG HOLDINGS LLC N Goldman Sachs Funding LLC N ELQ Investors VIII Ltd N Goldman Sachs Holdings (Asia Pacific) Limited N Special Situations Investing Group III, Inc. N GS Asian Venture (Delaware) L.L.C. N Asia Investing Holdings Pte. Ltd. N Mercer investments (Singapore) PTE. Ltd. N ALQ Holdings (Del) LLC N GLQ Holdings (UK) Ltd N GLQ International Holdings Ltd N Goldman Sachs Bank Europe SE Y BaFin 2M Goldman Sachs PSI Global Holdings, LLC N GS European Funding S.a r.l. N GS Funding Europe VI Ltd N ELQ Investors VI Ltd N ELQ Lux Holding S.A R.L. N GLQ International Partners LP N Goldman Sachs UK Funding Limited N BROAD STREET BRAZIL LTD. N BROAD STREET CREDIT INVESTMENTS EUROPE S.A R.L. N BROAD STREET EQUITY INVESTMENTS EUROPE LTD N BROAD STREET PRINCIPAL CREDIT STRATEGIES, L.P. N BSCH III DESIGNATED ACTIVITY COMPANY N ELQ INVESTORS II LTD N GLQ BROAD STREET HOLDINGS LTD. N GLQC II DESIGNATED ACTIVITY COMPANY N GOLDMAN SACHS ASIA STRATEGIC II PTE. LTD. N GOLDMAN SACHS ASIA STRATEGIC PTE. LTD. N GOLDMAN SACHS ASSET MANAGEMENT CO., LTD. Y FINANCIAL SERVICES AGENCY; Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K Please see Schedule D for a discussion of applicable registrations for the Specified Affiliates (as defined in Schedule D) listed in Item 1.K M0 GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL HOLDINGS L.L.C. N GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL HOLDINGS LTD N GOLDMAN SACHS SPECIALTY LENDING GROUP, L.P. N GSAMI Holdings I Ltd N GSAMI HOLDINGS II LTD N GLQL S.A R.L. N December NY 01-03-1927 Y 0000769993 13185 72 72 0 0 1 Municipal Entities Non-profit organizations Corporations or other businesses 0 0 0 Not Applicable Fixed Fees Contingent Fees Not Applicable Advice Insurance Of MS Advice Investment Of Proceeds MS Advice ME Investments Advice Guaranteed IC Advice Use Of MD Y Y Y Y Y Y Y Y Y Y Y Y Y Broker-dealer municipal securities dealer or government securities broker or dealer Investment Company Investment Adviser Swap Dealer Security-based swap dealer Commodity pool operator Commodity trading advisor Futures commission merchant Banking/Thrift institution Trust Company Sponsor or syndicator of limited partnerships 152 Add Investment Adviser Commodity pool operator GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL GOLDMAN SACHS ASSET MANAGEMENT INTERNATIONAL N Y Y Alberta Securities Commission Z4 British Columbia Securities Commission Z4 Ontario Securities Commission Z4 Quebec, Financial Markets Authority Z4 China Securities Regulatory Commission F4 Financial Services Board T3 Financial Supervisory Commission / Financial Supervisory Service M5 Financial Conduct Authority X0 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser GOLDMAN SACHS (ASIA) L.L.C. GOLDMAN SACHS (ASIA) L.L.C. N Y Y Australian Securities and Investments Commission C3 China Securities Regulatory Commission O4 Securities and Futures Commission K3 FINANCIAL SUPERVISORY COMMISSION M5 KOREA EXCHANGE M5 KOREA MINISTRY OF STRATEGY AND FINANCE M5 DEPOSITORY & CLEARING CORPORATION F5 TAIWAN SECURITIES ASSOCIATION F5 Securities and Exchange Commission W1 Securities and Futures Bureau, Financial Supervisory Co. F5 FINANCIAL SUPERVISORY SERVICE M5 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS (SINGAPORE) PTE. GOLDMAN SACHS (SINGAPORE) PTE. N Y Y Monetary Authority of Singapore U0 Add Investment Adviser Commodity pool operator Commodity trading advisor Sponsor or syndicator of limited partnerships GOLDMAN SACHS HEDGE FUND STRATEGIES LLC GOLDMAN SACHS HEDGE FUND STRATEGIES LLC N Y Y Alberta Securities Commission A0 British Columbia Securities Commission A1 Ontario Securities Commission A6 Quebec, Financial Markets Authority A8 Add Investment Adviser Commodity pool operator Commodity trading advisor Sponsor or syndicator of limited partnerships GOLDMAN SACHS ASSET MANAGEMENT, L.P. GOLDMAN SACHS ASSET MANAGEMENT, L.P. N Y Y Alberta Securities Commission A0 British Columbia Securities Commission A1 Manitoba Securities Commission A2 Ontario Securities Commission A6 Financial and Consumer Affairs Authority of Saskatchewan A9 Securities and Exchange Board of India K7 Central Bank of Ireland L2 Service NL (Newfoundland and Labrador) A4 Autorite des marches financiers A8 Prince Edward Island Office of the Superintendent of Securities A7 New Brunswick Securities Commission A3 Financial Services Regulation Division Z4 Nova Scotia Securities Commission A5 New Brunswick Securities Commission A3 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Swap Dealer GOLDMAN SACHS INTERNATIONAL GOLDMAN SACHS INTERNATIONAL N Y Y Alberta Securities Commission A0 British Columbia Securities Commission A1 Manitoba Securities Commission A2 New Brunswick Securities Commission A3 Nova Scotia Securities Commission A5 Ontario Securities Commission A6 German Federal Financial Supervisory Agency 2M The National Commission for Companies and the Stock Exchange L6 The Netherlands Authority for the Financial Markets P7 AUTORITE MARCHE FINANCIERS - QUEBEC A8 AGENCE FRANCE TRESOR I0 THE IRISH PANEL ON TAKEOVER AND MERGERS (ITP) L2 POLISH FINANCIAL SUPERVISORY AUTHORITY (KNF) R9 QATAR FINANCIAL CENTRE REGULATORY AUTHORITY S3 DUBAI FINANCIAL SERVICES AUTHORITY C0 THE PANEL ON TAKEOVER AND MERGERS (LTP) X0 Financial Services Board T3 National Commission of Securities Markets U3 Swedish Financial Supervisory Authority V7 Swiss Financial Market Supervisory Authority V8 Financial Conduct Authority X0 Financial and Consumer Affairs Authority of Saskatchewan A9 Prudential Regulation Authority X0 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Swap Dealer GOLDMAN SACHS JAPAN CO., LTD. GOLDMAN SACHS JAPAN CO., LTD. N Y Y BANK OF JAPAN M0 FINANCIAL FUTURES ASSOCIATION OF JAPAN M0 KANTO FINANCIAL BUREAU M0 MINISTRY OF ECONOMY, TRADE AND INDUSTRY M0 MINISTRY OF FINANCE M0 SECURITIES AND EXCHANGE SURVEILLANCE COMMISSION M0 TOKYO METROPOLITAN GOVERNMENT M0 Deposit Insurance Corporation of Japan M0 Add Broker-dealer municipal securities dealer or government securities broker or dealer Swap Dealer GOLDMAN SACHS FINANCIAL MARKETS PTY LTD. GOLDMAN SACHS FINANCIAL MARKETS PTY LTD. N Y Y Australian Securities and Investments Commission C3 AUSTRALIAN TRANSACTION REPORTS AND ANALYSIS CENTRE (AUSTRAC) C3 Add Insurance company or agency THE AYCO SERVICES AGENCY, L.P. THE AYCO SERVICES AGENCY, L.P. N Y N Add Insurance company or agency THE AYCO SERVICES INSURANCE AGENCY, INC. THE AYCO SERVICES INSURANCE AGENCY, INC. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Banking/Thrift institution GOLDMAN SACHS BANK Europe SE GOLDMAN SACHS BANK AG N Y Y SWISS BANKERS ASSOCIATION V8 SWISS FEDERAL BANKING COMMISSION V8 SWISS NATIONAL BANK V8 Federal Financial Supervisory Authority 2M Add Swap Dealer Banking/Thrift institution GOLDMAN SACHS BANK USA GOLDMAN SACHS BANK USA N Y Y Financial Conduct Authority X0 Prudential Regulation Authority X0 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS CANADA INC. GOLDMAN SACHS CANADA INC. N Y Y INVESTMENT INDUSTRY REGULATORY ORGANIZATION OF CANADA Z4 Add Investment Adviser Commodity pool operator Commodity trading advisor Banking/Thrift institution GOLDMAN SACHS DO BRASIL BANCO MULTIPLO S/A GOLDMAN SACHS DO BRASIL BANCO MULTIPLO S/A N Y Y ANBIMA D5 BACEN D5 CVM D5 Add Broker-dealer municipal securities dealer or government securities broker or dealer Swap Dealer GOLDMAN SACHS FINANCIAL MARKETS, L.P. GOLDMAN SACHS FINANCIAL MARKETS, L.P. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Swap Dealer Banking/Thrift institution GOLDMAN SACHS PARIS INC. ET CIE GOLDMAN SACHS PARIS INC. ET CIE N Y Y Financial Markets Authority I0 PRUDENTIAL CONTROL AND RESOLUTION AUTHORITY (ACPR) I0 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser GOLDMAN SACHS AUSTRALIA PTY LTD GOLDMAN SACHS AUSTRALIA PTY LTD N Y Y Australian Securities and Investments Commission C3 Chi-X C3 Australian Transaction Reports and Analysis Centre (AUSTRAC) C3 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS SAUDI ARABIA GOLDMAN SACHS SAUDI ARABIA N Y Y CAPITAL MARKET AUTHORITY OF SAUDI ARABIA T0 Add Trust Company THE GOLDMAN SACHS TRUST COMPANY OF DELAWARE THE GOLDMAN SACHS TRUST COMPANY OF DELAWARE N Y N Add Investment Adviser Commodity pool operator Commodity trading advisor Sponsor or syndicator of limited partnerships GS INVESTMENT STRATEGIES, LLC GS INVESTMENT STRATEGIES, LLC N Y Y Securities and Exchange Board of India K7 Add Broker-dealer municipal securities dealer or government securities broker or dealer MERCER ALLIED COMPANY, L.P. MERCER ALLIED COMPANY, L.P. N Y N Add Investment Adviser THE AYCO COMPANY, L.P. THE AYCO COMPANY, L.P. N Y N Add Trust Company THE GOLDMAN SACHS TRUST COMPANY, NATIONAL ASSOCIATION THE GOLDMAN SACHS TRUST COMPANY, NATIONAL ASSOCIATION N Y N Add Sponsor or syndicator of limited partnerships CARIBBEAN FUND GEN-PAR 2005, LLC CARIBBEAN FUND GEN-PAR 2005, LLC N Y N Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS DEVELOPING MARKETS REAL ESTATE PARTNERS (GERMANY) GP, LLC GOLDMAN SACHS DEVELOPING MARKETS REAL ESTATE PARTNERS (GERMANY) GP, LLC N Y N Add Sponsor or syndicator of limited partnerships GS INFRASTRUCTURE ADVISORS 2006, L.L.C. GS INFRASTRUCTURE ADVISORS 2006, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GS INTERNATIONAL INFRASTRUCTURE ADVISORS 2008, LTD. GS INTERNATIONAL INFRASTRUCTURE ADVISORS 2008, LTD. N Y N Add Sponsor or syndicator of limited partnerships OPPORTUNITY PARTNERS OFFSHORE-B CO-INVEST AIV ADVISORS, LTD. OPPORTUNITY PARTNERS OFFSHORE-B CO-INVEST AIV ADVISORS, LTD. N Y N Add Sponsor or syndicator of limited partnerships GOLDMAN, SACHS MANAGEMENT GP GMBH GOLDMAN, SACHS MANAGEMENT GP GMBH N Y N Add Sponsor or syndicator of limited partnerships GS ADVISORS V AIV, LTD. GS ADVISORS V AIV, LTD. N Y N Add Sponsor or syndicator of limited partnerships GS CAPITAL PARTNERS VI EMPLOYEE FUNDS GP, L.L.C. GS CAPITAL PARTNERS VI EMPLOYEE FUNDS GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GS ADVISORS VI, L.L.C. GS ADVISORS VI, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GS ADVISORS VI AIV, LTD. GS ADVISORS VI AIV, LTD. N Y N Add Sponsor or syndicator of limited partnerships GS LOAN PARTNERS I OFFSHORE ADVISORS B, LTD. GS LOAN PARTNERS I OFFSHORE ADVISORS B, LTD. N Y N Add Sponsor or syndicator of limited partnerships GS LOAN PARTNERS I OFFSHORE ADVISORS C, LTD. GS LOAN PARTNERS I OFFSHORE ADVISORS C, LTD. N Y N Add Sponsor or syndicator of limited partnerships GS LOAN PARTNERS I ADVISORS, LTD. GS LOAN PARTNERS I ADVISORS, LTD. N Y N Add Sponsor or syndicator of limited partnerships GS MEZZANINE PARTNERS V EMPLOYEE FUNDS GP, L.L.C. GS MEZZANINE PARTNERS V EMPLOYEE FUNDS GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GS MEZZANINE ADVISORS V, L.L.C. GS MEZZANINE ADVISORS V, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS REAL ESTATE ADVISORS, L.L.C. GOLDMAN SACHS REAL ESTATE ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WHITEHALL STREET EMPLOYEE FUNDS 2007 GP, L.L.C. WHITEHALL STREET EMPLOYEE FUNDS 2007 GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WH PARALLEL ADVISORS, L.L.C. 2007 WH PARALLEL ADVISORS, L.L.C. 2007 N Y N Add Sponsor or syndicator of limited partnerships WH ADVISORS, L.L.C. 2007 WH ADVISORS, L.L.C. 2007 N Y N Add Sponsor or syndicator of limited partnerships MBD 2011 OFFSHORE ADVISORS, INC. MBD 2011 OFFSHORE ADVISORS, INC. N Y N Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS REAL ESTATE ADVISORS GERMANY GMBH GOLDMAN SACHS REAL ESTATE ADVISORS GERMANY GMBH N Y N Add Sponsor or syndicator of limited partnerships GS LUX MANAGEMENT SERVICES S.A R.L. GS LUX MANAGEMENT SERVICES S.A R.L. