GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

    Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 87.0%

Angola(a)(b) – 1.0%

Azule Energy Finance PLC (NR/B2)

$

    200,000       8.125   01/23/30   $   200,890

 

Argentina(a) – 4.0%

Arcor SAIC (NR/NR)

    80,000       7.600 (b)    07/31/33   82,800

Pluspetrol SA (NR/B1)

    80,000       8.500 (b)    05/30/32   83,153

Tecpetrol SA (NR/B1)

    40,000       7.625 (b)    11/03/30   41,220

Telecom Argentina SA (NR/B2)

    80,000       8.500 (b)    01/20/36   83,800

Telecom Argentina SA (NR/NR)

    90,000       9.250 (b)    05/28/33   96,066

Vista Energy Argentina SAU (NR/NR)(b)

    70,000       8.500     06/10/33   74,676
    70,000       7.875     04/08/38   72,324

YPF SA (B/B2)

    60,000       8.250 (b)    01/17/34   62,775
    10,000       8.250     01/17/34   10,462

YPF SA (NR/B2)

    190,000       9.500 (b)    01/17/31   201,400
       

 

        808,676

 

Australia(a)(b) – 0.5%

Santos Finance Ltd. (BBB-/Baa3)
    100,000       5.750     11/13/35   100,703

 

Brazil – 7.6%

Acu Petroleo Luxembourg SARL (NR/Ba1)
    210,909       7.500 (a)    07/13/35   216,709

MC Brazil Downstream Trading SARL (NR/B1)

    175,558       7.250     06/30/31   165,455

MV24 Capital BV (NR/Baa3)

    268,840       6.748     06/01/34   267,899

Oceanica Lux (NR/B3)

    200,000       11.250 (a)(b)    05/08/31   202,058

Samarco Mineracao SA (NR/B2) (PIK 5.000%, Cash 4.000%)

    289,594       9.500 (a)(c)    06/30/31   291,187

St. Mary’s Cement, Inc. (BBB/Baa3)

    200,000       5.750 (a)(b)    04/02/34   204,418

Vale Overseas Ltd. (BB+/Baa3) (5 yr. CMT + 2.431%)

    200,000       6.000 (a)(b)(d)    02/25/56   199,498
       

 

        1,547,224

 

Chile(a) – 3.3%

ATP Tower Holdings/Andean Telecom Partners Chile SpA/Andean Tower Partners C (BB-/Ba3)

    200,000       7.875 (b)    02/03/30   206,138

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

    200,000       7.950 (b)(d)    05/02/29   211,700

Latam Airlines Group SA (BBB-/Ba2)

    200,000       7.875 (b)    04/15/30   208,100
    20,000       7.875     04/15/30   20,810
    30,000       7.625 (b)    01/07/31   31,146
       

 

        677,894

 

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

China(a) – 0.9%

Prosus NV (BBB/Baa2)

$

    200,000       3.680   01/21/30   $   191,290

 

Colombia(a) – 4.6%

Ecopetrol SA (BB-/Ba2)

    200,000       8.625     01/19/29   212,530

EnfraGen Energia Sur SA/EnfraGen Spain SA/Prime Energia SpA (BB+/Ba3)

    195,465       5.375     12/30/30   184,177

Grupo Nutresa SA (NR/Baa3)

    330,000       8.000 (b)    05/12/30   349,412

Promigas SA ESP/Gases del Pacifico SAC (NR/Ba1) (5 yr. CMT + 3.632%)

    200,000       7.750 (b)(d)    06/24/56   203,208
       

 

        949,327

 

Dominican Republic(a)(b) – 1.3%

Aeropuertos Dominicanos Siglo XXI SA (NR/Ba1)

    260,000       7.000     06/30/34   271,341

 

Ecuador(a)(b) – 1.1%

Corp. Quiport SA (B/NR)

    200,000       9.000     12/15/37   219,500

 

Ghana(a) – 1.3%

Kosmos Energy Ltd. (CCC/Caa2u)

    240,000       7.500     03/01/28   227,976

Tullow Holdco 2 Ltd. (CCC+/Caa2)

    48,008       15.000 (b)(c)    11/15/28   47,718
       

 

        275,694

 

Guatemala(a) – 2.0%

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

    200,000       5.250     04/27/29   196,800

Industrial Subordinated Trust 2 0 (BB-/NR) (5 yr. CMT + 2.864%)

    200,000       6.550 (b)(d)    04/15/36   202,444
       

 

        399,244

 

Hong Kong(a) – 1.3%

Melco Resorts Finance Ltd. (BB-/Ba3)

    260,000       5.625     07/17/27   259,480

 

Hungary(a)(d) – 1.0%

OTP Bank Nyrt (BB/Ba1) (5 yr. CMT + 5.060%)

    200,000       8.750     05/15/33   209,938

 

India(a) – 5.6%

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

    200,000       4.200     08/04/27   197,936

Continuum Energy Aura Pte. Ltd. (BB-/NR)

    200,000       9.500     02/24/27   201,000

IRB Infrastructure Developers Ltd. (NR/Ba2)

    200,000       7.110 (b)    03/11/32   202,640

JSW Hydro Energy Ltd. (NR/Ba1)

    135,500       4.125     05/18/31   126,049

JSW Infrastructure Ltd. (NR/Ba1)

    200,000       4.950     01/21/29   198,065

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

India(a) – (continued)

Vedanta Resources Finance II PLC (BB-/NR)

$

    200,000       11.250 %(b)    12/03/31   $   222,852
       

 

        1,148,542

 

Indonesia – 1.5%

LLPL Capital Pte. Ltd. (NR/Baa3)

    168,450       6.875     02/04/39   170,993

Minejesa Capital BV (NR/Baa3)

    129,800       4.625     08/10/30   127,918
       

 

        298,911

 

Ivory Coast(a)(b) – 1.0%

Endeavour Mining PLC (BB-/NR)
    200,000       7.000     05/28/30   204,034

 

Jamaica(a)(b) – 2.0%

Digicel International Finance Ltd./Difl U.S. LLC (B/B1)

    200,000       8.625     08/01/32   206,125

Kingston Airport Revenue Finance Ltd. (BB+/Ba3)

    199,793       6.750     12/15/36   200,894
       

 

        407,019

 

Kuwait(a)(b)(d) – 1.3%

NBK Tier 1 Ltd. (NR/Baa3) (6 yr. CMT + 2.403%)
    260,000       6.375     01/10/31   260,894

 

Macau(a) – 1.3%

Wynn Macau Ltd. (BB-/B1)
    270,000       5.500     10/01/27   268,650

 

Malaysia(a) – 0.9%

GENM Capital Labuan Ltd. (BBB-/NR)
    200,000       3.882     04/19/31   180,200

 

Mexico – 9.4%

Banco Mercantil del Norte SA (BB-/Ba3) (5 yr. CMT + 3.734%)
    200,000       8.000 (a)(b)(d)    01/24/33   200,300

Banco Nacional de Comercio Exterior SNC (BB+/Ba1) (5 yr. CMT + 1.956%)

    200,000       6.000 (a)(b)(d)    05/14/36   197,500

BBVA Mexico SA Institucion De Banca Multiple Grupo Financiero BBVA Mexico (BB/NR) (5 yr. CMT + 2.650%)

    200,000       5.125 (a)(d)    01/18/33   196,080
Becle SAB de CV (BBB-/NR)
    250,000       2.500 (a)    10/14/31   214,510
Cemex SAB de CV (BBB-/NR)
    50,000       5.750 (a)    06/05/36   49,825
Esentia Energy Development SAB de CV (BBB-/Baa3)
    210,000       6.125 (a)(b)    07/30/33   209,643
Fibra Soma Trust F/6185 (NR/Ba1)
    200,000       4.375 (a)    07/22/31   181,538

FIEMEX Energia - Banco Actinver SA Institucion de Banca Multiple (BBB/Baa3)

    198,102       7.250 (a)    01/31/41   200,702

Mexico City Airport Trust (BBB/Baa3)

    200,000       5.500 (a)    07/31/47   171,270

 

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

Mexico – (continued)

Petroleos Mexicanos (BBB/B1)

$

    30,000       6.500   01/23/29   $    30,622
    20,000       8.750 (a)    06/02/29   21,376
    70,000       6.840 (a)    01/23/30   71,890
    180,000       5.950 (a)    01/28/31   178,038
       

 

        1,923,294

 

Moldova(a)(b) – 0.8%

Aragvi Finance International DAC (B/NR)
    200,000       11.125     11/20/29   154,000

 

Mongolia(a) – 1.0%

Mongolian Mining Corp. (NR/B2)
    200,000       8.440     04/03/30   203,738

 

Morocco(a) – 3.1%

OCP SA (BBB-/Baa3)

    200,000       6.750     05/02/34   210,370
    260,000       5.125     06/23/51   209,625
Vivo Energy Investments BV (BB+/Ba1)
    210,000       5.125     09/24/27   207,255
       

 

        627,250

 

Nigeria – 4.5%

Access Bank PLC (NR/B3)

    370,000       6.125     09/21/26   369,537

Dangote Fertiliser Ltd. (NR/NR)

    200,000       7.750 (a)(b)    05/05/31   201,500

SEPLAT Energy PLC (B+/NR)

    330,000       9.125 (a)(b)    03/21/30   348,150
       

 

        919,187

 

Norway(a) – 1.0%

DNO ASA (NR/NR)
    200,000       8.500     03/27/30   207,074

 

Panama(a) – 3.5%

Aeropuerto Internacional de Tocumen SA (BBB-/Baa3)
    200,000       5.125     08/11/61   168,776

AES Panama Generation Holdings SRL (NR/Baa3)

    370,276       4.375     05/31/30   350,009

Telecomunicaciones Digitales SA (NR/Ba2)

    200,000       4.500     01/30/30   190,786
       

 

        709,571

 

Peru(a) – 3.6%

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

    210,000       7.750 (b)    11/05/38   227,272

Niagara Energy SAC (BBB-/Baa3)

    200,000       5.746     10/03/34   200,902

SAN Miguel Industrias Pet SA/NG PET R&P Latin America SA (NR/Ba2)

    320,000       3.750     08/02/28   306,330
       

 

        734,504

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Philippines(a)(d) – 1.2%

San Miguel Global Power Holdings Corp. (NR/NR) (5 yr. CMT + 7.732%)

$

    250,000       8.750   06/12/29   $   253,675

 

South Africa – 2.0%

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

    200,000       6.200 (a)(b)    09/17/32   201,000

Transnet (B+/Ba3)

    200,000       8.250     02/06/28   207,640
       

 

        408,640

 

Turkey – 7.8%

Akbank TAS (NR/Ba3)

    210,000       7.498 (b)    01/20/30   215,974

Akbank TAS (NR/NR) (5 yr. CMT + 4.221%)

    200,000       7.950 (a)(b)(d)    02/19/31   193,600

Limak Cimento Sanayi ve Ticaret AS (NR/B2)

    200,000       9.750 (a)    07/25/29   202,220

Limak Iskenderun Uluslararasi Liman Isletmeciligi AS (NR/B3)

    257,267       9.500 (a)    07/10/36   261,126

Mersin Uluslararasi Liman Isletmeciligi AS (BB/NR)

    200,000       8.250 (a)(b)    11/15/28   205,250

Turkiye Garanti Bankasi AS (NR/B1) (5 yr. CMT + 4.090%)

    200,000       8.375 (a)(b)(d)    02/28/34   204,346

Yapi ve Kredi Bankasi AS (NR/NR)

    310,000       7.250 (b)    03/03/30   313,565
       

 

        1,596,081

 

United Arab Emirates(a)(b)(d) – 0.9%

Aldar Properties PJSC (NR/Baa3) (5 yr. CMT + 2.018%)

    200,000       5.875     04/14/56   189,014

 

United Kingdom(a)(b) – 1.0%

Avianca Midco 2 PLC (NR/B1)

    200,000       9.500     01/28/31   196,675

 

Uzbekistan(b) – 2.1%

Navoi Mining & Metallurgical Co. (BB/NR)

    200,000       6.950     10/17/31   211,000

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

    200,000       8.950     07/24/29   215,437
       

 

        426,437

 

Vietnam(a) – 0.6%

Mong Duong Finance Holdings BV (NR/Ba2)

    128,566       5.125     05/07/29   126,751

 

Zambia(a)(b) – 1.0%

First Quantum Minerals Ltd. (B/NR)

    200,000       6.375     02/15/36   196,088

 

TOTAL CORPORATE OBLIGATIONS
(Cost $17,091,378)
  $17,751,430

 

    Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – 4.4%

Colombia(a) – 1.0%

Colombia Government International Bonds (BB-/Baa3)

$

    200,000       5.375   01/21/29   $   199,620

 

Ivory Coast(b) – 1.1%

Ivory Coast Government International Bonds (BB/Ba2)

    200,000       8.075     04/01/36   219,588

 

Nigeria – 1.1%

Nigeria Government International Bonds (B/B3)

    200,000       8.747     01/21/31   214,320

 

Romania(b) – 0.8%

Romania Government International Bonds (BBB-/Baa3)

EUR

    10,000       4.625     03/04/33   11,078

$

    120,000       6.625     05/16/36   122,730
    30,000       5.750     07/04/36   28,733
       

 

        162,541

 

Sri Lanka(e) – 0.2%

Sri Lanka Government International Bonds (NR/Caa1)

    50,000       3.350     03/15/33   47,875

 

Venezuela(f) – 0.2%

Venezuela Government International Bonds (NR/Cu)