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Swap Dealer J. ARON & COMPANY LLC J. ARON & COMPANY LLC N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Company GOLDMAN SACHS (INDIA) SECURITIES PRIVATE LIMITED GOLDMAN SACHS (INDIA) SECURITIES PRIVATE LIMITED N Y Y Securities and Exchange Board of India K7 Add Banking/Thrift institution Sponsor or syndicator of limited partnerships THE GOLDMAN SACHS GROUP, INC. THE GOLDMAN SACHS GROUP, INC. Y N N Add Sponsor or syndicator of limited partnerships BROAD STREET ENERGY ADVISORS AIV-1, L.L.C. BROAD STREET ENERGY ADVISORS AIV-1, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET ENERGY ADVISORS, L.L.C. BROAD STREET ENERGY ADVISORS, L.L.C. N Y N Add Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS BROAD STREET (BEIJING) EQUITY INVESTMENT MANAGEMENT CO., LTD. GOLDMAN SACHS BROAD STREET (BEIJING) EQUITY INVESTMENT MANAGEMENT CO., LTD. N Y N Add Investment Adviser GOLDMAN SACHS GLOBAL SERVICES II LIMITED GOLDMAN SACHS GLOBAL SERVICES II LIMITED N Y N Add Sponsor or syndicator of limited partnerships GS RENEWABLE HOLDINGS GK GS RENEWABLE HOLDINGS GK N Y N Add Insurance company or agency ARROW REINSURANCE COMPANY, LIMITED ARROW REINSURANCE COMPANY, LIMITED N Y Y BERMUDA MINISTRY OF FINANCE D0 Add Investment Company Sponsor or syndicator of limited partnerships GSAM STABLE VALUE, LLC GSAM STABLE VALUE, LLC N Y Y National Futures Association P7 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS (ASIA) FINANCE GOLDMAN SACHS (ASIA) FINANCE N Y N Add Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS (CHINA) L.L.C. GOLDMAN SACHS (CHINA) L.L.C. N Y Y China Securities Regulatory Commission F4 Add Investment Adviser Sponsor or syndicator of limited partnerships GSAM SERVICES PRIVATE LIMITED GSAM SERVICES PRIVATE LIMITED N Y Y Securities and Exchange Board of India K7 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS ASSET MANAGEMENT CO., LTD GOLDMAN SACHS ASSET MANAGEMENT CO., LTD N Y Y Financial Services Agency M0 KANTO FINANCIAL BUREAU M0 MINISTRY OF LAND, INFRASTRUCTURE, TRANSPORT AND TOURISM M0 SECURITIES AND EXCHANGE SURVEILLANCE COMMISSION M0 TOKYO METROPOLITAN GOVERNMENT M0 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS DO BRASIL CORRETORA DE TITULOS E VALORES MOBILIARIOS S/A GOLDMAN SACHS DO BRASIL CORRETORA DE TITULOS E VALORES MOBILIARIOS S/A N Y Y BACEN D5 CVM D5 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS GAO HUA SECURITIES COMPANY LIMITED GOLDMAN SACHS GAO HUA SECURITIES COMPANY LIMITED N Y Y China Securities Regulatory Commission F4 Add Broker-dealer municipal securities dealer or government securities broker or dealer OOO GOLDMAN SACHS BANK OOO GOLDMAN SACHS BANK N Y Y CENTRAL BANK OF RUSSIA 1Z Federal Financial Markets Service 1Z Add Broker-dealer municipal securities dealer or government securities broker or dealer QIAN KUN FUTURES CO., LTD. QIAN KUN FUTURES CO., LTD. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS (RUSSIA) GOLDMAN SACHS (RUSSIA) N Y Y Financial Conduct Authority X0 Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS ASSET MANAGEMENT AUSTRALIA PTY LTD GOLDMAN SACHS ASSET MANAGEMENT AUSTRALIA PTY LTD N Y Y Australian Securities and Investments Commission C3 Add Investment Adviser GOLDMAN SACHS ISRAEL LLC GOLDMAN SACHS ISRAEL LLC N Y N Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS MANAGEMENT PARTNERS, L.P. GOLDMAN SACHS MANAGEMENT PARTNERS, L.P. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS NEW ZEALAND LIMITED GOLDMAN SACHS NEW ZEALAND LIMITED N Y Y FINANCIAL MARKETS AUTHORITY Q2 NEW ZEALAND COMPANIES OFFICE Q2 ustralian Transaction Reports and Analysis Centre (AUSTRAC) C3 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS MEXICO, CASA DE BOLSA, S.A. DE C.V. GOLDMAN SACHS MEXICO, CASA DE BOLSA, S.A. DE C.V. N Y Y National Commission for Banking and Securities O5 BANCO DE MEXICO O5 Add Investment Adviser GOLDMAN SACHS (INDIA) CAPITAL MARKETS PRIVATE LIMITED GOLDMAN SACHS (INDIA) CAPITAL MARKETS PRIVATE LIMITED N Y Y THE RESERVE BANK OF INDIA K7 Add Sponsor or syndicator of limited partnerships BRIDGE STREET OPPORTUNITY ADVISORS, L.L.C. BRIDGE STREET OPPORTUNITY ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships MBD ADVISORS, L.L.C. MBD ADVISORS, L.L.C. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS FUTURES PTE LTD GOLDMAN SACHS FUTURES PTE LTD N Y Y Monetary Authority of Singapore U0 Singapore Exchange Securities Trading Limited SGX-ST U0 Singapore Exchange Derivatives Limited SGX-DT U0 Add Investment Company GOLDMAN SACHS TRUST GOLDMAN SACHS TRUST N Y N Add Investment Company GOLDMAN SACHS VARIABLE INSURANCE TRUST GOLDMAN SACHS VARIABLE INSURANCE TRUST N Y N Add Investment Company GOLDMAN SACHS TRUST II GOLDMAN SACHS TRUST II N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser BEIJING GAO HUA SECURITIES COMPANY LIMITED BEIJING GAO HUA SECURITIES COMPANY LIMITED N Y Y China Securities Regulatory Commission F4 Add Broker-dealer municipal securities dealer or government securities broker or dealer Banking/Thrift institution GOLDMAN SACHS INTERNATIONAL BANK GOLDMAN SACHS INTERNATIONAL BANK N Y Y Financial Conduct Authority (FCA) X0 Prudential Regulation Authority (PRA) (Bank of England) X0 Add Sponsor or syndicator of limited partnerships BROAD STREET INFRASTRUCTURE ADVISORS III, L.L.C. BROAD STREET INFRASTRUCTURE ADVISORS III, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET SENIOR CREDIT PARTNERS ADVISOR, L.L.C. BROAD STREET SENIOR CREDIT PARTNERS ADVISOR, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET SENIOR CREDIT PARTNERS OFFSHORE ADVISOR, LTD. BROAD STREET SENIOR CREDIT PARTNERS OFFSHORE ADVISOR, LTD. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS (ASIA) SECURITIES LIMITED GOLDMAN SACHS (ASIA) SECURITIES LIMITED N Y Y China Securities Regulatory Commission F4 Hong Kong Securities & Futures Commission K3 Add Investment Adviser GOLDMAN SACHS (MALAYSIA) S.DN. B.H.D. GOLDMAN SACHS (MALAYSIA) S.D.N. B.H.D. N Y Y Securities Commission Malaysia N8 Add Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS MB SERVICES LIMITED GOLDMAN SACHS MB SERVICES LIMITED N Y Y Financial Conduct Authority X0 Add Investment Company GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ETF TRUST N Y N Add Investment Company GOLDMAN SACHS TRUST - GOLDMAN SACHS MLP ENERGY INFRASTRUCTURE FUND GOLDMAN SACHS TRUST - GOLDMAN SACHS MLP ENERGY INFRASTRUCTURE FUND N Y N Add Investment Company GOLDMAN SACHS MLP AND ENERGY RENAISSANCE FUND GOLDMAN SACHS MLP AND ENERGY RENAISSANCE FUND N Y N Add Investment Company GOLDMAN SACHS BDC, INC. GOLDMAN SACHS BDC, INC. N Y N Add Sponsor or syndicator of limited partnerships GS FUND HOLDINGS, L.L.C. GS FUND HOLDINGS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GS MEZZANINE PARTNERS VI SPONSOR, L.L.C. GS MEZZANINE PARTNERS VI SPONSOR, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships GSAM GEN-PAR, L.L.C. GSAM GEN-PAR, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WHITEHALL SPECIAL GEN-PAR 2005, LLC WHITEHALL SPECIAL GEN-PAR 2005, LLC N Y N Add Investment Adviser GOLDMAN SACHS ASSET MANAGEMENT (HONG KONG) LIMITED GOLDMAN SACHS ASSET MANAGEMENT (HONG KONG) LIMITED N Y Y Securities and Futures Commission BFK567 K3 Australian Securities and Investments Commission C3 Monetary Authority of Singapore U0 Financial Supervisory Commission / Financial Supervisory Service M5 Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS ASSET MANAGEMENT (SINGAPORE) PTE. LTD. GOLDMAN SACHS ASSET MANAGEMENT (SINGAPORE) PTE. LTD. N Y Y Monetary Authority of Singapore CMS1004671 U0 Add Broker-dealer municipal securities dealer or government securities broker or dealer GOLDMAN SACHS INVESTMENTS (MAURITIUS) I LIMITED GOLDMAN SACHS INVESTMENTS (MAURITIUS) I LIMITED N Y Y Financial Services Commission in Mauritius O4 Securities and Exchange Board of India K7 Category 1 Global Business Licence (by Financial Services Commission) O4 Foreign Institutional Investor (by Securities and Exchange Board of India) K7 Investment Adviser (by Financial Services Commission) K7 Add Investment Company Goldman Sachs Private Middle Market Credit LLC Goldman Sachs Private Middle Market Credit LLC N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer SIMON MARKETS LLC SIMON MARKETS LLC N Y N Add Investment Adviser GSAM STRATEGIST PORTFOLIOS, LLC GSAM STRATEGIST PORTFOLIOS, LLC N Y N Add Investment Adviser GS INVESTMENT STRATEGIES CANADA INC. GS INVESTMENT STRATEGIES CANADA INC. N Y Y Ontario Securities Commission A6 British Columbia Securities Commission A1 Add Broker-dealer municipal securities dealer or government securities broker or dealer FOLIO INVESTMENTS, INC. FOLIO INVESTMENTS, INC. N Y N Add Investment Adviser Aptitude Investment Management LP Aptitude Investment Management LP N Y N Add Investment Adviser Beijing Goldman Sachs Consulting Co., Ltd. Beijing Goldman Sachs Consulting Co., Ltd. N Y N Add Investment Adviser Goldman Sachs Broad Street Goldman Sachs Broad Street N Y N Add Investment Adviser GOLDMAN SACHS SERVICES (HONG KONG) LIMITED GOLDMAN SACHS SERVICES (HONG KONG) LIMITED N Y Y Hong Kong Securities & Futures Commission F4 Add Investment Adviser GOLDMAN SACHS SERVICES PRIVATE LIMITED GOLDMAN SACHS SERVICES PRIVATE LIMITED N Y N Add Investment Adviser GS Global Services II Limited GS Global Services II Limited N Y N Add Investment Adviser GS India Securities PVT. LTD. GS India Securities PVT. LTD. N Y N Add Investment Adviser GS Realty Management EUR GmbH GS Realty Management EUR GmbH N Y N Add Investment Adviser GS Services (Hong Kong) Ltd. GS Services (Hong Kong) Ltd. N Y N Add Investment Adviser GS Services Private LTD GS Services Private LTD N Y N Add Investment Adviser PFE ADVISORS, INC. PFE ADVISORS, INC. N Y N Add Investment Adviser Commodity pool operator Commodity trading advisor ROCATON INVESTMENT ADVISORS, LLC ROCATON INVESTMENT ADVISORS, LLC N Y Y Ontario Securities COmmission Z4 Add Investment Adviser UNITED CAPITAL FINANCIAL ADVISERS, LLC Goldman Sachs Personal Financial Management N Y N Add Insurance company or agency United Capital Risk Management, LLC United Capital Risk Management N Y N Add Investment Adviser Goldman Sachs Bank Europe (GSBE) Goldman Sachs Bank Europe (GSBE) N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET SENIOR CREDIT PARTNERS II ADVISOR, L.L.C. BROAD STREET SENIOR CREDIT PARTNERS II ADVISOR, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships BSPI OZ FUND GP LLC BSPI OZ FUND GP LLC N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Investment Adviser Sponsor or syndicator of limited partnerships GOLDMAN SACHS ASSET MANAGEMENT CO., LTD. GOLDMAN SACHS ASSET MANAGEMENT CO., LTD. N Y Y Financial Services Agency M0 Kanto Financial M0 Add Sponsor or syndicator of limited partnerships Broad Street Luxembourg S.A.R.L. Broad Street Luxembourg S.A.R.L. N Y N Add Sponsor or syndicator of limited partnerships SF US RE ADVISORS LLC SF US RE ADVISORS LLC N Y N Add Sponsor or syndicator of limited partnerships WEST STREET CAPITAL PARTNERS VII ADVISORS B, LTD. WEST STREET CAPITAL PARTNERS VII ADVISORS B, LTD. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET CAPITAL PARTNERS VII ADVISORS S.A R.L. WEST STREET CAPITAL PARTNERS VII ADVISORS S.A R.L. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET CAPITAL PARTNERS VII ADVISORS, L.L.C. WEST STREET CAPITAL PARTNERS VII ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships U.S. REAL PROPERTY INCOME FUND ADVISORS LLC U.S. REAL PROPERTY INCOME FUND ADVISORS LLC N Y N Add Sponsor or syndicator of limited partnerships WSIP EAGLE GP, L.L.C. WSIP EAGLE GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WSIP III CANAL GP S.A.R.L. WSIP III CANAL GP S.A.R.L. N Y N Add Investment Adviser NN INVESTMENT PARTNERS NORTH AMERICA LLC NN INVESTMENT PARTNERS NORTH AMERICA LLC N Y N Add Investment Adviser NNIP Advisors B.V. NNIP Advisors B.V. N Y Y Netherlands Authority for the Financial Markets N/A P7 Add Sponsor or syndicator of limited partnerships BROAD STREET LOAN PARTNERS III ONSHORE ADVISORS, L.L.C. BROAD STREET LOAN PARTNERS III ONSHORE ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET LOAN PARTNERS IV UNLEVERED ADVISORS, S.A R.L. BROAD STREET LOAN PARTNERS IV UNLEVERED ADVISORS, S.A R.L. N Y N Add Sponsor or syndicator of limited partnerships BROAD STREET PARTNERS LUX GP, S.A R.L. BROAD STREET PARTNERS LUX GP, S.A R.L. N Y N Add Sponsor or syndicator of limited partnerships CBM INVESTORS ADVISORS, L.L.C. CBM INVESTORS ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships CP VII ESC Advisors, L.L.C. CP VII ESC Advisors, L.L.C. N Y N Add Broker-dealer municipal securities dealer or government securities broker or dealer Banking/Thrift institution GOLDMAN SACHS DO BRASIL CORRETORA DE TITULOS E VALORES MOBILIARIOS S.A. GOLDMAN SACHS DO BRASIL CORRETORA DE TITULOS E VALORES MOBILIARIOS S.A. N Y Y CVM (Securities Exchange Commission) D5 BACEN D5 Add Sponsor or syndicator of limited partnerships GOLDMAN SACHS SOCIAL IMPACT FUND GP, LLC GOLDMAN SACHS SOCIAL IMPACT FUND GP, LLC N Y N Add Sponsor or syndicator of limited partnerships GS TK HOLDINGS II GK GS TK HOLDINGS II GK N Y N Add Sponsor or syndicator of limited partnerships GSG UIG OZ GP INVESTOR LLC GSG UIG OZ GP INVESTOR LLC N Y N Add Sponsor or syndicator of limited partnerships TE CAPITAL TK TE CAPITAL TK N Y N Add Sponsor or syndicator of limited partnerships West Street Co-Investment Partners (C) GP, L.L.C. West Street Co-Investment Partners (C) GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships West Street CT Private Credit Advisors, L.L.C. West Street CT Private Credit Advisors, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET EP GP, LLC WEST STREET EP GP, LLC N Y N Add Sponsor or syndicator of limited partnerships WEST STREET FAIRWAY PARTNERS ADVISORS, L.L.C. WEST STREET FAIRWAY PARTNERS ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET GCPD GP, LLC WEST STREET GCPD GP, LLC N Y N Add Sponsor or syndicator of limited partnerships WEST STREET INFRASTRUCTURE ADVISORS IV, L.L.C. WEST STREET INFRASTRUCTURE ADVISORS IV, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET INFRASTRUCTURE ADVISORS IV, S.A R.L. WEST STREET INFRASTRUCTURE ADVISORS IV, S.A R.L. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET REAL ESTATE CREDIT PARTNERS IV GP, L.L.C. WEST STREET REAL ESTATE CREDIT PARTNERS IV GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET REAL ESTATE INVESTMENT PARTNERS ADVISORS, LTD. WEST STREET REAL ESTATE INVESTMENT PARTNERS ADVISORS, LTD. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET REAL ESTATE INVESTMENT PARTNERS GP, L.L.C. WEST STREET REAL ESTATE INVESTMENT PARTNERS GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET REAL ESTATE PARTNERS (G) GP ADVISORS, L.L.C. WEST STREET REAL ESTATE PARTNERS (G) GP ADVISORS, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET REAL ESTATE SECONDARY PARTNERS GP, L.L.C. WEST STREET REAL ESTATE SECONDARY PARTNERS GP, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET SENIOR CREDIT PARTNERS III ADVISOR, L.L.C. WEST STREET SENIOR CREDIT PARTNERS III ADVISOR, L.L.C. N Y N Add Sponsor or syndicator of limited partnerships WEST STREET SENIOR CREDIT PARTNERS III ADVISOR, L.L.C. WEST STREET SENIOR CREDIT PARTNERS III ADVISOR, L.L.C. N Y N N N Y N N N N N N N N N N GOLDMAN SACHS GROUP INC 0000886982 Schedule A Item 1.I Location of Books and Records: In addition to the five locations listed in Item 1, the applicant may maintain certain books and records at the following locations: 125 High Street 20th Floor Boston, MA 02110-2704 1-617-204-2000 3414 Peachtree Street, N.E. Suite 600 Atlanta, GA 30326 1-404-846-7200 Item 1.K: Business Affiliates of the Applicant The applicant is an operating subsidiary of The Goldman Sachs Group, Inc. ("GS Group"), which is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals. The number of the affiliates of the applicant is extensive, and due to the breadth of their global operations, the firm is including in response to Item 1.K. the direct owners of the applicant and the significant subsidiaries of the parent company of the applicant, GS Group, as provided in the most recent Form 10-K of GS Group ("Specified Affiliates"). Certain Specified Affiliates are registered or licensed to trade or advise in securities or derivatives, and/or are members of a securities or derivatives exchange, SRO or similar organization, and/or rely on exemptions from such registrations, licenses or exemptions. Although we have listed the primary regulators where applicable in response to Item 1.K(2), it is impractical to list all federal, state or foreign registrations of such affiliates, since this may change from time to time in the ordinary course of business. Item 4.F: Information About Applicant's Business; Clients The applicant has identified one client in Item 4.F. However, there are instances during the year where the applicant is not engaged as a municipal advisor but may be involved in municipal advisory activity with respect to non-municipal issuers or obligated persons. Item 7.A(3): Participation or Interest of Applicant, or of Associated Persons of Applicant, in Municipal Advisory Client or Solicitee Transactions; Proprietary Interest in Municipal Advisory Client or Solicitee Transactions Although the applicant has responded affirmatively to Item 7.A.(3), it has not and does not intend to enter into derivatives contracts with the one municipal entity client with whom the applicant is engaged as a municipal advisor. Y Y Y Y Y Y N Y Y Y Y N Y Y N Y N N N Y Y Y Y N N Y THE GOLDMAN SACHS GROUP, INC. Y 13-4019460 CLASS A MEMBER 04-28-2017 E Y DAVID MICHAEL SOLOMON MANAGER 04-28-2017 NA Y 1616414 JOHN MAURICE O'CONNELL CHIEF COMPLIANCE OFFICER 11-15-2018 NA N 1335506 BRIAN RICHARD DOYLE CHIEF FINANCIAL OFFICER 11-04-2019 NA N 6003685 JOHN EDWARD WALDRON CHIEF EXECUTIVE OFFICER, MANAGER 12-17-2018 NA Y 2569337 KATHRYN HELEN RUEMMLER CHIEF LEGAL OFFICER 03-31-2021 NA N 7250761 DENIS PATRICK COLEMAN III MANAGER 01-01-2022 NA Y 2782373 ERICKA T HORAN MANAGING DIRECTOR, MANAGER 05-18-2022 NA Y 4902526 THE GOLDMAN SACHS GROUP, INC. Y 13-4019460 CLASS A MEMBER 04-28-2017 E Y DAVID MICHAEL SOLOMON MANAGER 04-28-2017 NA Y 1616414 JOHN MAURICE O'CONNELL CHIEF COMPLIANCE OFFICER 11-15-2018 NA N 1335506 BRIAN RICHARD DOYLE CHIEF FINANCIAL OFFICER 11-04-2019 NA N 6003685 JOHN EDWARD WALDRON CHIEF EXECUTIVE OFFICER, MANAGER 12-17-2018 NA Y 2569337 KATHRYN HELEN RUEMMLER CHIEF LEGAL OFFICER 03-31-2021 NA N 7250761 DENIS PATRICK COLEMAN III MANAGER 01-01-2022 NA Y 2782373 ERICKA T HORAN MANAGING DIRECTOR, MANAGER 05-18-2022 NA Y 4902526 1 9-B2 MARK ALEXANDER SOMERS N 5549614 MARK ALEXANDER SOMERS 5549614 1406896 1 9-B1 9-B2 MTGLQ INVESTORS, L.P. N GOLDMAN, SACHS & CO. 361 1529131 3 9-A2 GOLDMAN SACHS (ASIA) L.L.C. N GOLDMAN SACHS & CO. LLC 361 2010546 GOLDMAN SACHS (SINGAPORE) PTE. N GOLDMAN SACHS & CO. LLC 361 2010546 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2010546 1 9-A2 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 2094890 1 9-A1 9-A2 Goldman Sachs (Malaysia) Sdn. Bhd. 