    40,000       11.750     10/21/26   21,850
    57,000       9.250     05/07/28   27,431
       

 

        49,281

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $853,358)
  $   893,225

 

       
U.S. Treasury Obligations – 3.7%

U.S. Treasury Bonds

$

    50,000       4.625   02/15/46   $    48,008

U.S. Treasury Notes

    240,000       3.875     04/30/31   236,569
    240,000       4.250     06/30/33   239,100
    230,000       4.125     06/30/31   229,191

 

TOTAL U.S. TREASURY OBLIGATIONS
(Cost $754,102)
  $   752,868

 

       
Shares     Dividend
Rate
  Value
Investment Company(g) – 0.9%

Goldman Sachs Central Government Fund — Institutional Shares

    195,968       3.703     $   195,968
(Cost $195,968)  

 

TOTAL INVESTMENTS – 96.0%
(Cost $18,894,806)
  $19,593,491

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 4.0%

  819,565

 

NET ASSETS – 100.0%   $20,413,056

 

 


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Pay-in-kind securities.
(d)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(e)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2026.
(f)   Security is currently in default and/or non-income producing.
(g)   Represents an affiliated issuer.
 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

               

10 Year U.S. Treasury Notes

       4        09/21/26        $ 439,563      $ 2,199  

2 Year U.S. Treasury Notes

       6        09/30/26          1,236,797        (388

20 Year U.S. Treasury Bonds

       4        09/21/26          454,000        7,789  

Ultra Long U.S. Treasury Bonds

       4        09/21/26          464,625        9,232  

 

 

Total

 

   $ 18,832  

 

 

Short position contracts:

               

3 Month SOFR

       (6)        03/16/27          (1,439,400      (738

5 Year U.S. Treasury Notes

       (10)        09/30/26          (1,070,469      (1,513

 

 

Total

 

   $ (2,251

 

 

TOTAL FUTURES CONTRACTS

 

   $ 16,581  

 

 

SWAP CONTRACTS — At June 30, 2026, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

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

 

 

6M EURO(b)

   2.250%(c)        09/16/28          EUR 160        $ (1,657)      $ (2,164    $ 507  

2.500%(c)

   6M EURO(b)        09/16/31          90          1,156        1,516        (360

2.750(c)

   6M EURO(b)        09/16/33          100          431        1,091        (660

6M EURO(b)

   2.750(c)            09/16/36          130          (2,290      (3,510      1,220  

3.000(c)

   6M EURO(b)        09/16/41          110          1,287        2,937        (1,650

 

 

TOTAL

                  $ (1,073    $ (130    $ (943

 

 

 

(a)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2026.
(b)   Payments made semi-annually.
(c)   Payments made annually.


GOLDMAN SACHS EMERGING MARKETS CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

 

Currency Abbreviations:
EUR  

— Euro

USD  

— U.S. Dollar

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

LLC  

— Limited Liability Company

NR  

— Not Rated

PIK  

— Payment in kind

PLC  

— Public Limited Company

Abbreviation:
EURO  

— Euro Offered Rate

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Sovereign Debt Obligations – 70.3%

Angola – 1.7%

Angola Government International Bonds (B-/B3)

$

    620,000       8.000   11/26/29   $    631,377
    1,430,000       9.244     01/15/31   1,483,267
    910,000       9.244 (a)    01/15/31   943,897
    450,000       8.750 (a)    04/14/32   454,433
    940,000       9.375 (a)    03/31/33   959,984
    290,000       9.875     10/15/35   302,363
    650,000       9.875 (a)    10/15/35   677,710
    440,000       9.875 (a)    03/31/37   453,475

Angola Government International Bonds (NR/B3)

    990,000       9.375     05/08/48   950,113
       

 

        6,856,619

 

Argentina(b) – 3.2%

Argentina Republic Government International Bonds (B-/NR)

EUR

    84,062       0.500     07/09/29   87,500

$

    1,973,031       0.750 (c)    07/09/30   1,746,419
    7,125,877       4.125 (c)    07/09/35   5,707,827
    4,241,111       5.000 (c)    01/09/38   3,543,448
    2,574,455       3.500 (c)    07/09/41   1,926,980
       

 

  13,012,174

 

Azerbaijan – 0.4%

Republic of Azerbaijan International Bonds (NR/Baa3)

    1,900,000       3.500     09/01/32   1,773,669

 

Bahamas(a) – 0.1%

Bahamas Government International Bonds (BB-/Ba3)

    540,000       8.250     06/24/36   606,063

 

Bahrain – 0.8%

Bahrain Government International Bonds (B/B2u)

    560,000       5.625 (a)    09/30/31   530,594
    1,060,000       5.625     09/30/31   1,004,339
    230,000       5.450     09/16/32   213,613
    820,000       5.450 (a)    09/16/32   761,575

Bahrain Government International Bonds (B/NR)

    990,000       5.625     05/18/34   901,811
       

 

  3,411,932

 

Benin – 0.7%

Benin Government International Bonds (BB-/B1)

    450,000       7.960 (a)    02/13/38   477,371
    520,000       7.960     02/13/38   551,629

Benin Government International Bonds (BB-/B1u)

    430,000       8.375 (a)    01/23/41   464,400
    320,000       8.375     01/23/41   345,600

Benin Government International Bonds (BB-/NR)

EUR

    530,000       4.875 (a)    01/19/32   592,407

Benin Sukuk SA (BB-/B1)

$

    460,000       6.200 (a)    01/29/33   446,554
       

 

  2,877,961

 

Bolivia(a)(b) – 0.1%

Bolivia Government International Bonds (CCC+/NR)

    280,000       9.450     05/14/31   286,566

 

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

Brazil – 2.7%

Brazil Government International Bonds (BB/Ba1)

EUR

    400,000       4.000   04/23/30   $    457,611

$

    710,000       6.250     03/18/31   733,430

EUR

    551,000       4.875     04/23/33   633,501

$

    1,290,000       6.000     10/20/33   1,299,288
    1,910,000       6.625     03/15/35   1,964,244
    875,000       6.250     05/22/36   867,475
    1,518,000       5.625     01/07/41   1,400,735
    985,000       4.750 (b)    01/14/50   729,146
    710,000       7.125     05/13/54   713,461
    1,794,000       7.250     01/12/56   1,802,746

Brazil Government International Bonds (BB/WR)

EUR

    384,000       5.500     04/23/36   442,543
       

 

  11,044,180

 

Chile(b) – 1.0%

Chile Government International Bonds (A/A2)

$

    600,000       4.350     04/13/31   589,350
    310,000       3.500     01/31/34   281,480
    550,000       4.340     03/07/42   486,612
    390,000       3.500     01/25/50   283,823
    890,000       4.000     01/31/52   700,572
    280,000       5.330     01/05/54   270,116
    1,434,000       3.100     01/22/61   901,656
    840,000       3.250     09/21/71   531,670
       

 

  4,045,279

 

Colombia(b) – 3.5%

Colombia Government International Bonds (BB-/Baa3)

EUR

    870,000       3.750     09/19/28   988,893

$

    1,350,000       5.375     01/21/29   1,347,435
    570,000       4.500     03/15/29   554,895
    2,290,000       3.000     01/30/30   2,092,556
    2,810,000       3.125     04/15/31   2,488,957
    2,880,000       3.250     04/22/32   2,496,960

EUR

    300,000       5.000     09/19/32   339,722

$

    580,000       7.500     02/02/34   619,295

EUR

    720,000       5.625     02/19/36   816,979

$

    720,000       5.625     02/26/44   620,460
    1,380,000       5.000     06/15/45   1,102,965
    410,000       4.125     05/15/51   281,445
    950,000       3.875     02/15/61   614,413
       

 

  14,364,975

 

Congo – 0.6%

Congolese International Bonds (CCC+/NR)

    890,000       9.500     02/17/35   870,251
    1,860,000       9.500     05/26/36   1,796,760
       

 

  2,667,011

 

Costa Rica – 1.3%

Costa Rica Government International Bonds (BB/Ba2)

    1,250,000       6.125     02/19/31   1,286,538
    1,543,000       6.550 (a)(b)    04/03/34   1,644,915
    470,000       5.625     04/30/43   452,746

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Costa Rica – (continued)

$

    1,390,000       7.000   04/04/44   $  1,516,768
    460,000       7.300 (a)(b)    11/13/54   519,032
       

 

        5,419,999

 

Dominican Republic – 2.7%

Dominican Republic International Bonds (BB/Ba2)

    940,000       5.500 (a)(b)    02/22/29   940,705
    610,000       5.500 (b)    02/22/29   610,457
    620,000       4.500 (a)    01/30/30   599,385
    350,000       4.500     01/30/30   338,363
    150,000       7.050 (b)    02/03/31   158,190
    1,520,000       7.050 (a)(b)    02/03/31   1,602,992
    1,260,000       4.875     09/23/32   1,198,260
    490,000       5.750 (a)(b)    03/17/34   483,140
    540,000       6.600 (b)    06/01/36   563,571
    2,419,000       6.950 (a)(b)    03/15/37   2,567,902
    490,000       6.150 (a)(b)    05/17/38   486,220
    199,000       6.850     01/27/45   204,383
    360,000       6.400 (a)    06/05/49   353,227
    440,000       7.150 (b)    02/24/55   468,798
    840,000       5.875     01/30/60   741,877
       

 

        11,317,470

 

Ecuador – 2.2%

Ecuador Government International Bonds (B-/NR)

    596,124       0.000 (a)(d)    07/31/30   513,844
    1,178,100       0.000 (d)    07/31/30   1,015,493
    1,970,000       8.750 (a)    01/29/34   1,991,473
    240,000       8.750     01/29/34   242,616
    1,302,467       6.900 (a)(c)    07/31/35   1,194,453
    1,067,857       6.900 (c)    07/31/35   979,300
    900,000       9.250 (a)    01/29/39   922,050
    2,850,000       5.000 (c)    07/31/40   2,389,809
       

 

        9,249,038

 

Egypt – 3.1%

Egypt Government International Bonds (B/Caa1)

    1,750,000       5.875     02/16/31   1,705,988
    1,100,000       7.300     09/30/33   1,099,230
    200,000       8.750     09/30/51   197,610

Egypt Government International Bonds (B/Caa1u)

    1,240,000       7.625     05/29/32   1,267,342
    700,000       7.625 (a)    05/29/32   715,435
    710,000       8.700     03/01/49   702,222
    1,510,000       8.875 (a)    05/29/50   1,508,852

Egypt Government International Bonds (B/NR)

    1,090,000       8.625 (a)    02/04/30   1,165,308
    270,000       9.450 (a)    02/04/33   299,396
    1,400,000       9.450     02/04/33   1,552,425
    870,000       7.625 (a)    05/20/34   878,030

Egypt Government International Bonds (NR/Caa1)

    210,000       8.500     01/31/47   205,554

Egyptian Financial Co. for Sovereign Taskeek (B/NR)(a)

    740,000       6.375     04/07/29   748,355

 

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

Egypt – (continued)

$

    580,000       7.950   10/07/32   $    609,371
       

 

        12,655,118

 

El Salvador – 1.2%

El Salvador Government International Bonds (B-/B3)(b)

    470,000       9.650 (a)    11/21/54   539,621
    590,000       9.650     11/21/54   677,397

El Salvador Government International Bonds (B-/B3u)

    370,000       8.625     02/28/29   389,991
    710,000       8.250     04/10/32   756,981
    610,000       7.650     06/15/35   629,918
    410,000       7.625     02/01/41   414,561
    830,000       7.125 (b)    01/20/50   769,036
    310,000       9.500 (a)(b)    07/15/52   349,234

El Salvador Government International Bonds (B-/NR)

    240,000       9.250 (b)    04/17/30   258,510
       

 

        4,785,249

 

Ghana – 1.2%

Ghana Government International Bonds (B-/Caa1)

    75,224       0.000 (a)(d)    07/03/26   75,171
    1,159,835       5.000 (a)(c)    07/03/29   1,143,377
    665,000       5.000 (c)    07/03/29   654,792
    303,632       0.000 (a)(d)    01/03/30   270,992
    1,782,244       5.000 (a)(c)    07/03/35   1,653,441
    1,350,000       5.000 (c)    07/03/35   1,252,436
       

 

        5,050,209

 

Guatemala(b) – 1.4%

Guatemala Government Bonds (BB+/Ba1)

    216,000       5.250 (a)    08/10/29   215,476
    470,000       5.250     08/10/29   468,860
    440,000       4.900     06/01/30   434,764
    220,000       6.050 (a)    08/06/31   226,428
    703,000       5.375     04/24/32   703,886
    430,000       7.050     10/04/32   463,755
    350,000       7.050 (a)    10/04/32   377,475
    1,890,000       6.250 (a)    08/15/36   1,972,574
    200,000       6.550 (a)    02/06/37   212,970
    440,000       6.125 (a)    06/01/50   441,144
    381,000       6.125     06/01/50   381,991
       

 

        5,899,323

 

Hungary – 2.6%

Hungary Government Bonds (NR/NR)

HUF

    155,700,000       7.000     10/24/35   569,768
    176,390,000       6.250     09/23/37   623,184

Hungary Government International Bonds (BBB-/Baa2)

$

    440,000       5.250 (a)    06/16/29   445,225
    200,000       5.375 (a)    09/26/30   202,951
    1,360,000       6.250 (a)    09/22/32   1,439,356
    2,600,000       5.500     06/16/34   2,642,900
    1,003,000       5.500 (a)    03/26/36   1,008,968
    1,310,000       5.500     03/26/36   1,317,794
    2,000,000       3.125     09/21/51   1,286,260

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Hungary – (continued)

$

    580,000       6.750 %(a)    09/25/52   $    633,331
    200,000       6.750     09/25/52   218,390
    490,000       6.750 (a)    09/23/55   534,796
       

 

  10,922,923

 

Indonesia – 1.1%

Indonesia Government International Bonds (BBB/Baa2)

EUR

    960,000       4.100 (b)    03/04/34   1,080,443

$

    200,000       5.600 (b)    01/15/35   203,000
    590,000       4.900 (b)    04/16/36   567,875
    926,000       6.625     02/17/37   1,008,136
    450,000       4.625     04/15/43   400,140
    420,000       4.200     10/15/50   329,175
    1,490,000       3.350     03/12/71   911,746
       

 

  4,500,515

 

Iraq(b) – 0.3%

Iraq International Bonds (NR/NR)

    1,087,500       5.800     01/15/28   1,077,645

 

Ivory Coast – 1.4%

Ivory Coast Government International Bonds (BB/Ba2)

    241,454       6.375     03/03/28   244,028
    1,330,000       7.625     01/30/33   1,421,570
    1,000,000       6.125     06/15/33   992,000
    370,000       8.075 (a)    04/01/36   406,238
    1,190,000       8.250     01/30/37   1,317,032
    1,380,000       6.750 (a)    02/25/41   1,337,731
       

 

  5,718,599

 

Jamaica – 0.5%

Jamaica Government International Bonds (BB/Ba3)

    650,000       8.000     03/15/39   780,577
    1,130,000       7.875     07/28/45   1,358,698
       

 

  2,139,275

 

Jordan – 0.3%

Jordan Government International Bonds (BB-/Ba3)

    330,000       7.750     01/15/28   341,161
    390,000       7.500     01/13/29   407,355
    300,000       5.850 (a)    07/07/30   303,705
       

 

  1,052,221

 

Kazakhstan(a) – 0.1%

Kazakhstan Government International Bonds (BBB-/Baa1)

    617,000       5.000     07/01/32   619,159

 

Kenya – 1.3%

Republic of Kenya Government International Bonds (B/B3u)

    550,000       9.750 (a)    02/16/31   598,125
    470,000       9.750     02/16/31   511,125
    1,090,000       6.300     01/23/34   1,001,045
    443,000       9.500 (a)    03/05/36   469,948
    420,000       8.250     02/28/48   404,095

Republic of Kenya Government International Bonds (B/NR)(a)

    720,000       7.875     10/09/33   724,658

 

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

Kenya – (continued)

$

    620,000       7.875   02/26/34   $    616,900
    650,000       8.800     10/09/38   656,500
    240,000       8.700     02/26/39   237,960
       

 

  5,220,356

 

Lebanon(e) – 0.3%

Lebanon Government International Bonds (D/NR)

    245,000       6.850     03/23/27   61,250
    173,000       6.650     11/03/28   43,510
    1,255,000       6.850     05/25/29   315,632

Lebanon Government International Bonds (NR/NR)

    270,000       6.750     11/29/27   67,500
    1,395,000       7.000     03/20/28   350,842
    953,000       7.150     11/20/31   243,492
       

 

  1,082,226

 

Mexico – 3.1%

Mexico Bonos (NR/NR)

MXN

    64,000,000       8.500     03/01/29   3,712,878

Mexico Government International Bonds (BBB/Baa3)(b)

$

    441,000       4.750     04/27/32   424,255
    200,000       5.375     03/22/33   196,024
    760,000       5.625     02/09/34   747,992
    610,000       6.350     02/09/35   624,335
    550,000       5.625     09/22/35   534,572
    680,000       6.000     05/07/36   677,926
    1,060,000       6.250     08/27/37   1,059,046
    1,240,000       4.280     08/14/41   975,744

EUR

    1,110,000       2.125     10/25/51   688,857

$

    640,000       4.400     02/12/52   458,240
    1,250,000       6.338     05/04/53   1,167,500
    400,000       6.750     02/09/56   392,800
    915,000       3.771     05/24/61   548,634
    760,000       3.750     04/19/71   435,860
       

 

  12,644,663

 

Mongolia – 0.7%

Development Bank of Mongolia LLC (BB-/B1)

    340,000       6.900 (a)    07/02/31   336,343

Mongolia Government International Bonds (BB-/B1u)

    500,000       3.500     07/07/27   489,125
    460,000       3.500 (a)    07/07/27   449,995
    720,000       8.650 (a)    01/19/28   754,200
    340,000       8.650     01/19/28   356,150
    200,000       7.875 (a)    06/05/29   212,250
    400,000       4.450     07/07/31   374,000
       

 

  2,972,063

 

Morocco – 1.0%

Morocco Government International Bonds (BBB-/Ba1u)

    420,000       2.375 (a)    12/15/27   405,510
    380,000       5.950 (a)    03/08/28   386,304

EUR

    100,000       1.500 (a)    11/27/31   100,260

$

    500,000       3.000     12/15/32   437,980
    490,000       3.000 (a)    12/15/32   429,220

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Morocco – (continued)

$

    280,000       6.500   09/08/33   $    298,292
    1,380,000       4.000     12/15/50   989,060

Morocco Government International Bonds (BBB-/NR)

EUR

    430,000       4.750 (a)    05/26/34   500,270

$

    510,000       5.500     12/11/42   484,787
       

 

        4,031,683

 

Nigeria – 2.8%

Nigeria Government International Bonds (B/B3)

    1,135,000       6.500     11/28/27   1,141,810
    1,320,000       6.125     09/28/28   1,319,340
    1,070,000       8.375     03/24/29   1,127,352
    1,258,000       7.143     02/23/30   1,278,443
    1,200,000       8.747     01/21/31   1,285,920
    600,000       9.625     06/09/31   667,200
    310,000       9.625 (a)    06/09/31   344,720
    1,320,000       7.875     02/16/32   1,373,750
    310,000       10.375 (a)    12/09/34   368,280
    690,000       7.696 (a)    02/23/38   703,628
    520,000       7.625     11/28/47   509,600
    1,435,000       8.250     09/28/51   1,462,193
       

 

        11,582,236

 

Oman – 2.2%

Oman Government International Bonds (BBB-/Baa3)

    1,100,000       6.500     03/08/47   1,172,473

Oman Government International Bonds (NR/Baa3)

    740,000       6.750 (a)    10/28/27   758,922
    490,000       5.625     01/17/28   495,807
    1,000,000       6.000     08/01/29   1,030,930
    850,000       6.250     01/25/31   893,563
    310,000       7.375 (a)    10/28/32   350,461
    1,420,000       7.375     10/28/32   1,605,338
    1,420,000       6.750 (a)    01/17/48   1,558,322
    250,000       6.750     01/17/48   274,353
    930,000       7.000     01/25/51   1,059,307
       

 

        9,199,476

 

Pakistan – 1.3%

Pakistan Government International Bonds (B-/Caa1)

    2,230,000       6.875     12/05/27   2,246,725
    500,000       7.875     03/31/36   499,757

Pakistan Government International Bonds (NR/Caa1)

    1,210,000       7.375     04/08/31   1,219,075
    600,000       8.875     04/08/51   606,525

Pakistan Water & Power Development Authority (B-/NR)

    620,000       7.500     06/04/31   605,198
       

 

        5,177,280

 

Panama(b) – 2.2%

Panama Government International Bonds (BBB-/Baa3)

    570,000       3.160     01/23/30   536,152
    710,000       7.500     03/01/31   783,336
    1,380,000       2.252     09/29/32   1,161,891
    3,850,000       5.227     02/23/34   3,795,330

 

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

Panama(b) – (continued)

$

    470,000       6.875   01/31/36   $    512,949
    310,000       5.662     02/23/38   309,280
    800,000       4.500     04/16/50   641,550
    1,530,000       4.500     04/01/56   1,192,539
    201,000       3.870     07/23/60   138,811
       

 

        9,071,838

 

Paraguay(b) – 1.3%

 

     

Paraguay Government International Bonds (BBB-/Baa3)

PYG

    1,417,000,000       7.900     02/09/31   222,996

$

    340,000       4.950 (a)    04/28/31   340,378
    239,000       2.739 (a)    01/29/33   212,024
    1,360,000       3.849     06/28/33   1,273,096

PYG

    4,442,000,000       8.500     03/04/35   706,166

$

    790,000       5.400     03/30/50   728,281
    480,000       6.650 (a)    03/04/55   516,000
    1,090,000       6.650     03/04/55   1,171,750
       

 

        5,170,691

 

Peru – 0.9%

 

     

Peru Government International Bonds (BBB-/Baa1)

 

EUR

    160,000       1.250 (b)    03/11/33   156,843

$

    840,000       5.375 (b)    02/08/35   848,535
    620,000       5.500 (b)    03/30/36   626,907
    190,000       6.550     03/14/37   207,955
    550,000       5.625     11/18/50   536,547
    1,360,000       2.780 (b)    12/01/60   744,450
    1,430,000       3.230 (b)(f)    07/28/21   793,664
       

 

        3,914,901

 

Poland – 0.6%

 

     

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

    640,000       4.875     02/12/30   648,288
    690,000       5.500 (b)    04/04/53   652,443
    1,230,000       5.500 (b)    03/18/54   1,170,431
       

 

        2,471,162

 

Romania – 3.3%

 

     

Romania Government International Bonds (BBB-/Baa3)

    710,000       6.625 (a)    02/17/28   725,208
    450,000       6.625     02/17/28   459,639

EUR

    250,000       3.624     05/26/30   280,383

$

    680,000       5.750 (a)    09/16/30   683,298
    560,000       3.000     02/14/31   501,273
    1,050,000       3.000 (a)    02/14/31   939,886

EUR

    260,000       5.375     03/22/31   307,664

$

    20,000       3.625 (a)    03/27/32   17,944

EUR

    320,000       4.625 (a)    03/04/33   354,491
    630,000       5.375 (a)    06/07/33   727,044

$

    1,240,000       6.375     01/30/34   1,257,360
    1,080,000       5.750     03/24/35   1,046,585
    1,700,000       6.625 (a)    05/16/36   1,738,675
    50,000       6.625     05/16/36   51,137
    1,420,000       5.750 (a)    07/04/36   1,360,005

EUR

    800,000       6.750 (a)    07/11/39   967,782

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Romania – (continued)

EUR

    52,000       3.375   01/28/50   $     38,883

$

    1,340,000       4.000     02/14/51   909,820
    740,000       7.625 (a)    01/17/53   812,616
    460,000       7.625     01/17/53   505,140
       

 

  13,684,833

 

Rwanda – 0.2%

Rwanda International Government Bonds (B+/B2)

    810,000       5.500     08/09/31   772,529

 

Saudi Arabia – 1.0%

Saudi Government International Bonds (NR/Aa3)

    810,000       4.500     10/26/46   673,677
    1,270,000       3.250     11/17/51   827,545
    910,000       5.000 (a)    01/18/53   784,292
    900,000       5.000     01/18/53   775,674
    200,000       5.750     01/16/54   193,486
    960,000       3.750     01/21/55   667,776
       

 

  3,922,450

 

Senegal – 0.2%

Senegal Government International Bonds (CCC+/Caa1)

    430,000       7.750     06/10/31   230,394
    400,000       6.250     05/23/33   211,100

EUR

    160,000       5.375     06/08/37   96,351

$

    670,000       6.750     03/13/48   347,563
       

 

  885,408

 

Serbia – 1.0%

Serbia International Bonds (BBB-/Ba2)

    1,310,000       2.125     12/01/30   1,141,993

EUR

    310,000       4.250 (a)    05/06/31   354,652
    240,000       1.650     03/03/33   231,878

$

    680,000       6.500 (a)    09/26/33   718,481
    1,150,000       6.000     06/12/34   1,179,130
    390,000       5.500 (a)    05/06/36   382,504

EUR

    290,000       2.050     09/23/36   262,525
       

 

  4,271,163

 

South Africa – 2.8%

Republic of South Africa Government Bonds (BB+/Ba2)

ZAR

    8,230,000       8.500     01/31/37   499,979
    4,910,000       9.000     01/31/40   302,932

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

$

    610,000       4.850     09/30/29   604,278
    790,000       5.875     06/22/30   809,853
    870,000       5.875     04/20/32   890,119
    200,000       7.100 (a)    11/19/36   215,136
    1,030,000       7.100     11/19/36   1,107,950
    1,410,000       6.125 (a)    12/11/37   1,384,796
    530,000       6.250     03/08/41   507,475
    1,140,000       5.375     07/24/44   967,427
    430,000       5.000     10/12/46   335,937
    494,000       6.300     06/22/48   452,319
    1,130,000       5.750     09/30/49   956,969
    440,000       7.300     04/20/52   444,675

 

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

South Africa – (continued)

$

    390,000       7.950 %(a)    11/19/54   $    420,225
    510,000       7.950     11/19/54   549,525
    550,000       7.250 (a)    12/11/55   548,350

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

    790,000       5.650     09/27/47   668,044
       

 

  11,665,989

 

Sri Lanka – 1.6%

Sri Lanka Government International Bonds (CCC+/Caa1)(a)

    458,542       4.000     04/15/28   443,066
    861,204       3.600 (c)    06/15/35   717,813

Sri Lanka Government International Bonds (NR/Caa1)(c)

    750,232       3.100 (a)    01/15/30   765,237
    470,000       3.100     01/15/30   479,400
    375,421       3.350 (a)    03/15/33   359,466
    1,710,000       3.350     03/15/33   1,637,325
    387,693       3.600 (a)    05/15/36   390,116
    560,000       3.600     05/15/36   563,500
    1,295,891       3.600 (a)    02/15/38   1,308,850
       