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Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 319160 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 285001 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 278540 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 240313 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 229442 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 229442 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 203281 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 150192 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 146094 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 146092 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 137406 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110434 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110431 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110430 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110429 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110428 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110427 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110426 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110425 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110424 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110423 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110422 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110421 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110420 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110419 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110418 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110417 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110416 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110415 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110414 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110413 1 9-E2 GOLDMAN SACHS EXECUTION & CLEARING, L.P. Y 008-00526 GOLDMAN SACHS EXECUTION & CLEARING, L.P. 3466 110406 1 9-E2 THE GOLDMAN SACHS GROUP, INC. N GOLDMAN, SACHS & CO. 361 1581311 1 9-E2 GOLDMAN SACHS BANK USA N GOLDMAN, SACHS & CO. 361 1581311 1 9-E2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN, SACHS & CO. 361 1712383 9-E2 GOLDMAN, SACHS & CO. 361 1712382 9-E2 GOLDMAN, SACHS & CO. 361 1712381 9-E2 GOLDMAN, SACHS & CO. 361 1710211 9-E2 GOLDMAN, SACHS & CO. 361 1707555 9-E2 Goldman, Sachs & Co. 361 1714036 9-D2 Goldman, Sachs & Co. 361 1716262 9-E2 Goldman, Sachs & Co. 361 1717554 9-D2 Goldman, Sachs & Co. 361 1724299 9-E2 Goldman, Sachs & Co. 361 1726158 9-E2 Goldman, Sachs & Co. 361 1729719 9-E2 Goldman, Sachs & Co. 361 1734104 9-E2 Goldman, Sachs & Co. 361 1734105 9-E2 Goldman, Sachs & Co. 361 1734107 9-E2 Goldman, Sachs & Co. 361 1734108 9-E2 Goldman, Sachs & Co. 361 1734110 1 9-E2 Goldman Sachs International N Goldman Sachs International 361 1734112 1 9-D2 Goldman Sachs International N Goldman Sachs International 361 1734114 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00256 Goldman Sachs Execution & Clearing, L.P. 3466 1711713 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1723322 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1734087 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1734088 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1734089 9-E2 ICE Futures U.S., Inc. 2013-016/028 55 East 52nd Street 40th Floor New York NY 10955 The Summary Fine, in the amount of $15,000, was paid by submission of a wire on November 28, 2014. 11-19-2014 ICE Futures U.S., Inc. CivilAdminPenaltyFine Derivative(s) ICE Futures U.S., Inc. ("IFUS") Compliance Department issued a Notice of Summary Fine, dated November 19, 2014, to Goldman, Sachs & Co. (the "Firm"), stating that: (i) on February 11, 2013 and March 11, 2013, the Firm failed to enter certain Crossing Orders ("CO") for certain opposing orders submitted simultaneously by a common account manager on behalf of accounts with separate beneficial owners; and (ii) specifically, on each date, the Firm entered certain opposing orders without the use of IFUS CO functionality, resulting in certain futures spreads transacting against one another, in violation of IFUS Rule 4.02(i)(2). 11-19-2014 Decision Y CivilAdminPenaltyFine 15000.00 15000.00 11-28-2014 15000.00 9-D2 Bourse de Montreal Inc. 12-011-DISC 800 Victoria Square Montreal, QC Z4 H4Z 1A9 On November 25, 2014, the Disciplinary Committee of the Bourse (the "Committee") informed the Firm of the Committee's approval of an offer of settlement (the "Offer of Settlement") negotiated between the staff of the Regulatory Division of the Bourse and the Firm. The Committee approved the Offer of Settlement on November 14, 2014. In the Offer of Settlement, the Firm agreed to the payment of a fine in the amount of CAD$65,000, as well as an additional amount of CAD$6,500 for costs, which amount was paid by submission of a wire on December 18, 2014. While the actual payment was made in Canadian dollars, using the most recently published Federal Reserve foreign exchange rate of CAD$1.1538:USD$1 as of December 12, 2014, the equivalent US Dollar value on December 12, 2014 was USD$61,969.15, which amount is reflected in Item 12.B. above. As indicated in the Committee's approval of the Offer of Settlement, upon learning of certain unapproved access to the electronic trading system of the Bourse, the Firm took corrective measures, and the Bourse noted that the problem was corrected. 07-16-2014 Bourse de Montreal Inc. CivilAdminPenaltyFine No Product In an Originating Notice to Goldman, Sachs & Co. (the "Firm") dated June 18, 2013, The Bourse de Montreal Inc. (the "Bourse") alleged that, during the period from December 1, 2005 to June 30, 2012, the Firm provided certain personnel access to the electronic trading system of the Bourse without having obtained the prior approval of the Bourse, in alleged contravention of section A) of Article 6366 of the Rules of the Bourse. 11-25-2014 Decision N Y CivilAdminPenaltyFine 62969.15 62969.15 12-18-2014 61969.15 9-E2 Chicago Board Options Exchange, Incorporated 14-0047 61 Broadway New York NY 10006 Without admitting or denying the allegations or findings, the Firm consented to a censure and fine and entered into a Letter of Consent which was approved by the CBOE Business Conduct Committee on December 1, 2014, and on December 9, 2014, the Firm submitted a wire in payment of the fine in the amount of $20,000. 12-01-2014 Chicago Board Options Exchange, Incorporated Censure CivilAdminPenaltyFine Options The Chicago Board Options Exchange, Incorporated ("CBOE") alleged that, during the approximate period from in or about January 2009 through in or about February 2011, Goldman, Sachs & Co. (the "Firm") failed: (i) on certain occasions, to grant priority to the highest bid and/or lowest offer when such bid or offer was available, and to use due diligence to execute certain orders at the best prices available, in alleged violation of CBOE Rules 6.45A, 6.45B and 6.73; and (ii) to assure compliance with such rules, in alleged violation of CBOE Rule 4.2. 12-01-2014 Consent Y Censure CivilAdminPenaltyFine 20000.00 20000.00 12-09-2014 20000.00 1 9-E2 J. Aron & Company N ICE Futures U.S., Inc. 2013-155 55 East 52nd Street 41st Floor New York NY 10055 WITHOUT ADMITTING OR DENYING ANY VIOLATION OF IFUS RULES, J. ARON ENTERED INTO A SETTLEMENT AGREEMENT, WHICH WAS APPROVED BY THE BCC, IN WHICH J. ARON: (I) AGREED TO CEASE AND DESIST FROM FUTURE VIOLATIONS OF IFUS RULE 6.20(B); AND (II) CONSENTED TO A MONETARY PAYMENT OF $82,064 IN THE AGGREGATE, CONSISTING OF A FINE IN THE AMOUNT OF $20,000, AND DISGORGEMENT OF PROFITS IN THE AMOUNT OF $62,064, BOTH OF WHICH WERE PAID BY SUBMISSION OF A WIRE ON NOVEMBER 26, 2014. 11-24-2014 J. ARON & COMPANY Disgorgement Cease and Desist CivilAdminPenaltyFine Derivative(s) ICE FUTURES U.S., INC. ("IFUS") BUSINESS CONDUCT COMMITTEE ("BCC") DETERMINED THAT J. ARON & COMPANY ("J. ARON") MAY HAVE, IN ONE (1) INSTANCE, EXCEEDED THE SPOT MONTH SPECULATIVE POSITION LIMIT ESTABLISHED BY IFUS IN AN ENERGY FUTURES CONTRACT DURING CONTRACT EXPIRATION, IN ALLEGED VIOLATION OF IFUS RULE 6.20(B). 11-24-2014 Consent N Y CivilAdminPenaltyFine 20000.00 20000.00 11-26-2014 20000.00 9-E2 Financial Industry Regulatory Authority, Inc. 2011030683301 15200 Omega Drive 3rd Floor Rockville MD 20850-3241 Without admitting or denying the allegations or findings, the Firm consented to a censure and fine and entered into a Letter of Acceptance, Waiver and Consent (AWC) which was accepted by FINRA on December 10, 2014, and on December 18, 2014, the Firm submitted a wire in payment of a fine in the amount of $5,000,000. 12-10-2014 Financial Industry Regulatory Authority, Inc. Censure CivilAdminPenaltyFine Other Initial Public Offering Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Enforcement alleged that in connection with efforts by Goldman, Sachs & Co. (the "Firm") and other broker-dealers to participate in a company's planned initial public offering (IPO), the Firm: (a) allowed a research analyst to participate in the solicitation of certain investment banking business; (b) offered favorable research coverage to induce the receipt of investment banking business; and (c) failed to adopt and implement policies and procedures reasonably designed to prevent violations of Rule NASD Rule 2711, in alleged violation of NASD Rules 2711(c)(4), 2711(e), and 2711(i), respectively, and each in alleged violation of FINRA Rule 2010. 12-10-2014 Acceptance Waiver & Consent (AWC) Y Censure CivilAdminPenaltyFine 5000000.00 5000000.00 12-18-2014 5000000.00 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1739197 1 9-E2 Financial Industry Regulatory Authority, Inc. 2012031743301 9509 Key West Avenue Rockville MD 20850 Without admitting or denying the allegations or findings, the Firm consented to a censure and fine and entered into a Letter of Acceptance, Waiver and Consent (AWC) which was accepted by FINRA on December 23, 2014, and on January 9, 2015, the Firm submitted a wire in payment of a fine in the amount of $18,750. 12-23-2014 Financial Industry Regulatory Authority, Inc. Censure CivilAdminPenaltyFine No Product Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Market Regulation alleged that during the period of August 2003 through December 2011, Goldman, Sachs & Co. (the "Firm") failed to: (i) have adequate procedures, including written supervisory procedures, reasonably designed to identify material changes in access and management of certain accounts that were granted an exemption from aggregating options positions by the Intermarket Surveillance Group (ISG) in order to assure that proper notice was given to certain options exchanges (the "Exchanges"); and (ii) provide notice to the Exchanges of any such changes, in alleged violation of NASD Rules 3010 and 2110 (for conduct prior to December 15, 2008) and FINRA Rule 2010 (for conduct on and after December 15, 2008). 12-23-2014 Acceptance Waiver & Consent (AWC) N Y Censure CivilAdminPenaltyFine 18750.00 18750.00 01-09-2015 18750.00 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Financial Industry Regulatory Authority, Inc. 2012031743301 9509 Key West Avenue Rockville MD 20850 Without admitting or denying the allegations or findings, GSEC consented to a censure and fine and entered into a Letter of Acceptance, Waiver and Consent (AWC) which was accepted by FINRA on December 23, 2014, and on January 9, 2015, GSEC submitted a wire in payment of a fine in the amount of $18,750. 