 

  6,664,773

 

Trinidad and Tobago(b) – 0.3%

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

    410,000       4.500 (a)    06/26/30   394,112
    280,000       5.950     01/14/31   282,884
    420,000       6.400 (a)    06/26/34   430,290
       

 

  1,107,286

 

Turkey – 3.2%

Turkiye Government International Bonds (NR/Ba3)

    1,084,000       5.250     03/13/30   1,050,461
    360,000       6.375     05/22/31   359,006
    2,042,000       5.875     06/26/31   2,000,200
    770,000       7.125     02/12/32   789,443
    720,000       7.125     07/17/32   737,820
    2,060,000       6.500     09/20/33   2,030,707
    1,902,000       7.625     05/15/34   1,999,516
    290,000       6.500     01/03/35   283,475
    290,000       6.950     09/16/35   291,044
    1,750,000       6.000     01/14/41   1,547,875
    980,000       4.875     04/16/43   745,956
    1,860,000       5.750     05/11/47   1,508,925
       

 

  13,344,428

 

Ukraine(c) – 1.5%

Ukraine Government International Bonds (CCC+/NR)

    223,742       0.000 (a)    02/01/30   160,199
    100,000       4.000     02/01/32   82,550
    1,258,320       4.000 (a)    02/01/32   1,038,743
    1,224,828       0.000 (a)    02/01/34   690,191
    1,357,309       4.500 (a)    02/01/34   951,474
    274,147       4.500     02/01/34   192,177
    1,508,223       4.500 (a)    02/01/35   1,042,182
    1,310,000       4.500     02/01/35   905,210
    1,800,485       4.500 (a)    02/01/36   1,227,931

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Ukraine(c) – (continued)

$

    120,000       4.500   02/01/36   $     81,840
       

 

        6,372,497

 

United Arab Emirates – 0.1%

Emirate of Dubai Government International Bonds (NR/NR)

    335,000       3.900     09/09/50   239,441

 

Uruguay – 0.9%

Oriental Republic of Uruguay (BBB+/Baa1)

    520,000       5.250 (b)    09/10/60   482,791

Uruguay Government International Bonds (BBB+/Baa1)

    693,723       5.750 (b)    10/28/34   725,933

UYU

    26,830,000       8.000 (b)    10/29/35   683,307

$

    1,940,000       4.975     04/20/55   1,762,936
       

 

        3,654,967

 

Uzbekistan – 0.9%

Republic of Uzbekistan International Bonds (BB/NR)

    550,000       7.850 (a)    10/12/28   581,724
    1,050,000       5.375     02/20/29   1,049,612
    200,000       3.700 (a)    11/25/30   186,300
    610,000       3.700     11/25/30   568,215
    700,000       3.900     10/19/31   647,591

Republic of Uzbekistan International Bonds (NR/Ba2)

UZS

    9,450,000,000       15.500 (a)    02/25/28   839,897
       

 

        3,873,339

 

Venezuela(e) – 1.2%

Venezuela Government International Bonds (NR/Cu)

$

    176,000       11.750     10/21/26   96,140
    7,531,000       9.250     05/07/28   3,624,294

Venezuela Government International Bonds (NR/WR)

    2,310,000       7.650     04/21/25   1,025,062
       

 

        4,745,496

 

Zambia(c) – 0.2%

Zambia Government International Bonds (CCC+/Caa2u)

    994,744       5.750     06/30/33   983,772

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $269,203,408)
  $290,080,118

 

       
Corporate Obligations – 23.8%

Angola(a)(b) – 0.3%

Azule Energy Finance PLC (NR/B2)

$

    730,000       8.125   01/23/30   $    733,249
    400,000       8.250     01/22/31   400,380
       

 

        1,133,629

 

Argentina(b) – 0.2%

Vista Energy Argentina SAU (NR/NR)

    630,000       8.500     06/10/33   672,084

 

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

Australia(b) – 0.3%

Santos Finance Ltd. (BBB-/Baa3)

$

    443,000       6.875   09/19/33   $    480,460

Santos Finance Ltd. (BBB-/NR)

    680,000       5.250     03/13/29   683,760
       

 

        1,164,220

 

Brazil – 1.8%

Azul Secured Finance LLP (NR/B2)

    460,000       9.875 (a)(b)    02/15/31   442,833

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

    700,000       5.333 (a)(g)    02/15/28   700,567

BRF SA (NR/Ba2)

    1,080,000       4.875 (b)    01/24/30   1,024,434

MV24 Capital BV (NR/Baa3)

    544,401       6.748 (a)    06/01/34   542,496

Nova Securitisation SARL (BB/NR)(a)(b)

    620,000       5.750     02/03/31   595,820
    850,000       6.500     02/03/36   802,315

Rede D’or Finance SARL (BB+/NR)(b)

    330,000       4.950     01/17/28   326,568
    462,000       4.500     01/22/30   438,253

Samarco Mineracao SA (NR/B2) (PIK 5.000%, Cash 4.000%)

    1,009,347       9.500 (b)(h)    06/30/31   1,014,898

Sitios Latinoamerica SAB de CV (NR/Baa3)

    590,000       5.375 (b)    04/04/32   586,460

Vale Overseas Ltd. (BB+/Baa3) (5 yr. CMT + 2.431%)

    570,000       6.000 (a)(b)(i)    02/25/56   568,569

Vale Overseas Ltd. (BBB/Baa2)

    290,000       6.125 (b)    06/12/33   304,500
       

 

        7,347,713

 

Chile – 1.4%

Banco del Estado de Chile (BBB-/Baa3)(b)(i)

(5 yr. CMT + 3.228%)

    600,000       7.950 (a)    05/02/29   635,100

(5 yr. CMT + 3.228%)

    1,100,000       7.950     05/02/29   1,164,350

Corp. Nacional del Cobre de Chile (BBB+/Baa2)

    480,000       6.330 (a)(b)    01/13/35   504,336

Empresa de los Ferrocarriles del Estado (A/NR)

    600,000       3.068 (a)(b)    08/18/50   376,230

GNL Quintero SA (BBB+/Baa2)

    354,320       4.634     07/31/29   353,062

Inversiones CMPC SA (BBB-/Baa3)(b)

    340,000       6.125 (a)    06/23/33   336,863
    300,000       6.125     06/23/33   297,233

Latam Airlines Group SA (BBB-/Ba2)(b)

    980,000       7.875 (a)    04/15/30   1,019,690
    130,000       7.875     04/15/30   135,265
    881,000       7.625 (a)    01/07/31   914,663
       

 

        5,736,792

 

China – 0.0%

China Aoyuan Group Ltd. (NR/NR)

    8,063       0.000 (d)    09/30/28   136

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

China – (continued)

$

    37,894       5.500 %(h)    09/30/31   $        311
    90,223       0.000 (c)    12/31/99   225

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

    340,000       10.875 (b)(e)    03/02/24   3,740

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

    200,000       11.875 (b)(e)    06/01/23   2,250

Redsun Properties Group Ltd. (NR/WR)

    220,000       9.700 (b)(e)    04/16/23   1,485

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

    279,492       1.000 (b)(h)    06/30/34   2,865
       

 

        11,012

 

Colombia(b) – 0.6%

Grupo Nutresa SA (NR/Ba1) (5 yr. CMT + 4.103%)

    680,000       7.875 (a)(i)    10/21/31   678,300

Grupo Nutresa SA (NR/Baa3)

    904,000       8.000 (a)    05/12/30   957,178
    320,000       9.000 (a)    05/12/35   352,800
    330,000       9.000     05/12/35   363,825
       

 

        2,352,103

 

Czech Republic(b) – 0.6%

Ceska sporitelna AS (NR/NR) (3 mo. EUR EURIBOR + 2.250%)

EUR

    900,000       4.824 (i)    01/15/30   1,059,190

Czechoslovak Group AS (BB+/Baa3)

$

    1,250,000       6.500 (a)    01/10/31   1,268,071
       

 

        2,327,261

 

Ghana(a)(b) – 0.1%

Kosmos Energy Ltd. (CCC/Caa2u)

    310,000       8.750     10/01/31   252,728

 

Guatemala(b) – 0.3%

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

    1,070,000       5.250     04/27/29   1,052,880

 

Hong Kong(e) – 0.0%

Add Hero Holdings Ltd. (NR/NR)

(PIK 8.500%, Cash 7.500%)

    63,935       8.500     09/30/29   479

(PIK 9.000%, Cash 8.000%)

    54,413       9.000     09/30/30   33

(PIK 9.800%, Cash 8.800%)

    72,101       9.800     09/30/31   43
       

 

        555

 

Hungary(b)(i) – 0.2%

OTP Bank Nyrt (BB/Ba1) (5 yr. CMT + 2.861%)

    970,000       7.300     07/30/35   1,015,687

 

India – 0.4%

JSW Hydro Energy Ltd. (NR/Ba1)

    623,300       4.125 (b)    05/18/31   579,825

Reliance Industries Ltd. (A-/Baa1)

    520,000       2.875 (a)    01/12/32   467,937

 

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

India – (continued)

$

    520,000       2.875   01/12/32   $    467,938
       

 

        1,515,700

 

Indonesia – 0.7%

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

    560,000       5.800 (a)    05/15/50   527,800
    220,000       5.800     05/15/50   207,350

Minejesa Capital BV (NR/Baa3)

    240,130       4.625     08/10/30   236,648

Pertamina Persero PT (BBB/Baa2)

    330,000       6.500     05/27/41   340,313
    720,000       6.000     05/03/42   700,200

Pertamina Persero PT (NR/Baa2)

    1,150,000       4.150 (b)    02/25/60   840,224
       

 

        2,852,535

 

Israel(b) – 0.1%

Bank Hapoalim BM (BBB+/NR)

    580,000       4.722     07/14/29   572,663

 

Jamaica(b) – 0.5%

Digicel International Finance Ltd./Difl U.S. LLC (B/B1)

    550,000       8.625 (a)    08/01/32   566,844

Kingston Airport Revenue Finance Ltd. (BB+/Ba3)

    1,018,946       6.750 (a)    12/15/36   1,024,561
    549,432       6.750     12/15/36   552,459
       

 

        2,143,864

 

Kazakhstan(b) – 0.4%

KazMunayGas National Co. JSC (NR/Baa1)

    1,310,000       3.500 (a)    04/14/33   1,188,799
    350,000       3.500     04/14/33   317,618
       

 

        1,506,417

 

Kuwait(b)(i) – 0.3%

NBK Tier 1 Ltd. (NR/Baa3)

(6 yr. CMT + 2.403%)

    960,000       6.375 (a)    01/10/31   963,302

(6 yr. CMT + 2.875%)

    220,000       3.625     08/24/26   219,054
       

 

        1,182,356

 

Luxembourg(a)(b) – 0.4%

Eagle Funding Luxco SARL (BBB/Baa3)

    1,620,000       5.500     08/17/30   1,622,452

 

Malaysia(b) – 0.7%

Petronas Capital Ltd. (A-/A2)

    500,000       3.500     04/21/30   480,755
    930,000       5.340 (a)    04/03/35   953,757
    300,000       5.340     04/03/35   307,664
    820,000       4.550 (a)    04/21/50   717,123
    360,000       4.550     04/21/50   314,834
       

 

        2,774,133

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Mexico – 5.1%

Banco Mercantil del Norte SA (BB-/Ba3)(b)(i)

(10 yr. CMT + 4.299%)

$

    200,000       8.750 %(a)    05/20/35   $    206,500

(5 yr. CMT + 4.072%)

    300,000       8.375     05/20/31   306,660

(5 yr. CMT + 4.643%)

    590,000       5.875 (a)    01/24/27   586,371

Banco Nacional de Comercio Exterior SNC (BB+/Ba1) (5 yr. CMT + 1.956%)

    610,000       6.000 (a)(b)(i)    05/14/36   602,375

BBVA Mexico SA Institucion De Banca Multiple Grupo Financiero BBVA Mexico (BB/NR) (5 yr. CMT + 2.650%)

    550,000       5.125 (a)(b)(i)    01/18/33   539,220

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

    460,000       6.050 (a)    01/15/29   472,944
    340,000       6.400 (a)    01/15/34   362,950
    340,000       5.375 (a)    01/09/36   340,272
    310,000       5.375     01/09/36   310,248

Cemex SAB de CV (BB/NR)(b)(i)

(5 yr. CMT + 3.520%)

    680,000       7.200 (a)    06/10/30   708,016

(5 yr. CMT + 3.520%)

    450,000       7.200     06/10/30   468,540

Cemex SAB de CV (BBB-/NR)

    280,000       5.750 (b)    06/05/36   279,020

Eagle Funding Luxco SARL (BBB/Baa3)

    1,080,000       5.500 (b)    08/17/30   1,081,635

Esentia Energy Development SAB de CV (BBB-/Baa3)(a)(b)

    1,170,000       6.125     07/30/33   1,168,011
    360,000       6.500     07/30/38   354,105

FIEMEX Energia - Banco Actinver SA Institucion de Banca Multiple (BBB/Baa3)

    1,485,761       7.250 (b)    01/31/41   1,505,262

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

    620,000       4.250 (a)    10/31/26   617,985
    630,000       3.875     04/30/28   614,565
    750,000       3.875 (a)    04/30/28   731,625
    280,000       5.500 (a)    10/31/46   240,100
    322,000       5.500     10/31/46   276,115
    1,139,000       5.500     07/31/47   975,383