12-23-2014 Financial Industry Regulatory Authority, Inc. Censure CivilAdminPenaltyFine No Product Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Market Regulation alleged that during the period of August 2003 through December 2011, Goldman Sachs Execution & Clearing, LP. ("GSEC") failed to: (i) have adequate procedures, including written supervisory procedures, reasonably designed to identify material changes in access and management of certain accounts that were granted an exemption from aggregating options positions by the Intermarket Surveillance Group (ISG) in order to assure that proper notice was given to certain options exchanges (the "Exchanges"); and (ii) provide notice to the Exchanges of any such changes, in alleged violation of NASD Rules 3010 and 2110 (for conduct prior to December 15, 2008) and FINRA Rule 2010 (for conduct on and after December 15, 2008). 12-23-2014 Acceptance Waiver & Consent (AWC) N Y Censure CivilAdminPenaltyFine 18750.00 18750.00 01-09-2015 18750.00 9-C2 9-C4 9-C5 U.S. SECURITIES AND EXCHANGE COMMISSION 3-16665 100 F STREET, NE WASHINGTON DC 20549 WITHOUT ADMITTING OR DENYING THE VIOLATIONS, THE FIRM CONSENTED TO THE ENTRY OF AN ORDER INSTITUTING ADMINISTRATIVE AND CEASE-AND-DESIST PROCEEDINGS, PURSUANT TO SECTIONS 15(B) AND 21C OF THE SECURITIES EXCHANGE ACT OF 1934, MAKING FINDINGS, AND IMPOSING REMEDIAL SANCTIONS AND A CEASE-AND-DESIST ORDER ON JUNE 30, 2015 BY THE SEC PURSUANT TO WHICH THE FIRM: (I) SHALL CEASE AND DESIST FROM COMMITTING OR CAUSING ANY VIOLATIONS AND ANY FUTURE VIOLATIONS OF SECTION 15(C)(3) OF THE EXCHANGE ACT AND RULE 15C3-5 THEREUNDER; (II) IS CENSURED; AND (III) PAID A TOTAL CIVIL MONEY PENALTY OF $7 MILLION ON JUNE 30, 2015. 06-30-2015 U.S. SECURITIES AND EXCHANGE COMMISSION Cease and Desist Censure CivilAdminPenaltyFine Options THE U.S. SECURITIES AND EXCHANGE COMMISSION (THE "SEC") HAS ALLEGED THAT GOLDMAN, SACHS & CO. (THE "FIRM") DID NOT HAVE A SYSTEM OF RISK MANAGEMENT CONTROLS AND SUPERVISORY PROCEDURES REASONABLY DESIGNED TO MANAGE THE FINANCIAL, REGULATORY, AND OTHER RISKS OF MARKET ACCESS IN RELATION TO ITS LISTED EQUITY OPTIONS BUSINESS, WHICH CONTRIBUTED TO THE ENTRY OF ERRONEOUS ELECTRONIC OPTIONS ORDERS ON MULTIPLE OPTIONS EXCHANGES ON AUGUST 20, 2013. THE SEC ALLEGED THAT THE FIRM WILLFULLY VIOLATED SECTION 15(C)(3) OF THE EXCHANGE ACT AND RULE 15C3-5 THEREUNDER IN RELATION TO ITS CONTROLS AND SUPERVISORY PROCEDURES ADDRESSING (I) THE ENTRY OF ORDERS THAT EXCEED APPROPRIATE PRE-SET CREDIT OR CAPITAL THRESHOLDS; (II) THE ENTRY OF ERRONEOUS ORDERS THAT EXCEED APPROPRIATE PRICE OR SIZE PARAMETERS OR THAT INDICATE DUPLICATIVE ORDERS; AND (III) THE MANAGEMENT OF SOFTWARE CHANGES THAT IMPACT ORDER FLOW. 06-30-2015 Order N Y Cease and Desist Censure CivilAdminPenaltyFine 7000000.00 7000000.00 06-30-2015 7000000.00 9-C2 9-C4 9-C5 U.S. SECURITIES AND EXCHANGE COMMISSION 3-16619 100 F STREET, NE WASHINGTON DC 20549 WITHOUT ADMITTING OR DENYING THE VIOLATIONS, THE FIRM CONSENTED TO THE ENTRY OF AN ORDER INSTITUTING ADMINISTRATIVE AND CEASE-AND-DESIST PROCEEDINGS, PURSUANT TO SECTION 8A OF THE SECURITIES ACT OF 1933 AND SECTION 15(B) OF THE SECURITIES EXCHANGE ACT OF 1934, MAKING FINDINGS, AND IMPOSING REMEDIAL SANCTIONS AND A CEASE-AND-DESIST ORDER ON JUNE 18, 2015 BY THE SEC PURSUANT TO WHICH THE FIRM: (I) SHALL CEASE AND DESIST FROM COMMITTING OR CAUSING ANY VIOLATIONS AND ANY FUTURE VIOLATIONS OF SECTION 17(A)(2) OF THE SECURITIES ACT OF 1933; (II) PAID A CIVIL MONEY PENALTY IN THE AMOUNT OF $500,000 ON JUNE 25, 2015; AND (III) SHALL COMPLY WITH THE UNDERTAKINGS ENUMERATED IN THE ORDER. 06-18-2015 U.S. SECURITIES AND EXCHANGE COMMISSION Cease and Desist CivilAdminPenaltyFine Undertaking Debt - Municipal THE U.S. SECURITIES AND EXCHANGE COMMISSION (THE "SEC") HAS ALLEGED THAT GOLDMAN, SACHS & CO. (THE "FIRM") CONDUCTED INADEQUATE DUE DILIGENCE IN CERTAIN OFFERINGS AND, AS A RESULT, FAILED TO FORM A REASONABLE BASIS FOR BELIEVING THE TRUTHFULNESS OF CERTAIN MATERIAL REPRESENTATIONS IN OFFICIAL STATEMENTS ISSUED IN CONNECTION WITH THOSE OFFERINGS. THIS RESULTED IN THE FIRM OFFERING AND SELLING MUNICIPAL SECURITIES ON THE BASIS OF MATERIALLY MISLEADING DISCLOSURE DOCUMENTS. THE SEC ALLEGED THAT THE FIRM WILLFULLY VIOLATED SECTION 17(A)(2) OF THE SECURITIES ACT OF 1933. THE VIOLATIONS DISCUSSED IN THE ORDER WERE SELF-REPORTED BY THE FIRM TO THE SEC PURSUANT TO THE DIVISION OF ENFORCEMENT'S MUNICIPALITIES CONTINUING DISCLOSURE COOPERATION INITIATIVE. 06-18-2015 Order Y Y Cease and Desist CivilAdminPenaltyFine Undertaking Other THE ORDER ALSO REQUIRES THE FIRM TO RETAIN AN INDEPENDENT CONSULTANT TO CONDUCT A REVIEW OF THE FIRM'S POLICIES AND PROCEDURES AS THEY RELATE TO MUNICIPAL SECURITIES UNDERWRITING DUE DILIGENCE AND REQUIRES THE FIRM TO ADOPT THE INDEPENDENT CONSULTANT'S RECOMMENDATIONS (UNLESS THE SEC FINDS A RECOMMENDATION UNDULY BURDENSOME, IMPRACTICAL, OR INAPPROPRIATE, IN WHICH CASE THE FIRM SHALL NOT BE REQUIRED TO ABIDE BY, ADOPT, OR IMPLEMENT THAT RECOMMENDATION). 500000.00 500000.00 06-25-2015 500000.00 9-E2 FINANCIAL INDUSTRY REGULATORY AUTHORITY, INC. 2013037909601 9509 KEY WEST AVENUE ROCKVILLE MD 20850 WITHOUT ADMITTING OR DENYING THE ALLEGATIONS OR FINDINGS, THE FIRM CONSENTED TO A CENSURE, FINE AND UNDERTAKING AND ENTERED INTO A LETTER OF ACCEPTANCE, WAIVER AND CONSENT (AWC) WHICH WAS ACCEPTED BY FINRA ON JUNE 3, 2015, AND ON JULY 9, 2015, THE FIRM SUBMITTED A WIRE IN PAYMENT OF THE FINE IN THE AMOUNT OF $185,000. IN THE UNDERTAKING, THE FIRM CONSENTED TO PROVIDE THREE REPORTS, WRITTEN AND ORAL, TO FINRA ON DATES THAT ARE NO MORE THAN 3 MONTHS, 6 MONTHS, AND 12 MONTHS AFTER THE DATE OF THE NOTICE OF ACCEPTANCE OF THE AWC, REGARDING THE EFFECTIVENESS OF THE FIRM'S WRITTEN SUPERVISORY PROCEDURES WITH RESPECT TO TIMELY SUBMISSION OF ACCURATE REPORTS TO TRACE. 06-03-2015 FINANCIAL INDUSTRY REGULATORY AUTHORITY, INC. Censure CivilAdminPenaltyFine Undertaking Debt - Corporate AGENCY DEBT AND SECURITIZED PRODUCTS FINANCIAL INDUSTRY REGULATORY AUTHORITY, INC. ("FINRA") DEPARTMENT OF MARKET REGULATION ALLEGED THAT: (I) GOLDMAN, SACHS & CO. ("GSCO") FAILED TO TIMELY REPORT TO THE TRADE REPORTING AND COMPLIANCE ENGINE ("TRACE"), CERTAIN TRANSACTIONS IN (A) TRACE-ELIGIBLE CORPORATE DEBT SECURITIES, DURING THE PERIOD OF APRIL 1, 2013 THROUGH JUNE 30, 2013 IN ALLEGED VIOLATION OF FINRA RULES 6730(A) AND 2010; AND (B) SECURITIZED PRODUCTS AND AGENCY DEBT SECURITIES, DURING THE PERIOD OF JANUARY 1, 2014 THROUGH MARCH 31, 2014, EACH IN ALLEGED VIOLATION OF FINRA RULE 6730(A), AND WITH REGARD TO THE TRACE-ELIGIBLE SECURITIZED PRODUCTS, IN ALLEGED VIOLATION OF FINRA RULE 2010; AND (II) GSCO'S WRITTEN SUPERVISORY PROCEDURES FAILED TO PROVIDE FOR THE MINIMUM REQUIREMENTS FOR TIMELY SUBMISSION OF ACCURATE REPORTS TO TRACE, IN ALLEGED VIOLATION OF FINRA RULE 2010 AND NASD RULE 3010. 06-03-2015 Acceptance Waiver & Consent (AWC) N Y Censure CivilAdminPenaltyFine Undertaking 185000.00 185000.00 07-09-2015 185000.00 1 9-D2 Goldman Sachs Saudi Arabia N Capital Market Authority of the Kingdom of Saudi Arabia 161/4/2015 CMA Head Office - King Fahad Road Riyadh T0 11642 GSSA agreed to the payment of a financial penalty to the CMA in the amount of 10,000 Saudi Arabian Riyals (SAR), which was paid by submission of a wire on July 5, 2015. While the actual payment was made in Saudi Arabian Riyals, using the foreign exchange spot rate of SAR1:USD0.2666347 as of July 6, 2015, the equivalent U.S. Dollar value on July 5, 2015 was US$2,666.35, which amount is reflected in Item 12.B. above. The CMA's decision stipulated the need for GSSA to discuss the matter of the violation at the next meeting of the Board of Directors of GSSA and to notify the CMA of the Board's response in this regard. 06-17-2015 Capital Market Authority of the Kingdom of Saudi Arabia CivilAdminPenaltyFine No Product In a letter dated June 17, 2015 to Goldman Sachs Saudi Arabia ("GSSA") from the Kingdom of Saudi Arabia Capital Market Authority (the "CMA"), the CMA informed GSSA of a CMA decision alleging that GSSA was late in notifying the CMA of the resignation of GSSA's chief executive officer, in alleged violation of Article 15 Paragraph A of the CMA Licensees Regulations. 06-17-2015 Decision N Y CivilAdminPenaltyFine Other The CMA's decision stipulated the need for GSSA to discuss the matter of the violation at the next meeting of the Board of Directors of GSSA and to notify the CMA of the Board's response in this regard. 2666.35 2666.35 07-05-2015 2666.35 9-E2 Chicago Board Options Exchange, Incorporated 15-0005 / 20150442706 400 South LaSalle Street Chicago IL 60605 Without admitting or denying the rule violations, allegations or findings, the Firm submitted an offer of settlement to the Committee. On July 16, 2015, the Committee issued a decision accepting the offer of settlement, and on July 30, 2015, the Firm submitted a wire in payment of the fine in the amount of $15,000. 02-26-2015 Chicago Board Options Exchange, Incorporated Censure CivilAdminPenaltyFine No Product Chicago Board Options Exchange, Incorporated ("CBOE") Business Conduct Committee (the "Committee") alleged that Goldman, Sachs & Co. (the "Firm") failed to appropriately register with the CBOE: (i) on various dates between on or about November 5, 2011 through on or about October 10, 2014, five (5) Associated Persons as a Proprietary Trader (PT), and (ii) by November 5, 2011, its Chief Compliance Officer as a Proprietary Trader Compliance Officer (CT), each in alleged violation of CBOE Rule 3.6A. 07-16-2015 Consent Y Censure CivilAdminPenaltyFine 15000.00 15000.00 07-30-2015 15000.00 9-E2 C2 Options Exchange, Incorporated C2 15-0001 / 20150442481 400 South LaSalle Street Chicago IL 60605 Without admitting or denying the rule violations, allegations or findings, the Firm submitted an offer of settlement to the Committee. On July 16, 2015, the Committee issued a decision accepting the offer of settlement, and on July 30, 2015, the Firm submitted a wire in payment of the fine in the amount of $2,500. 02-26-2015 C2 Options Exchange, Incorporated Censure CivilAdminPenaltyFine No Product C2 Options Exchange, Incorporated ("C2") Business Conduct Committee (the "Committee") alleged that, from on or about March 27, 2013 through on or about July 11, 2014, Goldman, Sachs & Co. (the "Firm") failed to appropriately register its Financial and Operations Principal as a Financial and Operations Principal (FN) with C2, in alleged violation of C2 Rule 3.4. 07-16-2015 Consent Y Censure CivilAdminPenaltyFine 2500.00 2500.00 07-30-2015 2500.00 1 9-E2 Goldman Sachs International N ICE Clear Credit LLC 2015-404b-021 353 N. Clark Street Suite 3100 Chicago IL 60654 ICC made a summary assessment against GSI in the amount of $127,000, which amount will be direct debited in the next ICC monthly clearing fee invoice. 