Petroleos Mexicanos (BBB/B1)

    1,200,000       6.500     01/23/29   1,224,888
    402,000       8.750 (b)    06/02/29   429,658
    800,000       6.840 (b)    01/23/30   821,600
    2,104,000       5.950 (b)    01/28/31   2,081,066
    250,000       6.700 (b)    02/16/32   251,878
    240,000       6.375     01/23/45   203,508
    370,000       5.625     01/23/46   295,626
    1,110,000       6.750     09/21/47   948,850
    1,210,000       6.350     02/12/48   999,823
    1,333,000       6.950 (b)    01/28/60   1,127,718
       

 

        21,132,517

 

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

Morocco(b) – 0.5%

OCP SA (BBB-/Baa3)

$

    990,000       6.750 %(a)    05/02/34   $  1,041,330
    540,000       6.750     05/02/34   567,998
    570,000       7.500     05/02/54   617,851
       

 

        2,227,179

 

Nigeria(b) – 0.3%

Dangote Fertiliser Ltd. (NR/NR)

    560,000       7.750 (a)    05/05/31   564,200

IHS Holding Ltd. (B+/NR)

    400,000       6.250 (a)    11/29/28   398,375
    200,000       6.250     11/29/28   199,188
       

 

        1,161,763

 

Norway(b) – 0.2%

DNO ASA (NR/NR)

    1,000,000       8.500     03/27/30   1,035,370

 

Panama – 0.8%

Aeropuerto Internacional de Tocumen SA (BBB-/Baa3)(b)

    940,000       4.000 (a)    08/11/41   813,805
    510,000       4.000     08/11/41   441,532
    1,600,000       5.125 (a)    08/11/61   1,350,208

Autoridad del Canal de Panama (BBB+/A3)

    380,000       4.950 (a)    07/29/35   372,590

Generadora de Gatun SA (BBB-/Baa3)

    230,000       6.874 (a)(b)    09/30/44   237,671
       

 

        3,215,806

 

Peru – 0.4%

Atlantica Transmision Sur SA (BBB-/NR)

    499,377       6.875 (a)    04/30/43   532,151

Kallpa Generacion SA (NR/Baa3)(b)

    310,000       5.875 (a)    01/30/32   316,975
    200,000       5.875     01/30/32   204,500

Niagara Energy SAC (BBB-/Baa3)(b)

    400,000       5.746 (a)    10/03/34   401,804
    260,000       5.746     10/03/34   261,173
       

 

        1,716,603

 

Romania(b)(i) – 0.1%

Banca Transilvania SA (NR/Ba1) (1 yr. EURIBOR ICE Swap + 2.950%)

EUR

    460,000       5.125     09/30/30   537,159

 

Saudi Arabia – 0.6%

EIG Pearl Holdings SARL (NR/Aa3)

$

    1,057,208       3.545     08/31/36   956,773

Suci Second Investment Co. (NR/Aa3)

    1,520,000       4.875     05/08/32   1,501,000
       

 

        2,457,773

 

Serbia(b) – 0.2%

Telecommunications Co. Telekom Srbija AD Belgrade (BB-/NR)

    220,000       7.000 (a)    10/28/29   220,330

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

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

Serbia(b) – (continued)

$

    610,000       7.000   10/28/29   $    610,915
       

 

        831,245

 

South Africa – 1.7%

Eskom Holdings (BB/Ba2)(g)

    2,010,000       4.314     07/23/27   1,985,659
    1,030,000       6.350     08/10/28   1,048,347

Sasol Financing USA LLC (BB+/Ba1)

    910,000       4.375 (b)    09/18/26   906,287

Transnet (B+/Ba3)

    660,000       8.250 (a)    02/06/28   685,212
    1,530,000       8.250     02/06/28   1,588,446

Windfall Mining Group, Inc./Groupe Minier Windfall, Inc. (BBB-/WR)

    920,000       5.854 (a)(b)    05/13/32   933,862
       

 

        7,147,813

 

Supranational – 0.1%

European Bank for Reconstruction & Development (NR/NR)

PHP

    12,100,000       4.750     06/16/31   188,906

International Bank for Reconstruction & Development (NR/Aaa)

    24,800,000       4.925     11/03/32   384,301
       

 

        573,207

 

Turkey – 0.8%

Akbank TAS (NR/Ba3)

$

    350,000       7.498     01/20/30   359,958

Akbank TAS (NR/NR) (5 yr. CMT + 4.221%)

    840,000       7.950 (a)(b)(i)    02/19/31   813,120

Turkiye Garanti Bankasi AS (NR/B1)(b)(i)

(5 yr. CMT + 4.090%)

    750,000       8.375 (a)    02/28/34   766,297

(5 yr. CMT + 4.090%)

    300,000       8.375     02/28/34   306,519

Yapi ve Kredi Bankasi AS (NR/B3) (5 yr. CMT + 5.278%)

    370,000       9.250 (a)(b)(i)    01/17/34   383,560

Yapi ve Kredi Bankasi AS (NR/NR)

    430,000       7.250 (a)    03/03/30   434,945
    300,000       7.250     03/03/30   303,450
       

 

        3,367,849

 

United Arab Emirates – 1.4%

Abu Dhabi Crude Oil Pipeline LLC (AA/NR)

    577,000       4.600 (a)    11/02/47   516,285

DP World Crescent Ltd. (NR/Baa2)

    610,000       5.500 (a)    05/08/35   610,915

DP World Ltd. (NR/Baa2)

    481,000       5.625     09/25/48   447,450
    1,030,000       4.700 (b)    09/30/49   843,745

First Abu Dhabi Bank PJSC (NR/Baa3) (6 yr. CMT + 2.086%)

    1,360,000       5.875 (b)(i)    05/28/31   1,355,117

Galaxy Pipeline Assets Bidco Ltd. (NR/Aa2)

    380,000       2.625     03/31/36   331,957
    2,190,000       3.250     09/30/40   1,724,669
       

 

        5,830,138

 

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

United States(a)(b) – 0.2%

J&F Luxembourg Finance SARL (BB+/Ba1)

$

    670,000       8.000   04/23/33   $    640,822

 

Uzbekistan – 0.4%

Navoi Mining & Metallurgical Co. (BB/NR)

    520,000       6.700 (a)    10/17/28   533,812
    200,000       6.750 (a)(b)    05/14/30   207,300
    410,000       6.950 (a)    10/17/31   432,550
    600,000       6.950     10/17/31   633,000
       

 

        1,806,662

 

Venezuela(e) – 1.6%

Petroleos de Venezuela SA (NR/NR)

    8,460,000       6.000     05/16/24   3,168,270
    77,934       6.000     11/15/26   29,323
    2,570,000       5.375     04/12/27   941,905
    4,920,000       5.375     04/12/27   1,803,180
    2,180,000       5.500     04/12/37   799,788
       

 

        6,742,466

 

Zambia(a)(b) – 0.1%

First Quantum Minerals Ltd. (B/NR)

    600,000       8.625     06/01/31   624,948

 

TOTAL CORPORATE OBLIGATIONS
(Cost $97,255,637)
  $ 98,286,104

 

 

Shares      Description   Value
  Common Stocks – 0.0%
 

China – 0.0%

  224,816      Sunac Services Holdings Ltd. Real Estate Management & Development   $     20,681
  474,067      Yuzhou Group Holdings Co. Ltd. Real Estate Management & Development(e)   7,193

 

 

 
TOTAL COMMON STOCKS
(Cost $559,980)
  $     27,874

 

 

    
Shares      Dividend
Rate
  Value
  Investment Company(j) – 2.1%
 

Goldman Sachs Central Government Fund - Institutional Shares

         8,454,012      3.703%   $  8,454,012
  (Cost $8,454,012)  

 

 

 
TOTAL INVESTMENTS – 96.2%
(Cost $375,473,037)
  $396,848,108

 

 

 
OTHER ASSETS IN EXCESS OF
LIABILITIES – 3.8%
  15,609,022

 

 

  NET ASSETS – 100.0%   $412,457,130

 

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(c)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on June 30, 2026.
(d)   Issued with a zero coupon. Income is recognized through the accretion of discount.
(e)   Security is currently in default and/or non-income producing.
(f)   Actual maturity date is July 28, 2121.
(g)   Guaranteed by a foreign government until maturity. Total market value of these securities amounts to $3,734,573, which represents approximately 0.9% of the Fund’s net assets as of June 30, 2026.
(h)   Pay-in-kind securities.
(i)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(j)   Represents an affiliated issuer.
 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

JPMorgan Securities, Inc.

    

BRL

     9,053,497        USD      1,736,149          08/04/26        $         2,890  
    

COP

     1,021,372,000        USD      278,000          07/02/26          20,659  
    

COP

     2,424,419,142        USD      671,367          07/09/26          36,363  
    

COP

     1,007,440,000        USD      280,000          07/10/26          14,018  
    

COP

     1,004,692,000        USD      278,000          07/14/26          14,934  
    

COP

     691,522,539        USD      191,557          07/24/26          9,583  
    

COP

     462,836,000        USD      134,000          08/03/26          333  
    

COP

     298,539,723        USD      81,614          09/16/26          4,138  
    

EUR

     378,976        USD      432,439          07/09/26          739  
    

EUR

     2,259,437        USD      2,572,891          07/10/26          9,811  
    

EUR

     1,486,119        USD      1,688,826          07/31/26          11,419  
    

EUR

     1,717,654        USD      1,959,500          08/03/26          5,890  
    

EUR

     1,769,323        USD      2,018,797          08/13/26          6,569  
    

EUR

     4,608,368        USD      5,257,974          09/16/26          24,648  
    

ILS

     1,194,411        USD      398,824          07/10/26          2,652  
    

INR

     84,329,037        USD      887,023          07/02/26          3,810  
    

INR

     26,585,910        USD      279,000          07/03/26          1,841  
    

INR

     66,705,570        USD      699,000          07/09/26          5,469  
    

INR

     31,375,842        USD      330,560          07/20/26          502  
    

INR

     66,774,495        USD      704,035          07/22/26          421  
    

INR

     66,929,175        USD      705,000          07/24/26          974  
    

INR

     78,880,915        USD      819,920          09/16/26          8,390  
    

TRY

     18,823,143        USD      371,404          09/16/26          8,205  
    

TWD

     21,888,906        USD      685,786          07/02/26          1,312  
    

TWD

     21,945,932        USD      687,056          09/16/26          34  
    

USD

     479,597        CLP      433,380,178          09/16/26          9,045  
    

USD

     11,907,691        CNH      80,144,665          09/16/26          40,934  
    

USD

     216,699        CZK      4,550,896          09/16/26          2,309  
    

USD

     447,766        EUR      383,099          07/03/26          9,984  
    

USD

     2,731,692        EUR      2,366,188          07/09/26          27,085  
    

USD

     3,445,913        EUR      2,979,808          07/10/26          39,772  
    

USD

     3,397,401        EUR      2,914,723          07/13/26          65,218  
    

USD

     1,837,582        EUR      1,587,009          07/14/26          23,194  
    

USD

     3,353,948        EUR      2,923,612          07/23/26          10,126  
    

USD

     3,273,729        EUR      2,841,605          07/28/26          22,981  
    

USD

     35,310,488        EUR      30,366,273          09/16/26          501,299  
    

USD

     1,099,429        EUR      954,475          09/17/26          5,258  


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN (continued)

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Gain
 

 

 

JPMorgan Securities, Inc. (continued)

    

USD

     6,553,351          HUF        2,026,355,245          09/16/26        $ 63,968  
    

USD

     293,918          ILS        872,069          07/01/26          861  
    

USD

     267,457          ILS        793,898          07/10/26          605  
    

USD

     1,744,731          ILS        5,119,364          09/16/26          21,039  
    

USD

     1,503,420          INR        142,141,710          07/02/26          1,867  
    

USD

     892,688          INR        84,387,500          07/03/26          1,257  
    

USD

     706,000          INR        66,688,760          07/22/26          2,449  
    

USD

     3,904,412          INR        371,513,406          09/16/26          3,237  
    

USD

     516,210          KRW        783,201,946          07/01/26          10,574  
    

USD

     660,675          KRW        1,008,802,825          07/02/26          9,241  
    

USD

     2,320,303          KRW        3,480,221,437          07/07/26          70,353  
    

USD

     188,595          KRW        290,999,309          07/08/26          463  
    

USD

     3,575,508          KRW        5,417,888,210          09/16/26          69,078  
    

USD

     292,000          MXN        5,098,657          07/17/26          868  
    

USD

     5,056,078          MXN        88,289,405          09/17/26          39,975  
    

USD

     3,505,733          PLN        12,782,942          09/16/26          107,809  
    

USD

     3,406,664          SGD        4,350,475          09/16/26          25,530  
    

USD

     1,280,590          TWD        40,574,225          09/16/26          10,280  
    

USD

     1,375,166          ZAR        22,525,661          09/16/26          8,632  
    

ZAR

     31,879,134          USD        1,925,293          09/16/26          8,676  

 

 

TOTA L

                          $     1,409,571  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc.

    

BRL

     9,053,497        USD      1,791,204          07/02/26        $      (38,329
    

BRL

     6,604,232        USD      1,257,848          09/16/26          (2,059
    

CLP

     585,988,068        USD      655,343          09/16/26          (19,095
    

CNH

     43,333,176        USD      6,432,648          09/16/26          (16,449
    

CNH

     37,750,433        USD      5,616,688          09/17/26          (26,649
    

CZK

     2,113,741        USD      101,481          09/16/26          (1,904
    

EUR

     762,166        USD      884,874          07/03/26          (13,919
    

EUR

     1,888,079        USD      2,193,948          07/09/26          (35,830
    

EUR

     3,315,167        USD      3,835,963          07/10/26          (46,484
    

EUR

     1,672,710        USD      1,974,300          07/13/26          (62,016
    

EUR

     941,404        USD      1,100,878          07/14/26          (24,594
    

EUR

     1,714,671        USD      1,986,446          07/23/26          (25,326
    

EUR

     2,405,428        USD      2,789,623          07/24/26          (38,341
    

EUR

     2,704,513        USD      3,151,780          07/28/26          (57,864
    

EUR

     1,686,763        USD      1,936,404          08/24/26          (4,647
    

EUR

     12,554,488        USD      14,532,301          09/16/26          (140,956
    

EUR

     249,629        USD      289,269          09/17/26          (3,104
    

HUF

     2,594,459,279        USD      8,433,248          09/16/26          (124,518
    

ILS

     639,271        USD      220,438          07/01/26          (5,613
    

ILS

     685,245        USD      233,405          07/10/26          (3,074
    

ILS

     4,612,412        USD      1,563,938          09/16/26          (10,937
    

INR

     84,382,523        USD      892,017          07/02/26          (618
    

INR

     57,813,285        USD      611,969          07/03/26          (1,256
    

INR

     84,458,023        USD      892,688          07/13/26          (1,027


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS (continued)

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc. (continued)

    

INR

     124,112,621          USD        1,310,034          07/17/26        $ (145
    

INR

     190,108,402          USD        2,006,884          07/20/26          (959
    

INR

     122,472,854          USD        1,294,494          07/22/26          (2,433
    

KRW

     783,201,946          USD        514,409          07/01/26          (8,773
    

KRW

     1,008,802,825          USD        658,492          07/02/26          (7,056
    

KRW

     3,480,087,885          USD        2,276,184          07/07/26          (26,322
    

KRW

     463,672,598          USD        306,057          07/08/26          (6,291
    

KRW

     852,044,200          USD        563,000          07/20/26          (12,076
    

KRW

     5,602,693,886          USD        3,669,741          09/16/26          (43,705
    

MXN

     5,112,398          USD        296,369          07/17/26          (4,451
    

MXN

     12,259,380          USD        707,000          09/15/26          (10,379
    

MXN

     15,268,345          USD        870,793          09/17/26          (3,333
    

PLN

     7,933,906          USD        2,149,275          09/16/26          (40,308
    

PLN

     668,743          USD        181,948          09/17/26          (4,185
    

RON

     1,698,504          USD        371,581          09/16/26          (2,723
    

SGD

     691,035          USD        535,000          07/10/26          (489
    

SGD

     4,370,962          USD        3,424,371          09/16/26          (27,314
    

TWD

     21,878,600          USD        695,000          07/02/26          (8,226
    

TWD

     61,063,692          USD        1,927,053          09/16/26          (15,252
    

USD

     1,749,620          BRL        9,053,497          07/02/26          (3,254
    

USD

     1,464,158          BRL        7,756,054          09/16/26          (10,650
    

USD

     1,852,000          CNH        12,524,029          09/16/26          (2,392
    

USD

     100,389          COP        359,532,806          07/03/26          (4,717
    

USD

     421,439          COP        1,448,784,480          07/10/26          (1,385
    

USD

     73,676          COP        268,917,254          07/24/26          (4,543
    

USD

     981,100          COP        3,582,831,824          09/16/26          (48,027
    

USD

     432,439          EUR        379,068          07/03/26          (736
    

USD

     863,370          EUR        759,359          07/10/26          (4,633
    

USD

     3,433,442          EUR        3,021,598          07/28/26          (23,214
    

USD

     1,251,344          EUR        1,097,285          07/31/26          (4,042
    

USD

     2,972,329          EUR        2,603,658          09/16/26          (12,272
    

USD

     503,374          EUR        440,294          09/17/26          (1,361
    

USD

     1,123,153          HUF        352,752,652          09/16/26          (6,534
    

USD

     77,798          ILS        232,656          07/10/26          (405
    

USD

     278,000          INR        26,569,850          07/02/26          (2,678
    

USD

     704,035          INR        66,699,164          07/09/26          (366
    

USD

     886,560          INR        84,494,384          07/13/26          (5,485
    

USD

     1,907,687          INR        184,808,239          09/16/26          (32,943
    

USD

     111,177          KRW        172,663,938          07/08/26          (451
    

USD

     321,211          KRW        497,584,138          09/16/26          (823
    

USD

     113,232          MXN        1,993,715          09/17/26          (39
    

USD

     136,445          PEN        468,061          09/16/26          (63
    

USD

     401,049          PHP        24,867,915          09/16/26          (2,247
    

USD

     983,000          SGD        1,274,269          07/10/26          (2,637
    

USD

     243,756          TRY        12,359,384          09/16/26          (5,497
    

USD

     1,372,519          TWD        43,767,506          07/02/26          (1,353
    

USD

     820,187          ZAR        13,625,672          09/16/26          (6,423
    

ZAR

     4,576,660          USD        279,000          09/16/26          (1,354

 

 

TOTAL

                          $   (1,119,553

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                 

10 Year U.S. Treasury Notes

     29      09/21/26      $ 3,186,828      $ (7,679

2 Year U.S. Treasury Notes

     116      09/30/26        23,911,406        (17,843

20 Year U.S. Treasury Bonds

     140      09/21/26        15,890,000        319,567  

Ultra 10-Year U.S. Treasury Notes

     42      09/21/26        4,723,688        46,161  

Ultra Long U.S. Treasury Bonds

     13      09/21/26        1,510,031        10,049  

 

 

Total

                  $ 350,255  

 

 

Short position contracts:

                 

3 Month SOFR

     (100)      03/16/27        (23,990,000      (12,436

5 Year U.S. Treasury Notes

     (4)      09/30/26        (428,187      (61

 

 

Total

                  $ (12,497

 

 

TOTAL FUTURES CONTRACTS

                  $ 337,758  

 

 

SWAP CONTRACTS — At June 30, 2026, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made
by the Fund
   Payments
Received by
Fund
   Termination
Date
  

Notional
Amount

(000s)

    Market
Value
    Upfront
Premium
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

3.500%(a)

   3M KLIBOR(a)    09/17/27    MYR 40,640 (b)     $ (4,666   $ 503     $ (5,169

12.750(c)

   1M BID Average(c)    01/03/28    BRL 1,400       5,504       559       4,945  

Mexico Interbank TIIE 28 Days(d)

   7.250%(d)    09/14/28    MXN 81,810 (b)       (1,316     (20,769     19,453  

4.750(e)

   12M CLICP(e)    09/16/28    CLP 1,292,730 (b)      (8,257     2,118       (10,375

12.000(a)

   12M CPIBR(a)    09/16/28    COP 1,886,600 (b)      (10,522     (430     (10,092

6.000(e)

   12M MIBOR(e)    09/16/28    INR 137,800 (b)       (529     6,689       (7,218

3.000(c)

   12M SOFR(c)    09/16/28    $ 9,690 (b)       186,732       195,679       (8,947

1.250(a)

   12M THOR(a)    09/16/28    THB 7,680 (b)       260       272       (12

3.500(a)

   3M KWCDC(a)    09/16/28    KRW  6,692,260 (b)      27,886       (3,150     31,036  

6M PRIBOR(e)

   4.000(c)    09/16/28    CZK 124,270 (b)       (14,047     (63,089     49,042  

6M BUBOR(e)

   6.250(c)    09/16/28    HUF 622,120 (b)       46,226       (29,601     75,827  

3M JIBAR(a)

   6.750(a)    09/16/28    ZAR 60,110 (b)       (39,653     (19,521     (20,132

2.250(c)

   6M EURO(e)    09/16/28    EUR 3,590 (b)       37,164       48,340       (11,176

3.750(c)

   6M WIBOR(e)    09/16/28    PLN 19,330 (b)       10,260       63,164       (52,904

1M BID Average(c)

   13.250(c)    01/02/29    BRL 50,980       (238,005     (115,220     (122,785

13.250(c)

   1M BID Average(c)    01/02/29                  229       (229

13.250(c)

   1M BID Average(c)    01/02/29      14,800       69,095       (9,433     78,528  

1M BID Average(c)

   12.750(c)    01/02/31      10,980       (73,968     (22,812     (51,156

12.750(c)

   1M BID Average(c)    01/02/31      3,640       24,521       9,400       15,121  

Mexico Interbank TIIE 28 Days(d)

   7.750(d)    09/11/31    MXN 49,790 (b)       (2,980     (23,945     20,965  

12M THOR(a)

   1.500(a)    09/16/31    THB 2,160 (b)       (401     (1,770     1,369  

12M IBR(a)

   11.500(a)    09/16/31    COP 5,032,160 (b)      79,109       62,603       16,506  

6M PRIBOR(e)

   4.000(c)    09/16/31    CZK 21,200 (b)       (6,083     (7,130     1,047  

2.500(c)

   6M EURO(e)    09/16/31    EUR 2,220 (b)       28,520       37,393       (8,873

3M JIBAR(a)

   7.000(a)    09/16/31    ZAR 40,740 (b)       (42,464     (36,668     (5,796


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS (continued)

 

Payments Made
by the Fund
   Payments
Received by
Fund
   Termination
Date
    

Notional
Amount

(000s)

    Market
Value
     Upfront
Premium
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

2.750%(c)

   6M EURO(e)      09/16/33      EUR 670 (b)    $ 2,890      $ 7,312     $ (4,422

8.000(d)

   Mexico Interbank TIIE 28 Days(d)      09/04/36      MXN 1,370 (b)      1,027        2,229       (1,202

3.750(c)

   12M SOFR(c)      09/16/36      $ 3,540 (b)       81,915        83,331       (1,416

2.000(a)

   12M THOR(a)      09/16/36      THB 32,300 (b)      2,615        2,778       (163

7.750(a)

   3M JIBAR(a)      09/16/36      ZAR 28,800 (b)      7,855        34,685       (26,830

6M PRIBOR(e)

   4.250%(c)      09/16/36      CZK 16,340 (b)      827        (16,370     17,197  

6M WIBOR(e)

   4.500(c)      09/16/36      PLN 4,510 (b)      20,698        (12,954     33,652  

12M CLICP(e)

   5.250(e)      09/16/36      CLP  533,490 (b)      4,593        (3,771     8,364  

2.750(c)

   6M EURO(e)      09/16/36      EUR 1,010 (b)      17,798        24,872       (7,074

3.000(c)

   6M EURO(e)      09/16/41        1,360 (b)       15,902        36,306       (20,404

 

 

TOTAL

           $ 228,506      $ 231,829     $ (3,323

 

 

 

(a)   Payments made quarterly.
(b)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2026.
(c)   Payments made annually.
(d)   Payments made monthly.
(e)   Payments made semi-annually.

PURCHASED AND WRITTEN OPTIONS CONTRACTS — At June 30, 2026, the Fund had the following purchased and written options:

OVER-THE-COUNTER OPTIONS ON FOREIGN CURRENCY

 

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

 

 

Purchased option contracts

             

Calls

               

Call USD/Put ILS

  Citibank NA   $ 3.000       09/16/2026       5,658,000     $ 5,658,000     $ 82,035     $ 56,637     $ 25,398  

 

 

Puts

               

Put EUR/Call USD

  BNP Paribas SA   EUR 1.158       07/07/2026       4,808,000     EUR 4,808,000       71,049       23,978       47,071  

Put EUR/Call USD

  BNP Paribas SA     1.150       07/08/2026       4,808,000       4,808,000       39,867       21,811       18,056  

Put EUR/Call USD

  BNP Paribas SA     1.143       07/24/2026       4,872,000       4,872,000       29,621       23,761       5,860  

Put EUR/Call USD

  BNP Paribas SA     1.135       08/11/2026       4,683,000       4,683,000       21,805       27,974       (6,169

Put USD/Call KRW

  BNP Paribas SA   $  1,490.000       07/03/2026       2,750,000     $ 2,750,000       8       27,624       (27,616

Put EUR/Call USD

  BofA Securities LLC   EUR  1.145       07/24/2026       4,823,000     EUR 4,823,000       33,990       28,297       5,693  

Put EUR/Call USD

  BofA Securities LLC     1.140       08/20/2026       4,920,000       4,920,000       34,691       35,401       (710

Put USD/Call KRW

  HSBC Bank PLC   $ 1,449.500       07/03/2026       2,767,000     $ 2,767,000       0       24,239       (24,239

Put EUR/Call USD

  JPMorgan Securities, Inc.   EUR 1.136       07/30/2026       4,683,000     EUR  4,683,000       19,113       24,667       (5,554

Put EUR/Call USD

  MS & Co. Int. PLC     1.160       07/24/2026       4,737,000       4,737,000       82,898       35,204       47,694  

Put EUR/Call USD

  MS & Co. Int. PLC     1.157       07/24/2026       4,865,000       4,865,000       73,081       26,541       46,540  

Put EUR/Call USD

  MS & Co. Int. PLC     1.128       07/29/2026       4,925,000       4,925,000       9,516       25,869       (16,353

 

 
          53,641,000       $ 415,639     $ 325,366     $ 90,273  

 

 

Total purchased option contracts

 

      59,299,000       $ 497,674     $ 382,003     $ 115,671  

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

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

 

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

 

 

Written option contracts

 

           

Calls

                