07-08-2015 ICE Clear Credit LLC CivilAdminPenaltyFine Derivative(s) ICE Clear Credit LLC ("ICC") alleged that during the month of June 2015, Goldman Sachs International ("GSI") failed to submit certain single name end of day prices and certain index prices in accordance with ICC Rules and Procedures, in alleged violation of ICC Rule 404(b). 07-14-2015 Consent Y CivilAdminPenaltyFine 127000.00 127000.00 ICC made a summary assessment against GSI in the amount of $127,000, which amount will be direct debited in the next ICC monthly clearing fee invoice. 127000.00 9-E2 ICE Clear Credit LLC 2015-404b-020 353 N. Clark Street Suite 3100 Chicago IL 60654 ICC made a summary assessment against the Firm in the amount of $19,000, which amount will be direct debited in the next ICC monthly clearing fee invoice. 07-08-2015 ICE Clear Credit LLC CivilAdminPenaltyFine Derivative(s) ICE Clear Credit LLC ("ICC") alleged that during the month of June 2015, Goldman, Sachs & Co. (the "Firm") failed to submit certain index prices in accordance with ICC Rules and Procedures, in alleged violation of ICC Rule 404(b). 07-14-2015 Consent Y CivilAdminPenaltyFine 19000.00 19000.00 ICC made a summary assessment against the Firm in the amount of $19,000, which amount will be direct debited in the next ICC monthly clearing fee invoice. 19000.00 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Commodity Exchange COMEX 14-9777-BC One North End Avenue New York NY 10282 Without admitting or denying the rule violations, allegations or findings, GSEC submitted a settlement offer to the Panel. On July 16, 2015, the Panel accepted the settlement offer and issued a decision effective on July 20, 2015. On July 27, 2015, GSEC submitted a wire in payment of the fine in the amount of $110,000. 07-20-2015 Commodity Exchange CivilAdminPenaltyFine Futures - Commodity Options A panel of the Commodity Exchange ("COMEX") Business Conduct Committee (the "Panel") accepted a negotiated settlement offer made by Goldman Sachs Execution & Clearing, L.P. ("GSEC") which concerned allegations that two GSEC customers with different beneficial ownership requested that GSEC process the purchase and sale of their gold futures and options book, and that on February 27, 2013, GSEC processed their transaction as a transfer of the relevant futures and options contracts between their accounts at GSEC without obtaining the approval of COMEX, in alleged violation of COMEX Rule 853.A. 07-20-2015 Consent Y CivilAdminPenaltyFine 110000.00 110000.00 07-27-2015 110000.00 1 9-D2 Goldman Sachs International N Government Debt Management Agency Private Company Limited by Shares None H-1027 Budapest Csalogany utca K5 9-11 The AKK imposed a fine on GSI in the amount of HUF$500,000, which was paid by submission of a wire on August 13, 2015. While the actual payment was made in Hungarian Forints, using the foreign exchange spot rate of HUF$0.0035898:USD$1 as of August 13, 2015, the equivalent U.S. Dollar value on August 13, 2015 was USD$1794.90, which amount is reflected in Item 12.B. above. 07-20-2015 Government Debt Management Agency Private Company Limited by Shares CivilAdminPenaltyFine Debt - Government Government Debt Management Agency Private Company Limited by Shares ("AKK") alleged that during the month of June 2015, Goldman Sachs International ("GSI") failed to meet primary dealer quoting obligations in accordance with the Agency Contract between GSI and AKK and the relevant market making rules. 07-20-2015 Decision Y CivilAdminPenaltyFine 1794.90 1794.90 08-13-2015 1794.90 1 9-D2 Goldman Sachs do Brasil Banco Multiplo S.A. N ANBIMA - Brazilian Financial and Capital Markets Association 005/2015 Av. das Nacoes Unidas, 8501 21st Floor Sao Paulo - SP D5 05425-070 Without admitting or denying the rule violation, ANBIMA and GSBR entered into a settlement agreement on July 22, 2015, in which GSBR agreed to: (i) ensure full compliance with all provisions of the ANBIMA's Code of Funds, specifically with respect to matters relating to the PAI; (ii) adopt additional internal controls relating to governance and management of the Fund and conduct related training with submission to ANBIMA of a list of attendees of the training once completed; (iii) refrain from preparation of any material for distribution, solicitation, advertisement or any other material intended to solicit new shareholders for the Fund; and (iv) refrain from using the Fund's performance track record in the marketing material of any other fund managed by GSBR for a period of twelve (12) months. In addition, GSBR agreed to make a financial payment to ANBIMA in the amount of five hundred thousand Reais (BRL$500,000.00), which amount was paid by GSBR on August 3, 2015. While the actual payment was made in Brazilian Reais, using the most recently published Federal Reserve foreign exchange rate of BRL$3.4487:USD$1 as of August 3, 2015, the equivalent U.S. Dollar value on August 3, 2015 was USD$144,982.17, which amount is reflected in Item 12.B. above. 07-22-2015 ANBIMA - Brazilian Financial and Capital Markets Association CivilAdminPenaltyFine Undertaking No Product Brazilian Financial and Capital Markets Association ("ANBIMA") filed a Proceeding for Investigation of Irregularities ("PAI") to investigate whether Goldman Sachs do Brasil Banco Multiplo S.A. ("GSBR") may have violated Article 27, Paragraph 3, V of the ANBIMA Code of Regulation and Best Practices to Investment Funds (Codigo ANBIMA de Regulacao e Melhores Praticas para Fundos de Investimento, "ANBIMA's Code of Funds") in connection with GSBR's tax treatment of payments of interest on capital in connection with stock lending trades involving a Brazilian investment fund managed by GSBR (the "Fund"). 07-22-2015 Settled Y CivilAdminPenaltyFine Undertaking 144982.17 144982.17 08-03-2015 144982.17 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Financial Industry Regulatory Authority, Inc. 2013037867101 1735 K Street Washington DC 20006 Without admitting or denying the allegations or findings, GSEC consented to a censure, a fine, and an undertaking requiring GSEC to address the OATS and TRF reporting deficiencies described above to ensure that GSEC has implemented procedures that are reasonably designed to achieve compliance with the rules and regulations cited, and entered into a Letter of Acceptance, Waiver and Consent (AWC) which was accepted by FINRA on July 24, 2015, and on August 12, 2015, GSEC submitted a wire in payment of the fine in the amount of $1,800,000. 07-24-2015 Financial Industry Regulatory Authority, Inc. Censure CivilAdminPenaltyFine Undertaking Other Unspecified Securities Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Market Regulation alleged that: (A) Goldman Sachs Execution & Clearing, L.P. ("GSEC") (i) between July 14, 2006 and July 30, 2013, failed to transmit to the Order Audit Trail System ("OATS") certain Reportable Order Events ("ROEs") under GSEC's "SGMA" Market Participant Identifier ("MPID") for its Alternative Trading System ("ATS"), in alleged violation of NASD Rule 6955 (for conduct that occurred prior to December 15, 2008) and FINRA Rule 7450 (for conduct that occurred on and after December 15, 2008); (ii) between July 14, 2006 and March 9, 2015, transmitted to OATS certain inaccurate and/or incomplete required ROE data elements, in alleged violation of NASD Rule 6954 (for conduct that occurred prior to December 15, 2008) and FINRA Rule 7440 (for conduct that occurred on and after December 15, 2008); (iii) between April 7, 2014 and February 13, 2015, transmitted to OATS certain ROEs under GSEC's SGMA MPID that failed to report order event timestamps in milliseconds when GSEC's ATS captured time in milliseconds, in alleged violation of FINRA Rule 7450; (iv) between November 10, 2014 and February 13, 2015, submitted certain trade reports to the FINRA/NYSE Trade Reporting Facility ("TRF") under the SGMA MPID that failed to report execution timestamps in milliseconds, in alleged violation of FINRA Rule 6380B(c)(5); (v) during all the above-referenced review periods, failed to have adequate supervisory procedures reasonably designed to achieve compliance with NASD Rules 6954 and 6955 and FINRA Rules 7440, 7450 and 6380B(c)(5) in connection with the deficiencies described; and (B) the conduct described above constituted violations of NASD Rule 3010 (for conduct that occurred prior to December 1, 2014), FINRA Rule 3110 (for conduct that occurred on and after December 1, 2014), NASD Rule 2110 (for conduct that occurred prior to December 15, 2008) and FINRA Rule 2010 (for conduct that occurred on and after December 15, 2008). 07-24-2015 Acceptance Waiver & Consent (AWC) Y Censure CivilAdminPenaltyFine Undertaking 1800000.00 1800000.00 08-12-2015 1800000.00 1 9-D2 Goldman Sachs International N Goldman, Sachs & Co. 361 1818621 1 9-E2 J. Aron & Company N Goldman, Sachs & Co. 361 1818622 9-E2 ICE Clear Credit LLC 2015-404b-039 353 N. Clark Street Suite 3100 Chicago IL 60654 ICC made a summary assessment against the Firm in the amount of $1,000, which amount is direct debited in the next ICC monthly clearing fee invoice. 10-06-2015 ICE Clear Credit LLC CivilAdminPenaltyFine Derivative(s) ICE Clear Credit, LLC ("ICC") alleged that during the month of September 2015, Goldman, Sachs & Co. (the "Firm") failed to submit one (1) index end of day price in accordance with ICC Rules and Procedures, in alleged violation of ICC Rule 404(b). 10-19-2015 Consent Y CivilAdminPenaltyFine 1000.00 1000.00 ICC made a summary assessment against the Firm in the amount of $1,000, which amount is direct debited in the next ICC monthly clearing fee invoice. 1000.00 1 9-E2 Goldman Sachs International N ICE Clear Credit LLC 2015-404b-038 353 N. Clark Street Suite 3100 Chicago, IL 60654 ICC made a summary assessment against GSI in the amount of $7,000, which amount is direct debited in the next ICC monthly clearing fee invoice. 10-06-2015 ICE Clear Credit LLC CivilAdminPenaltyFine Derivative(s) ICE Clear Credit, LLC ("ICC") alleged that during the month of September 2015, Goldman Sachs International ("GSI") failed to submit seven (7) index end of day prices in accordance with ICC Rules and Procedures, in alleged violation of ICC Rule 404(b). 10-19-2015 Consent Y CivilAdminPenaltyFine 7000.00 7000.00 ICC made a summary assessment against GSI in the amount of $7,000, which amount is direct debited in the next ICC monthly clearing fee invoice. 