Call USD/Put SGD

   Barclays Bank PLC   $ 1.288       07/20/2026       (2,117,000   $ (2,117,000   $ (11,773   $ (8,574   $ (3,199

Call USD/Put ILS

   Citibank NA     2.905       09/16/2026       (2,829,000     (2,829,000     (86,983     (58,801     (28,182

Call EUR/Put PLN

   MS & Co. Int. PLC   EUR  4.290       07/22/2026       (1,847,000   EUR (1,847,000     (9,933     (7,937     (1,996

 

 
           (6,793,000     $ (108,689   $ (75,312   $ (33,377

 

 

Puts

                

Put USD/Call SGD

   Barclays Bank PLC   $ 1.288       07/20/2026       (2,117,000   $ (2,117,000     (4,566     (8,574     4,008  

Put EUR/Call USD

   BNP Paribas SA   EUR 1.157       07/24/2026       (4,865,000   EUR  (4,865,000     (73,081     (54,547     (18,534

Put EUR/Call USD

   BNP Paribas SA     1.128       07/29/2026       (4,925,000     (4,925,000     (9,516     (12,881     3,365  

Put USD/Call KRW

   BNP Paribas SA   $  1,449.500       07/03/2026       (2,767,000   $ (2,767,000     0       (7,656     7,656  

Put EUR/Call USD

   BofA Securities LLC   EUR 1.158       07/07/2026       (4,808,000   EUR (4,808,000     (71,049     (49,140     (21,909

Put EUR/Call USD

   BofA Securities LLC     1.160       07/24/2026       (4,737,000     (4,737,000     (82,898     (60,393     (22,505

Put EUR/Call USD

   Deutsche Bank AG (London)     1.150       07/08/2026       (4,808,000     (4,808,000     (39,867     (22,857     (17,010

Put USD/Call KRW

   JPMorgan Securities, Inc.   $ 1,490.000       07/03/2026       (1,375,000   $ (1,375,000     (4     (3,286     3,282  

Put EUR/Call PLN

   MS & Co. Int. PLC   EUR 4.290       07/22/2026       (1,847,000   EUR (1,847,000     (3,683     (7,937     4,254  

Put EUR/Call USD

   MS & Co. Int. PLC     1.145       07/24/2026       (4,823,000     (4,823,000     (33,990     (11,282     (22,708

Put EUR/Call USD

   MS & Co. Int. PLC     1.143       07/24/2026       (4,872,000     (4,872,000     (29,621     (57,772     28,151  

Put USD/Call KRW

   Standard Chartered Bank   $ 1,490.000       07/03/2026       (1,375,000   $ (1,375,000     (4     (10,843     10,839  

 

 
           (43,319,000     $ (348,279   $ (307,168   $ (41,111

 

 

Total written option contracts

 

      (50,112,000     $ (456,968   $ (382,480   $ (74,488

 

 

TOTAL

           9,187,000       $ 40,706     $ (477   $ 41,183  

 

 


GOLDMAN SACHS EMERGING MARKETS DEBT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

 

Currency Abbreviations:
BRL  

— Brazil Real

CLP  

— Chilean Peso

CNH  

— Chinese Yuan Renminbi Offshore

COP  

— Colombia Peso

CZK  

— Czech Republic Koruna

EUR  

— Euro

HUF  

— Hungarian Forint

ILS  

— Israeli Shekel

INR  

— Indian Rupee

KRW  

— South Korean Won

MXN  

— Mexican Peso

MYR  

— Malaysia Ringgit

PEN  

— Peru Nuevo Sol

PHP  

— Philippines Peso

PLN  

— Polish Zloty

PYG  

— Paraguay Guarani

RON  

— Romania New Leu

SGD  

— Singapore Dollar

THB  

— Thailand Baht

TRY  

— Turkish Lira

TWD  

— Taiwan Dollar

USD  

— U.S. Dollar

UYU  

— Uruguay Peso

UZS  

— Uzbekistan Som

ZAR  

— South African Rand

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

EURIBOR  

— Euro Interbank Offered Rate

ICE  

— Inter-Continental Exchange

LLC  

— Limited Liability Company

NR  

— Not Rated

PIK  

— Payment in kind

PLC  

— Public Limited Company

WR  

— Withdrawn Rating

Abbreviations:
BofA Securities LLC  

— Bank of America Securities LLC

BUBOR  

— Budapest Interbank Offered Rate

CLICP  

— Sinacofi Chile Interbank Rate

EURO  

— Euro Offered Rate

JIBAR  

— Johannesburg Interbank Agreed Rate

KLIBOR  

— Kuala Lumpur Interbank Offered Rate

KWCDC  

— South Korean Won Certificate of Deposit

MIBOR  

— Mumbai Interbank Offered Rate

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

PRIBOR  

— Prague Interbank Offered Rate

SOFR  

— Secured Overnight Financing Rate

TIIE  

— La Tasa de Interbank Equilibrium Interest Rate

WIBOR  

— Warsaw Interbank Offered Rate

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – 87.9%

Advertising – 0.6%

Clear Channel Outdoor Holdings, Inc.(a)(b) (B/B2)

$

    3,680,000       7.875   04/01/30   $    3,828,967
    1,502,000       7.125     02/15/31   1,556,342
    1,665,000       7.500 (c)    03/15/33   1,755,010

Clear Channel Outdoor Holdings, Inc.(a)(b) (CCC/Caa3)

    1,330,000       7.750     04/15/28   1,332,101

Neptune Bidco U.S., Inc.(a)(b) (B-/B3)

    4,905,000       9.290     04/15/29   5,003,787
    338,000       10.375     05/15/31   350,192

Outfront Media Capital LLC/Outfront Media Capital Corp.(a)(b) (B+/B1)

    2,809,000       4.250     01/15/29   2,735,460
       

 

        16,561,859

 

Aerospace & Defense – 1.0%

Bombardier, Inc.(a)(b) (BB-/Ba3)

    3,170,000       7.000     06/01/32   3,286,307

TransDigm, Inc.(a)(b) (BB-/Ba3)

    4,194,000       6.750     08/15/28   4,236,024
    11,067,000       6.375     03/01/29   11,241,416
    7,151,000       6.875     12/15/30   7,354,947
       

 

           26,118,694

 

Airlines(a)(b) – 2.8%

Allegiant Travel Co. (BB/Ba3)

    12,262,000       7.125     07/01/31   12,409,267

American Airlines, Inc. (BB-/Ba3)

    7,339,000       7.250     02/15/28   7,430,003

AS Mileage Plan IP Ltd. (NR/Baa2)

    5,499,000       5.308     10/20/31   5,445,330

OneSky Flight LLC (B+/B3)

    22,066,000       8.875     12/15/29   23,342,077

United Airlines, Inc. (BBB-/Baa3)

    13,905,000       4.625     04/15/29   13,707,966

VistaJet Malta Finance PLC/Vista Management Holding, Inc.(c) (B/B3)

    5,532,000       9.500     06/01/28   5,604,967

WestJet Airlines Ltd. (NR/B1)

    4,900,000       8.000     02/14/31   4,917,640
       

 

        72,857,250

 

Apparel(a)(b) – 0.4%

Beach Acquisition Bidco LLC (BB/Ba3)

EUR

    4,796,000       5.250   07/15/32   5,584,794

Champ Acquisition Corp. (B/B2)

$

    4,695,000       8.375     12/01/31   4,929,281
       

 

        10,514,075

 

Automotive – 1.4%

Clarios Global LP/Clarios U.S. Finance Co.(a)(b) (B/Caa1)

    1,205,000       6.750     09/15/32   1,229,787

Clarios Global LP/Clarios U.S. Finance Co.(a)(b) (BB-/B2)

    5,545,000       6.750     05/15/28   5,626,179

Cyprium Corp./Cyprium Holdings Luxembourg SARL(a)(b) (BB-/Ba2)

    3,372,000       6.125     04/15/31   3,374,799

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Automotive – (continued)

Dorman Products, Inc.(a)(b) (BB-/Ba3)

$

    4,054,000       6.250   06/15/34   $    4,098,999

Grupo Antolin Irausa SA(a) (CCC-/Caa3)

EUR

    1,332,000       3.500     04/30/28   701,418

IHO Verwaltungs GmbH(a)(b)(d) (BB-/Ba2) (PIK 7.125%, Cash 6.375%)

$

    3,305,000       6.375     05/15/29   3,330,581

IHO Verwaltungs GmbH(a)(b)(d) (NR/Ba2)

    1,670,000       7.375     05/15/33   1,736,533

Phinia, Inc.(a)(b) (BB+/Baa3)

    5,641,000       6.750     04/15/29   5,782,307

Qnity Electronics, Inc.(a)(b) (BB/B1)

    494,000       6.250     08/15/33   502,709

Qnity Electronics, Inc.(a)(b) (BB+/Ba1)

    1,805,000       5.750     08/15/32   1,815,830

ZF Europe Finance BV(a) (BB-/Ba2)

EUR

    3,100,000       4.750     01/31/29   3,549,817

ZF North America Capital, Inc.(a)(b) (BB-/Ba2)

$

    2,310,000       6.875     04/14/28   2,358,117
    2,020,000       6.750     04/23/30   2,000,971
       

 

           36,108,047

 

Banks – 2.9%

Banco Mercantil del Norte SA(a)(b)(e) (BB-/Ba3) (5 yr. CMT + 4.643%)

    5,200,000       5.875     01/24/27   5,168,020

Bank of New York Mellon Corp.(a)(e) (BBB/Baa1) (5 yr. CMT + 2.034%)

    7,861,000       5.625     03/20/31   7,820,516

Barclays PLC(a)(e) (BB+/Ba1)

(5 yr. CMT + 3.410%)

    1,912,000       4.375     03/15/28   1,854,181

(5 yr. CMT + 5.431%)

    5,088,000       8.000     03/15/29   5,336,040

(5 yr. EURIBOR ICE Swap + 3.561%)

EUR

    2,204,000       6.125     12/15/35   2,538,462

(5 yr. USD Secured Overnight Financing Rate ICE Swap Rate + 3.686%)

$

    1,670,000       7.625     03/15/35   1,742,578

Citigroup, Inc.(a)(e) (BB+/Ba1) (5 yr. CMT + 3.001%)

    15,770,000       6.625     02/15/31   16,039,825

Commerzbank AG(a)(e) (BB/Ba1) (5 yr. USD Secured Overnight Financing Rate ICE Swap Rate + 4.322%)

    4,400,000       7.500     10/09/30   4,587,484

HSBC Holdings PLC(a)(e) (NR/Baa3) (5 yr. USD ICE Swap + 3.606%)

    3,327,000       6.500     03/23/28   3,364,163

JPMorgan Chase & Co.(a)(e) (BBB/Baa1) (5 yr. CMT + 2.152%)

    5,580,000       6.500     04/01/30   5,706,778

NatWest Group PLC(a)(e) (NR/Baa3) (5 yr. U.K. Government Bond + 3.294%)

GBP

    1,828,000       7.500     02/28/32   2,494,559

PNC Financial Services Group, Inc.(a)(e) (BBB-/Baa2) (5 yr. CMT + 3.238%)

$

    4,462,000       6.200     09/15/27   4,524,423

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Banks – (continued)

Toronto-Dominion Bank(a)(e) (BBB-/Baa2) (5 yr. CMT + 4.075%)

$

    1,475,000       8.125   10/31/82   $    1,527,835

U.S. Bancorp(a)(e) (BBB/Baa2) (5 yr. CMT + 2.541%)

    5,025,000       3.700     01/15/27   4,974,649

UniCredit SpA(a)(b)(e) (BBB-/Baa3) (5 yr. CMT + 4.750%)

    3,415,000       5.459     06/30/35   3,436,514

Wells Fargo & Co.(a)(e) (BB+/Baa2)

(5 yr. CMT + 2.767%)

    1,952,000       6.850 (c)    09/15/29   2,024,712

(5 yr. CMT + 3.606%)

    2,040,000       7.625     09/15/28   2,143,958
       

 

        75,284,697

 

Beverages(a) – 0.1%

Marston’s Issuer PLC(e) (BB+/NR) (Sterling Overnight Index Average +1.569%)

GBP

    80,000       5.177     07/15/32   104,336

Primo Water Holdings, Inc./Triton Water Holdings, Inc.(b) (BB/Ba3)

$

    3,655,000       4.375     04/30/29   3,569,108
       

 

        3,673,444

 

Building Materials – 1.3%

Builders FirstSource, Inc.(a)(b) (BB-/Ba2)

    2,900,000       6.750     05/15/35   2,956,057

EMRLD Borrower LP/Emerald Co-Issuer, Inc.(a)(b) (BB-/B2)

    5,824,000       6.625     12/15/30   5,954,399

Masterbrand, Inc.(a)(b) (BB/B1)

    2,350,000       7.000     07/15/32   2,376,814

Quikrete Holdings, Inc.(a)(b) (BB/Ba3)

    4,749,000       6.375     03/01/32   4,849,156

Smyrna Ready Mix Concrete LLC(a)(b) (B+/B1)

    7,505,000       6.000     11/01/28   7,519,635
    2,832,000       8.875     11/15/31   2,986,061

Standard Building Solutions, Inc.(a)(b) (BB+/Ba3)

    6,017,000       6.500     08/15/32   6,057,133
       

 

        32,699,255

 

Chemicals – 2.4%

Avient Corp.(a)(b) (BB-/Ba3)

    2,945,000       7.125     08/01/30   2,998,481
    1,050,000       6.250     11/01/31   1,062,957

Axalta Coating Systems LLC(a)(b) (BB+/Ba3)