7000.00 1 9-D2 9-D4 9-D5 Goldman, Sachs & Co. 361 1846017 The Goldman Sachs Group, Inc. N Goldman, Sachs & Co. 361 1846017 1 9-D2 The Goldman Sachs Group, Inc. N Goldman, Sachs & Co. 361 1856467 1 9-D2 Goldman Sachs International N Goldman, Sachs & Co. 361 1818621 9-E2 Goldman, Sachs & Co. 361 1859639 9-C2 9-C4 9-C5 Goldman, Sachs & Co. 361 1862186 1 9-D2 Goldman Sachs (Asia) L.L.C. N Goldman, Sachs & Co. 361 1868848 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1873218 9-E2 ICE Futures U.S., Inc. 2015-106 55 E 52nd St. New York NY 10055 The Summary Fine, in the amount of $2,000, was paid by submission of a wire on March 31, 2016. 03-17-2016 ICE Futures U.S., Inc. CivilAdminPenaltyFine No Product ICE Futures U.S., Inc. ("IFUS") Market Regulation Department issued a Summary Fine, dated March 17, 2016, to Goldman, Sachs & Co. (the "Firm"), stating that the Firm may have violated IFUS Rule 6.10 by failing to ensure that the proper Customer Type Indicator (CTI) code was affixed to certain orders entered between May and August 2015. 03-17-2016 Decision Y CivilAdminPenaltyFine 2000.00 2000.00 03-31-2016 2000.00 9-E2 Goldman, Sachs & Co. 361 1875181 9-E2 Goldman, Sachs & Co. 361 1875601 9-E2 Goldman, Sachs & Co. 361 1882468 1 9-D2 Goldman Sachs Saudi Arabia N Goldman, Sachs & Co. 361 1886053 9-E2 Goldman, Sachs & Co. 361 1891791 1 9-D4 9-D5 Goldman, Sachs & Co. 361 1897440 The Goldman Sachs Group, Inc. N Goldman, Sachs & Co. 361 1897440 1 9-D2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1901548 1 9-E2 Goldman Sachs Asset Management, L.P. Y 801-37591 Goldman, Sachs & Co. 361 1907118 9-C2 9-C4 9-C5 Goldman, Sachs & Co. 361 1915199 1 9-E2 Goldman Sachs Execution & Clearing, L.P. Y 008-00526 Goldman Sachs Execution & Clearing, L.P. 3466 1922714 9-D2 Goldman, Sachs & Co. 361 1929672 1 9-G Goldman Sachs International N Federal Financial Supervisory Authority of Germany (Bundesanstalt fur Finanzdienstleistungsaufsicht - "BaFin") GZ: WA 17-Wp 3120-2016/0060 Marie-Curie-Str. 24-28 Frankfurt 2M 60439 GSI is reviewing, and provided a written response to BaFin on May 30, 2017. 05-02-2017 Federal Financial Supervisory Authority of Germany (Bundesanstalt fur Finanzdienstleistungsaufsicht - "BaFin") CivilAdminPenaltyFine Equity Listed (Common & Preferred Stock) BaFin has alleged certain breaches by Goldman Sachs International ("GSI") in May 2016 of sections 21(1) and 25(1) of the German Securities TRading Act (Wertpapierhandelsgesetz - "WpHG") as a result of GSI's late submission of a shareholder voting rights notification. 05-02-2017 1 9-D4 Goldman Sachs (India) Securities Private Limited N Goldman Sachs & Co. LLC 361 1941617 9-E2 Goldman Sachs & Co. LLC 361 1941756 9-E2 Goldman Sachs & Co. LLC 361 1946884 9-E2 Goldman Sachs & Co. LLC 361 1946885 1 9-G Goldman Sachs International N Goldman Sachs & Co. LLC 361 1954930 9-E2 Goldman Sachs & Co. LLC 361 1956889 9-E2 Goldman Sachs & Co. LLC 361 1962381 9-E2 Goldman Sachs & Co. LLC 361 1961063 1 9-D4 Goldman Sachs Bank USA N Goldman Sachs & Co. LLC 361 1967939 2 9-D4 Goldman Sachs Bank USA N Goldman Sachs & Co. LLC 361 1967938 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 1967938 9-E2 Goldman Sachs & Co. LLC 361 1976967 9-E2 Goldman Sachs & Co. LLC 361 1978013 1 9-D4 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 1980138 2 9-D2 9-D4 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 1980140 Goldman Sachs Bank USA N Goldman Sachs & Co. LLC 361 1980140 1 9-D2 9-D4 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 1966983 1 9-D2 GOLDMAN SACHS INTERNATIONAL N Goldman Sachs & Co. LLC 361 2007759 9-E2 NA 20140406430 NA NA NA XX NA Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Enforcement on behalf of NYSE Regulation alleged that Goldman Sachs Execution and Clearing L.P. ("GSEC"), a former affiliate of Goldman Sachs & Co. LLC (the "Firm") failed to establish and maintain a supervisory system reasonably designed to ensure compliance with Section 15(c)(3) of the Securities and Exchange Act of 1934 and Rule 15c3-5 thereunder in alleged violation of NYSE Arca Equities Rule 6.18. On June 12, 2017, GSEC and the Firm consummated a merger of GSEC with and into the Firm (the "Merger"), with the Firm surviving the Merger and assuming any remaining GSEC assets, liabilities and operations. On June 13, 2017, GSEC filed a Uniform Request Withdrawal from Broker-Dealer Registration (Form BDW) with the Securities and Exchange Commission, which became effective on August 11, 2017. 03-04-2019 NYSE Arca, Inc. CivilAdminPenaltyFine No Product Financial Industry Regulatory Authority, Inc. ("FINRA") Department of Enforcement on behalf of NYSE Regulation alleged that Goldman Sachs Execution and Clearing L.P. ("GSEC"), a former affiliate of Goldman Sachs & Co. LLC (the "Firm") failed to establish and maintain a supervisory system reasonably designed to ensure compliance with Section 15(c)(3) of the Securities and Exchange Act of 1934 and Rule 15c3-5 thereunder in alleged violation of NYSE Arca Equities Rule 6.18. On June 12, 2017, GSEC and the Firm consummated a merger of GSEC with and into the Firm (the "Merger"), with the Firm surviving the Merger and assuming any remaining GSEC assets, liabilities and operations. On June 13, 2017, GSEC filed a Uniform Request Withdrawal from Broker-Dealer Registration (Form BDW) with the Securities and Exchange Commission, which became effective on August 11, 2017. 03-04-2019 Consent Y CivilAdminPenaltyFine 3500.00 3500.00 03-19-2019 3500.00 1 9-D2 GOLDMAN SACHS INDIA INVESTMENTS (SINGAPORE) PTE. LTD. N GOLDMAN SACHS & CO. LLC 361 2024336 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2029275 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2029276 9-D2 GOLDMAN SACHS & CO. LLC 361 2034829 1 9-D2 GOLDMAN SACHS INTERNATIONAL N NA NA NA NA NA K5 NA AKK - ALLAMADOSSAG KEZELO KOZPONT ZARTKORUEN MUKODO RESZVENYTARSASAG ALLEGED THAT DURING THE FIRST HALF OF THE CALENDAR YEAR 2019, GOLDMAN SACHS INTERNATIONAL (GSI) FAILED TO MEET ITS PRIMARY DEALER QUOTING OBLIGATIONS IN ACCORDANCE WITH THE AGENCY CONTRACT BETWEEN GSI AND AKK AND THE RELEVANT MARKET MAKING RULES. THE AKK IMPOSED A FINE ON GSI IN THE AMOUNT OF HUF 500,000, WHICH WAS PAID BY SUBMISSION OF A WIRE ON AUGUST 1, 2019. WHILE THE ACTUAL PAYMENT WAS MADE IN HUNGARIAN FORINTS, USING THE FOREIGN EXCHANGE SPOT RATE OF I USD = HUF 292.31 AS OF AUGUST 1, 2019, THE EQUIVALENT U.S. DOLLAR VALUE ON AUGUST 1, 2019 WAS USD 1710.50. 07-02-2019 AKK - ALLAMADOSSAG KEZELO KOZPONT ZARTKORUEN MUKODO RESZVENYTARSASAG CivilAdminPenaltyFine Debt - Government AKK - ALLAMADOSSAG KEZELO KOZPONT ZARTKORUEN MUKODO RESZVENYTARSASAG ALLEGED THAT DURING THE FIRST HALF OF THE CALENDAR YEAR 2019, GOLDMAN SACHS INTERNATIONAL (GSI) FAILED TO MEET ITS PRIMARY DEALER QUOTING OBLIGATIONS IN ACCORDANCE WITH THE AGENCY CONTRACT BETWEEN GSI AND AKK AND THE RELEVANT MARKET MAKING RULES. 08-01-2019 Decision N N 1 9-D2 GOLDMAN SACHS GROUP, INC. N GOLDMAN SACHS & CO. LLC 361 2050401 9-E2 GOLDMAN SACHS & CO. LLC 361 2056875 9-C2 9-C4 9-C5 GOLDMAN SACHS & CO. LLC 361 2054562 9-E2 Goldman Sachs & Co. LLC 361 2056781 9-E2 GOLDMAN SACHS & CO. LLC 361 2073063 9-E2 ICE FUTURES U.S. 2019-033 353 NORTH CLARK STREET SUITE 3100 CHICAGO IL 60654 THE FINE IMPOSED BY IFUS WAS IN THE AMOUNT OF $10,000, WHICH WAS PAID IN FULL BY GSCO BY WIRE ON MAY 28, 2020. 05-08-2020 ICE FUTURES U.S. CivilAdminPenaltyFine Futures - Commodity ON MAY 8, 2020, THE ICE FUTURES U.S. ("IFUS" OR "EXCHANGE") MARKET REGULATION DEPARTMENT NOTIFIED GOLDMAN SACHS & CO. LLC ("GSCO") THAT IT WAS ISSUED A SUMMARY FINE IN THE AMOUNT OF $10,000 PURSUANT TO IFUS RULE 21.02. THE EXCHANGE ALLEGES THAT IN SEVEN INSTANCES, GSCO APPEARED TO HAVE BEEN IN VIOLATION OF IFUS RULE 6.15(A) WHEN IT FAILED TO ACCURATELY SUBMIT REPORTABLE POSITIONS TO THE EXCHANGE. 05-28-2020 Consent N 1 9-D2 GOLDMAN SACHS MEXICO, CASA DE BOLSA, S.A. DE C.V N NATIONAL BANKING AND SECURITIES COMMISSION 211-2/81637-RDGH/2020 Insurgentes Sur No. 1971 Col. Gudalupe Inn, Alvaro Obregon Mexico City O5 01020 MCBO FILED AN ADMINISTRATIVE APPEAL WITH THE CNBV ON SEPTEMBER 10, 2020. PENDING RESOLUTION. 08-19-2020 NATIONAL BANKING AND SECURITIES COMMISSION CivilAdminPenaltyFine No Product ON AUGUST 19, 2020, GOLDMAN SACHS MEXICO, S.A. DE C.V. CASA DE BOLSA ("MCBO") RECEIVED A FINE IMPOSED BY THE NATIONAL BANKING AND SECURITIES COMMISSION (COMISION NACIONAL BANCARIA Y DE VALORES - "CNBV") OF $403,000 PESOS (APPROXIMATELY USD $18,500), FOR AN ALLEGED VIOLATION OF ARTICLE 212, PARAGRAPH ONE, SUB-SECTION I, OF THE LMV AND ARTICLE 19-2. CNBV ALLEGES MCBO FAILED TO MAINTAIN AN APPROPRIATE FINANCIAL CRIMES RISK ASSESSMENT POLICY. MCBO FILED AN ADMINISTRATIVE APPEAL WITH THE CNBV ON SEPTEMBER 10, 2020. NATIONAL BANKING AND SECURITIES COMMISSION 211-2/81637-RDGH/2020 Insurgentes Sur No. 1971 Col. Gudalupe Inn, Alvaro Obregon Mexico City O5 01020 211-2/81637-RDGH/2020 09-10-2020 MCBO FILED AN ADMINISTRATIVE APPEAL WITH THE CNBV ON SEPTEMBER 10, 2020. PENDING RESOLUTION. 09-10-2020 Appealed Other MCBO FILED AN ADMINISTRATIVE APPEAL WITH THE CNBV ON SEPTEMBER 10, 2020. PENDING RESOLUTION. N 1 9-E2 FOLIO INVESTMENTS, INC. Y 008-52009 GOLDMAN SACHS & CO. LLC 361 2093142 1 9-D2 9-D4 Goldman Sachs International N Goldman Sachs & Co. LLC 361 2094895 1 9-D2 9-D4 Goldman Sachs International N Goldman Sachs & Co. LLC 361 2094896 1 9-D2 9-D4 Goldman Sachs (Singapore) Pte N Goldman Sachs & Co. LLC 361 2094897 1 9-D4 Goldman Sachs (Singapore) Pte N Goldman Sachs & Co. LLC 361 2094898 1 9-D2 9-D4 Goldman Sachs (Asia) L.L.C. N Goldman Sachs & Co. LLC 361 2094899 1 9-D2 9-D4 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 2094892 1 9-D2 9-D4 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 2094893 1 9-C2 9-C4 9-C5 The Goldman Sachs Group, Inc. N Goldman Sachs & Co. LLC 361 2094894 1 9-E2 GOLDMAN SACHS INTERNATIONAL N BLOOMBERG SEF LLC None 731 LEXINGTON AVENUE NEW YORK NY 10022 THE FINE IMPOSED BY BSEF WAS IN THE AMOUNT OF $1,250, WHICH WAS PAID IN FULL BY GSI BY WIRE ON DECEMBER 21, 2020. 11-11-2020 BLOOMBERG SEF LLC CivilAdminPenaltyFine Swap ON NOVEMBER 11, 2020, BLOOMBERG SEF LLC ("BSEF") NOTIFIED GOLDMAN SACHS INTERNATIONAL ("GSI") THAT IT HAD COMPLETED ITS INQUIRY AND CONCLUDED THAT GSI VIOLATED BSEF RULE 531.A(D) BY SUBMITTING BLOCK TRADES TO BSEF MORE THAN 10 MINUTES AFTER THE TIME THE PARTICIPANTS AGREED TO THE TERMS OF THE BLOCK TRADES. AS THIS WAS GSI'S SECOND SUCH VIOLATION WITHIN A 12-MONTH PERIOD, BSEF IMPOSED A FINE OF $1,250. 12-21-2020 Decision N 9-E2 GOLDMAN SACHS & CO. LLC 361 2107437 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2111044 9-G GOLDMAN SACHS & CO. LLC 361 2125303 1 9-G GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2125302 9-E2 CME GROUP INC. 21-0605 20 SOUTH WACKER DRIVE CHICAGO IL 60606 CME IMPOSED A FINE IN THE AMOUNT OF $2,500, WHICH GSCO PAID BY SUBMISSION OF A WIRE ON MAY 20, 2021. 04-26-2021 CME GROUP INC. CivilAdminPenaltyFine No Product ON MAY 19, 2021, THE MARKET REGULATION DEPARTMENT OF THE CME GROUP INC. ("CME") DETERMINED THAT GOLDMAN SACHS & CO. LLC ("GSCO") TRADE DATA REVIEWED DURING ITS AUDIT OF TRADE DATES DECEMBER 2, 2020 THROUGH JANUARY 29, 2021 REFLECTED A COMPUTERIZED TRADE RECONSTRUCTION ERROR RATE IN EXCESS OF THE APPLICABLE 10% THRESHOLD LEVELS, SET FORTH IN CME RULE 536.F. 05-20-2021 Decision Y CivilAdminPenaltyFine 2500.00 2500.00 05-20-2021 2500.00 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2140491 1 9-D2 GOLDMAN SACHS & CO. LLC 361 2118900 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2118900 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2122304 1 9-D2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2130312 9-E2 GOLDMAN SACHS & CO. LLC 361 2132435 9-E2 GOLDMAN SACHS & CO. LLC 361 2136751 2 9-G GOLDMAN SACHS DO BRASIL BANCO MULTIPLO S.A. N GOLDMAN SACHS & CO. LLC 361 2136752 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS INTERNATIONAL 361 2136752 9-E2 CME GROUP INC. RSRH-21-6265 20 SOUTH WACKER DRIVE CHICAGO IL 60606 CME IMPOSED A FINE IN THE AMOUNT OF $1,500, WHICH GSCO PAID BY SUBMISSION OF A WIRE ON JULY 28, 2021. 07-14-2021 CME GROUP INC. CivilAdminPenaltyFine Futures - Commodity ON JULY 14, 2021, THE MARKET REGULATION DEPARTMENT OF THE CME GROUP INC. ("CME") DETERMINED THAT GOLDMAN SACHS & CO. LLC ("GSCO") VIOLATED CME RULE 561 FOR LATE ADJUSTMENTS TO LARGE TRADER REPORTING OF LISTED FUTURES POSITIONS IN JUNE 2021. 07-28-2021 Decision N 9-E2 CME GROUP INC. RSRH-21-6304 20 SOUTH WACKER DRIVE CHICAGO IL 60606 CME IMPOSED A FINE IN THE AMOUNT OF $2,500, WHICH GSCO PAID BY SUBMISSION OF A WIRE ON AUGUST 20, 2021. 08-10-2021 CME GROUP INC. CivilAdminPenaltyFine Futures - Commodity IN A NOTICE DATED AUGUST 10, 2021, THE MARKET REGULATION DEPARTMENT OF THE CME GROUP INC. ("CME") IDENTIFIED A REPORTING INFRACTION RELATED TO A REDUCTION OF OPEN INTEREST OF A FUTURES POSITION BY GOLDMAN SACHS & CO. LLC ("GSCO") IN VIOLATION OF RULE 854, CONCURRENT LONG AND SHORT POSITIONS. 08-20-2021 Decision N 1 9-D2 GOLDMAN SACHS (SINGAPORE) PTE. N GOLDMAN SACHS & CO. LLC 361 2160488 1 9-D2 GOLDMAN SACHS INVESTMENTS (MAURITIUS) I LIMITED N GOLDMAN SACHS & CO. LLC 361 2160487 1 9-D2 9-D4 GOLDMAN SACHS BANK EUROPE SE N GOLDMAN SACHS & CO. LLC 361 2160486 9-E2 CME GROUP INC. RSRH-21-6403 20 SOUTH WACKER DR. CHICAGO IL 60606 CME IMPOSED A SUMMARY FINE IN THE AMOUNT OF $2,500, WHICH GSCO PAID BY SUBMISSION OF A WIRE ON NOVEMBER 23, 2021. 11-11-2021 CME GROUP INC. CivilAdminPenaltyFine Futures - Commodity ON NOVEMBER 11, 2021, THE MARKET REGULATION DEPARTMENT OF THE CME GROUP INC. ("CME") DETERMINED THAT GOLDMAN SACHS & CO. LLC ("GSCO") VIOLATED CME RULE 561 FOR LATE ADJUSTMENTS TO LARGE TRADER REPORTING OF CERTAIN LISTED FUTURES AND OPTIONS POSITIONS ON SIX TRADE DATES IN POSITIONS IN OCTOBER 2021. 11-23-2021 Decision N 9-G FINANCIAL INDUSTRY REGULATORY AUTHORITY 20190610611 15200 OMEGA DRIVE ROCKVILLE MD 20850 GSCO ACKNOWLEDGED THE NOTICE ON DECEMBER 15, 2021 AND IS IN CURRENT DISCUSSIONS WITH FINRA AND CBOE. 12-07-2021 FINANCIAL INDUSTRY REGULATORY AUTHORITY Other PENDING Options ON DECEMBER 7, 2021, GOLDMAN SACHS & CO. LLC ("GSCO") RECEIVED A NOTICE FROM FINRA'S DEPARTMENT OF ENFORCEMENT, ON BEHALF OF CBOE EXCHANGE, INC. ("CBOE"). DURING GSCO'S 2019 CYCLE OPTIONS EXAMINATION, THEY IDENTIFIED A POTENTIAL VIOLATION RELATING TO THE FIRM'S FAILURE TO ESTABLISH, MAINTAIN AND ENFORCE A SUPERVISORY SYSTEM RELATED TO THE RECORDING OF TRANSMITTAL TIMES FOR OPTIONS ORDERS MANUALLY ROUTED TO FLOOR BROKERS. 12-13-2021 9-G ICE CLEAR CREDIT LLC 2022-401(i)-001 353 NORTH CLARK STREET, SUITE 3100 CHICAGO IL 60654 ON MARCH 10, 2022, GSCO RESPONDED TO ICE'S ALLEGATIONS AND IS PENDING A FINAL DECISION FROM ICE. 02-23-2022 ICE CLEAR CREDIT LLC Other PENDING No Product ON FEBRUARY 23, 2022, ICE CLEAR CREDIT LLC ("ICE") ALLEGED THAT A GOLDMAN SACHS & CO. LLC ("GSCO") MARGIN CALL PAYMENT WAS RECEIVED NINE MINUTES AFTER THE REQUIRED DEADLINE RESULTING IN A TECHNICAL DEFAULT IN VIOLATION OF ICE CLEAR CREDIT RULE 401(I). 02-23-2022 1 9-D1 9-D2 9-D4 GREENSKY, LLC N CONSUMER FINANCIAL PROTECTION BUREAU 2021-CFPB-0004 1700 G STREET NW WASHINGTON D.C. DC 20552 WITHOUT ADMITTING OR DENYING ANY OF THE FINDINGS OF FACT OR CONCLUSIONS, GREENSKY AGREED TO THE ISSUANCE OF THE CONSENT ORDER WHICH WILL TERMINATE FIVE YEARS AFTER THE EFFECTIVE DATE OF JULY 12, 2021, BARRING ANY FURTHER VIOLATIONS. GREENSKY IS TO PAY REDRESS TO CONSUMERS IDENTIFIED BY THE CONSENT ORDER AS BEING IMPACTED BY THE VIOLATIONS IN A TOTAL AMOUNT TO NOT BE LESS THAN $750,000 AND TO NOT EXCEED $3,000,000, AND LOAN CANCELLATIONS IN AN AMOUNT NO MORE THAN $6,000,000. IN ADDITION, A CIVIL PENALTY OF $2,5000,000 WAS ORDERED TO BE PAID TO THE CFPB. GREENSKY WAS ORDERED TO IMPLEMENT ADDITIONAL COMPLIANCE MEASURES TO PREVENT FURTHER VIOLATIONS INCLUDING THE ESTABLISHMENT OF A COMPLIANCE COMMITTEE TO BE RESPONSIBLE FOR MONITORING AND COORDINATING GREENSKY'S ADHERENCE TO THE PROVISIONS OF THE CONSENT ORDER FOR THE EFFECTIVE TIME PERIOD. 07-12-2021 GOLDMAN SACHS & CO. LLC BECAME AN AFFILIATE OF GREENSKY, LLC ON MARCH 29, 2022. CONSUMER FINANCIAL PROTECTION BUREAU CivilAdminPenaltyFine Other LOANS ON JULY 12, 2021, THE CONSUMER FINANCIAL PROTECTION BUREAU ("CFPB") ENTERED A CONSENT ORDER AGAINST GREENSKY LLC ("GREENSKY") AFTER DETERMINING GREENSKY VIOLATED SECTIONS 1031(A) AND 1036(A)(1)(B) OF THE CONSUMER FINANCIAL PROTECTION ACT. FROM MARCH 2014 THROUGH JULY 2021, THE CFPB IDENTIFIED MULTIPLE INSTANCES OF GREENSKY ENGAGING IN UNFAIR ACTS AND PRACTICES WITH REGARD TO LOANS TO CONSUMERS WHO DID NOT AUTHORIZE THEM AND BY STRUCTURING ITS LOAN ORIGINATION AND SERVICING ACTIVITIES IN A MANNER THAT ENABLED UNAUTHORIZED LOANS. 07-12-2021 Order Y Y Restitution CivilAdminPenaltyFine 2500000.00 2500000.00 07-19-2021 2500000.00 9-E2 NATIONAL FUTURES ASSOCIATION 22-BCC-003 300 S. Riverside Plaza, #1800 CHICAGO IL 60606 GOLDMAN SACHS & CO. LLC MADE AN OFFER TO SETTLE THE MATTER, WITHOUT ADMITTING OR DENYING LIABILITY, BY PAYING A FINE OF $2,500,000 TO NFA. ON MARCH 31, 2022, THE BCC ACCEPTED THE OFFER, AND ISSUED A DECISION (EFFECTIVE ON APRIL 15, 2022) ORDERING GOLDMAN SACHS & CO. LLC TO PAY A FINE IN THAT AMOUNT. AS PART OF A SIDE LETTER EXECUTED IN CONNECTION WITH THE OFFER, THE FIRM AND NFA ALSO AGREED TO ADDITIONAL TERMS AND CONDITIONS WITH REGARD TO A SEPARATE SET OF ISSUES SELF-DISCLOSED TO NFA. 03-31-2022 NATIONAL FUTURES ASSOCIATION CivilAdminPenaltyFine Undertaking No Product ON MARCH 31, 2022, IN CONJUNCTION WITH ACCEPTING GOLDMAN SACHS & CO. LLC'S OFFER TO SETTLE THE MATTER, THE NFA'S BUSINESS CONDUCT COMMITTEE ("BCC") ISSUED A COMPLAINT AGAINST THE FIRM ALLEGING VIOLATIONS OF NFA RULE 2-49(A), FOR FAILURE TO COMPLY WITH CERTAIN REQUIREMENTS UNDER CFTC REGULATION 23, AND NFA RULE 2-49(B), FOR FAILING TO PROMPTLY SUBMIT ACCURATE AND COMPLETE INFORMATION AS REQUIRED BY THE NFA. 04-15-2022 Decision Y CivilAdminPenaltyFine Undertaking 2500000.00 2500000.00 THE EFFECTIVE DATE OF THE INVOICE IS APRIL 15, 2022 AND GOLDMAN SACHS & CO. LLC HAS UNTIL MAY 15, 2022 TO PAY THE AMOUNT IN FULL. 2500000.00 9-E2 GOLDMAN SACHS & CO. LLC 361 2198941 9-E2 GOLDMAN SACHS & CO. LLC 361 2198938 9-E2 GOLDMAN SACHS & CO. LLC 361 2198016 9-E2 GOLDMAN SACHS & CO. LLC 361 2198013 9-E2 GOLDMAN SACHS & CO. LLC 361 2197898 9-E2 GOLDMAN SACHS & CO. LLC 361 2197896 9-E2 GOLDMAN SACHS & CO. LLC 361 2197884 9-E2 GOLDMAN SACHS & CO. LLC 361 2197741 9-E2 GOLDMAN SACHS & CO. LLC 361 2196513 9-E2 GOLDMAN SACHS & CO. LLC 361 2196512 9-E2 GOLDMAN SACHS & CO. LLC 361 2196511 9-E2 GOLDMAN SACHS & CO. LLC 361 2196510 9-E2 GOLDMAN SACHS & CO. LLC 361 2193636 9-E2 GOLDMAN SACHS & CO. LLC 361 2193625 9-E2 GOLDMAN SACHS & CO. LLC 361 2193582 9-G GOLDMAN SACHS & CO. LLC 361 2203710 9-G GOLDMAN SACHS & CO. LLC 361 2203711 9-G GOLDMAN SACHS & CO. LLC 361 2203712 9-G GOLDMAN SACHS & CO. LLC 361 2203713 9-G GOLDMAN SACHS & CO. LLC 361 2203714 9-E2 GOLDMAN SACHS & CO. LLC 361 2203709 1 9-E2 J. ARON & COMPANY LLC N CME Center 19-1158-BC 20 South Wacker Drive Chicago IL 60606 PURSUANT TO AN OFFER OF SETTLEMENT, IN WHICH J. ARON NEITHER ADMITTED NOR DENIED THE RULE VIOLATIONS UPON WHICH THE PENALTY IS BASED, J. ARON AGREED TO PAY A FINE IN THE AMOUNT OF $125,000 AND TO DISGORGE PROFITS IN THE AMOUNT OF $10,825. THE FINE WAS PAID IN FULL BY SUBMISSION OF A WIRE ON JUNE 2, 2022. 05-17-2022 CME GROUP INC. Disgorgement CivilAdminPenaltyFine Futures - Commodity ON MAY 17, 2022, A PANEL OF THE COMMODITY EXCHANGE (COMEX) BUSINESS CONDUCT COMMITTEE FOUND THAT, ON SEVERAL OCCASIONS IN MAY 2020 AND JULY 2020, J. ARON & COMPANY LLC ("J. ARON"), PRIOR TO ENGAGING IN ANY PRE-HEDGING ACTIVITY, FAILED TO MAKE CLEAR TO ITS COUNTERPARTY THAT IT WAS TRADING PRINCIPALLY THEREBY VIOLATING COMEX RULE 526. 06-02-2022 Settled N 1 9-E2 GOLDMAN SACHS INTERNATIONAL N GOLDMAN SACHS & CO. LLC 361 2218688 9-H1b GOLDMAN, SACHS & CO. 361 1505029 9-H1b GOLDMAN, SACHS & CO. 361 1247737 9-H1b GOLDMAN, SACHS & CO. 361 1134508 9-H1c THE STATE OF NEW MEXICO COUNTY OF SANTA FE FIRST JUDICIAL DISTRICT COURT D-101-CV-2014-00256 225 MONTEZUMA AVE. SANTA FE NM 87501 THE STATE OF NEW MEXICO AND THE DEFENDANTS, INCLUDING GSCO, ENTERED INTO A SETTLEMENT AGREEMENT FOR THE AMOUNT OF $32,500,000 ON NOVEMBER 19, 2021, IN WHICH THE DEFENDANTS SETTLED ALL CLAIMS WITHOUT ANY ADMISSION OF LIABILITY OR WRONGDOING. THE COURT ENTERED A STIPULATION OF DISMISSAL ON NOVEMBER 30, 2021, PURSUANT TO WHICH, GSCO WAS DISMISSED WITH PREJUDICE. 08-31-2020 State STATE OF NEW MEXICO Y GOLDMAN SACHS & CO. LLC Y Money Damage(s) (Private/Civil Complaint) CIVIL PENALTY OF NOT LESS THAN $5000 AND NOT MORE THAN $10,000 PER VIOLATION 09-28-2020 Other RESIDENTIAL MORTGAGE-BACKED SECURITIES GOLDMAN SACHS & CO. LLC ("GSCO") AND OTHER UNDERWRITERS OF RESIDENTIAL MORTGAGE-BACKED SECURITIES ("RMBS") WERE NAMED IN A COMPLAINT IN INTERVENTION FILED BY THE STATE OF NEW MEXICO ON AUGUST 31, 2020 AND MOVED TO UNSEAL A QUI TAM ACTION INITIALLY FILED BY INTEGRA REC, LLC. THE COMPLAINT IN INTERVENTION ASSERTED VIOLATIONS OF THE NEW MEXICO FRAUD AGAINST TAXPAYERS ACT,THE NEW MEXICO SECURITIES ACT, AND THE COMMON LAW OF NEW MEXICO BASED ON ALLEGATIONS THE DEFENDANTS MISREPRESENTED THE NATURE, QUALITY, CHARACTERISTICS, AND RISK PROFILE OF RESIDENTIAL MORTGAGE POOLS BACKING RMBS. 11-30-2021 Settled N /s/ John M. O'Connell John M. O'Connell Chief Compliance Officer 07-27-2022 361 N N N N N Y Y Y N N Y Y Y N N N N Y N Y N