    3,055,000       3.375     02/15/29   2,915,417

Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding B BV(a)(b) (BB+/Ba3)

    3,550,000       4.750     06/15/27   3,538,782

Cerdia Finanz GmbH(a)(b) (B/B2)

    11,986,000       9.375     10/03/31   10,770,140

Chemours Co.(a)(b) (BB-/B1)

    2,447,000       5.750     11/15/28   2,445,311

FMC Corp.(a) (BB+/Ba2)

    3,517,000       4.500     10/01/49   2,275,886

FMC Corp.(a)(b) (BBB-/Baa3)

    1,290,000       8.000     06/01/31   1,342,155

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Chemicals – (continued)

Ingevity Corp.(a)(b) (NR/Ba3)

$

    3,261,000       3.875   11/01/28   $    3,158,898

Minerals Technologies, Inc.(a)(b) (BB-/Ba3)

    3,786,000       5.000     07/01/28   3,761,391

Olympus Water U.S. Holding Corp.(a)(b) (B-/B3)

    1,561,000       6.750     08/01/32   1,524,816

Perimeter Holdings LLC(a)(b) (B+/B2)

    4,778,000       6.250     01/15/34   4,773,843

SNF Group SACA(a)(b) (BBB-/Baa3)

    4,285,000       3.375     03/15/30   3,987,664

Solstice Advanced Materials, Inc.(a)(b) (BB+/Ba2)

    5,753,000       5.625     09/30/33   5,715,951

Valvoline, Inc.(a)(b) (B+/Ba3)

    2,156,000       3.625     06/15/31   1,982,248

WR Grace Holdings LLC(a)(b) (B-/B2)

    5,590,000       7.375     03/01/31   5,613,143
    2,708,000       7.000     08/01/33   2,640,002
       

 

        60,507,085

 

Commercial Services – 3.8%

Aegis Lux 1a SARL(a)(b)(d) (BB-/B1)

EUR

    2,115,000       5.625     10/29/31   2,451,204

Allied Universal Holdco LLC(a)(b) (B/B3)

$

    3,296,000       7.875     02/15/31   3,444,880

Allied Universal Holdco LLC/Allied Universal Finance Corp.(a)(b) (B/B3)

    715,000       6.875     06/15/30   734,048

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL (B/B3)

    8,083,000       4.625 %(a)(b)    06/01/28   7,957,236

APi Group DE, Inc.(a)(b) (B+/B1)

    7,053,000       4.125     07/15/29   6,767,636
    2,639,000       4.750     10/15/29   2,587,091
    6,551,000       5.750     06/01/34   6,497,675

Avis Budget Finance PLC(a) (B/B1)

EUR

    1,990,000       7.250     07/31/30   2,319,795

Belron U.K. Finance PLC(a)(b) (BB-/Ba3)

$

    5,551,000       5.750     10/15/29   5,576,757

Block, Inc.(a) (BB+/Ba1)

    8,307,000       6.500     05/15/32   8,483,108

CompoSecure Holdings LLC(a)(b) (B+/B1)

    10,294,000       5.625     02/01/33   10,046,944

EquipmentShare.com, Inc.(a)(b) (B/B3)

    5,737,000       9.000     05/15/28   5,858,797
    1,450,000       8.625     05/15/32   1,509,247

Garda World Security Corp.(a)(b) (B+/B1)

    2,652,000       7.750     02/15/28   2,694,034

Garda World Security Corp.(a)(b) (CCC+/Caa2)

    1,270,000       8.250     08/01/32   1,299,553
    1,930,000       8.375     11/15/32   1,974,313

Graham Holdings Co.(a)(b) (BB/Ba1)

    9,379,000       5.625     12/01/33   9,285,210

Herc Holdings, Inc.(a)(b) (BB-/Ba3)

    2,497,000       7.000     06/15/30   2,586,418

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Commercial Services – (continued)

Hertz Corp.(a)(b)(c) (B-/Ba3)

$

    2,046,000       12.625   07/15/29   $    1,663,950

Mavis Tire Express Services Topco Corp.(a)(b) (CCC/Caa2)

    3,005,000       6.500     05/15/29   2,993,821

Prime Security Services Borrower LLC/Prime Finance, Inc.(a)(b) (BB/Ba3)

    5,038,000       3.375     08/31/27   4,935,124

PROG Holdings, Inc.(a)(b) (B+/B1)

    3,013,000       6.000     11/15/29   2,946,352

Verisure Midholding AB (BB-/Ba3)

EUR

    1,255,319       5.250 %(a)(b)    02/15/29   1,434,457

Williams Scotsman, Inc.(a)(b) (BB-/B2)

$

    965,000       6.625     04/15/30   994,027
       

 

           97,041,677

 

Computers – 1.2%

Ahead DB Holdings LLC(a)(b)(c) (CCC+/Caa1)

    8,043,000       6.625     05/01/28   8,043,000

CACI International, Inc.(a)(b) (BB-/Ba2)

    8,045,000       6.375     06/15/33   8,159,561

Diebold Nixdorf, Inc.(a)(b) (B+/B1)

    4,085,000       7.750     03/31/30   4,262,371

Gartner, Inc.(a)(c) (BBB-/Baa3)

    4,228,000       5.600     11/20/35   3,998,504

Seagate Data Storage Technology Pte. Ltd.(a)(b) (BB+/Ba3)

    1,405,000       8.250     12/15/29   1,469,419
    2,834,000       9.625     12/01/32   3,128,169

Virtusa Corp.(a)(b) (B-/Caa1)

    1,333,000       7.125     12/15/28   1,053,603
       

 

        30,114,627

 

Cosmetics & Personal Care(a)(b) – 0.3%

Opal Bidco SAS (B+/B1)

    6,525,000       6.500     03/31/32   6,655,043

 

Distribution & Wholesale(a)(b) – 0.4%

American Builders & Contractors Supply Co., Inc. (BB-/Ba3)

    11,554,000       3.875     11/15/29   11,008,998

 

Diversified Financial Services – 8.7%

American Express Co.(a)(e) (BBB-/Baa2) (5 yr. CMT + 2.854%)

    16,557,000       3.550     09/15/26   16,480,010

Burford Capital Global Finance LLC(a)(b) (BB-/Ba1)

    5,730,000       7.500 (c)    07/15/33   4,854,284
    7,133,000       8.500     01/15/34   6,241,874

Capital One Financial Corp.(a)(c)(e) (BB/Baa3) (5 yr. CMT + 3.157%)

    2,310,000       3.950     09/01/26   2,301,545

Charles Schwab Corp.(a)(c)(e) (BBB-/Baa2) (3 mo. USD Term SOFR + 2.575%)

    4,385,000       5.000     12/01/27   4,337,598

Credit Acceptance Corp.(a)(b) (BB/Ba3)

    8,548,000       9.250     12/15/28   8,898,896
    8,480,000       6.625     03/15/30   8,508,578

CrossCountry Intermediate HoldCo LLC(a)(b) (NR/B1)

    3,085,000       6.500     10/01/30   3,041,872

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Diversified Financial Services – (continued)

Encore Capital Group, Inc.(a)(b) (NR/Ba3)

$

    12,360,000       6.625   06/01/32   $   12,374,956

Enova International, Inc.(a)(b) (B/B2)

    4,263,000       11.250     12/15/28   4,492,264
    17,641,000       9.125     08/01/29   18,441,725

goeasy Ltd.(a)(b) (B-/B2)

    7,418,000       9.250     12/01/28   7,289,372
    1,735,000       7.625     07/01/29   1,637,476
    6,716,000       6.875 (c)    02/15/31   5,905,648

Jane Street Group/JSG Finance, Inc.(a)(b) (BB/Ba1)

    4,776,000       7.125     04/30/31   4,939,100
    9,150,000       6.125     11/01/32   9,144,144

Jefferson Capital Holdings LLC(a)(b) (NR/Ba3)

    5,252,000       9.500     02/15/29   5,486,029
    10,567,000       8.250     05/15/30   11,102,324

Navient Corp.(a) (BB-/Ba3)

    6,847,000       9.375     10/15/31   6,820,023

OneMain Finance Corp.(a) (BB/Ba2)

    3,060,000       7.875     03/15/30   3,184,909

Osaic Holdings, Inc.(a)(b) (B/B1)

    5,310,000       6.750     08/01/32   5,320,620

Provident Funding Associates LP/PFG Finance Corp.(a)(b) (NR/B3)

    12,009,000       9.750     09/15/29   12,539,077

Rocket Cos., Inc.(a)(b) (BB/Ba1)

    686,000       6.500     08/01/29   700,447
    9,536,000       6.125     08/01/30   9,709,746
    4,855,000       6.375     08/01/33   4,938,894

Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.(a)(b) (BB/Ba1)

    6,578,000       4.000     10/15/33   5,921,845

SLM Corp.(a) (BB+/Ba1)

    1,720,000       6.500     01/31/30   1,744,888

StoneX Group, Inc.(a)(b) (BB/Ba3)

    3,105,000       7.875     03/01/31   3,257,828

United Wholesale Mortgage LLC(a)(b) (NR/Ba3)

    14,144,000       5.500     04/15/29   13,135,674

UWM Holdings LLC(a)(b) (NR/Ba3)

    6,827,000       6.625     02/01/30   6,354,981
    10,019,000       6.250     03/15/31   8,920,116

VFH Parent LLC/Valor Co-Issuer, Inc.(a)(b) (B+/B1)

    5,030,000       7.500     06/15/31   5,260,877
       

 

        223,287,620

 

Electrical – 2.6%

California Buyer Ltd./Atlantica Sustainable Infrastructure PLC(a)(b) (B+/NR)

    14,956,000       6.375     02/15/32   14,990,997

NRG Energy, Inc.(a)(b) (BB/Ba2)

    17,255,000       5.750     07/15/29   17,257,761
    2,505,000       5.750     01/15/34   2,482,405
    15,493,000       5.875     05/15/34   15,406,394
    5,851,000       6.250     11/01/34   5,923,669

Vistra Operations Co. LLC(a)(b) (BBB-/Ba1)

    3,198,000       7.750     10/15/31   3,350,385

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Electrical – (continued)

$

    6,420,000       6.875   04/15/32   $    6,650,542
       

 

        66,062,153

 

Electronics(a)(b) – 0.7%

Atkore, Inc.(c) (BB+/Ba2)

    6,055,000       4.250     06/01/31   5,795,240

Coherent Corp. (BB-/B1)

    2,748,000       5.000     12/15/29   2,704,582

Ingram Micro, Inc. (BB/Ba3)

    4,596,000       4.750     05/15/29   4,511,112

Sensata Technologies BV (BB+/Ba2)

    2,131,000       5.875     09/01/30   2,138,331

Sensata Technologies, Inc. (BB+/Ba2)

    3,749,000       4.375     02/15/30   3,646,802
       

 

        18,796,067

 

Engineering & Construction – 2.0%

AECOM(a)(b) (BB/Ba2)

    19,254,000       6.000     08/01/33   19,276,334

Brundage-Bone Concrete Pumping Holdings, Inc.(a)(b) (B/B2)

    7,284,000       7.500     02/01/32   7,557,587

Dycom Industries, Inc.(a)(b) (BB-/B1)

    5,174,000       4.500     04/15/29   5,063,949

Global Infrastructure Solutions, Inc.(a)(b) (BB/Ba3)

    6,523,000       5.625     06/01/29   6,520,260
    5,734,000       7.500     04/15/32   5,994,037
    5,855,000       6.375     07/15/34   5,895,868

Kier Group PLC(a) (BB+/NR)

GBP

    1,155,000       9.000     02/15/29   1,596,105
       

 

        51,904,140

 

Entertainment – 3.0%

Banijay Entertainment SAS(a)(b) (B+/B1)

$

    2,890,000       8.125     05/01/29   2,966,585

Cinemark USA, Inc.(a)(b) (BB/B2)

    7,035,000       5.250     07/15/28   7,020,226

CPUK Finance Ltd.(a) (B/NR)

GBP

    1,000,000       7.875     08/28/29   1,368,074

Flutter Treasury DAC(a)(b) (BBB-/Ba1)

$

    1,785,000       6.375     04/29/29   1,812,775
    17,020,000       5.875     06/04/31   16,955,664

Light & Wonder International, Inc.(a)(b) (BB-/B2)

    2,699,000       6.250     10/01/33   2,681,618

Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.(a)(b) (B+/B3)

    8,762,000       4.875     05/01/29   8,522,447

Penn Entertainment, Inc.(a)(b) (B/B3)

    3,210,000       5.625     01/15/27   3,210,706
    1,750,000       4.125     07/01/29   1,677,008

Pinewood Finco PLC(a)(b) (BB+/NR)

GBP

    2,988,000       6.000     03/27/30   3,973,103

Premier Entertainment Sub LLC/Premier Entertainment Finance Corp.(a)(b) (CCC/Caa2)

$

    4,764,000       5.625     09/01/29   3,323,462

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Entertainment – (continued)

Resorts World Las Vegas LLC/RWLV Capital, Inc. (BB+/NR)

$

    6,800,000       8.450 %(a)(b)    07/27/30   $    6,713,300

Rivers Enterprise Borrower LLC(a)(b) (B+/B1)

    4,408,000       6.250   10/15/30   4,465,084

Rivers Enterprise Borrower LLC/Rivers Enterprise Finance Corp.(a)(b) (B+/B1)

    4,306,000       6.625     02/01/33   4,372,011

SeaWorld Parks & Entertainment, Inc.(a)(b)(c) (B+/B2)

    6,035,000       5.250     08/15/29   5,895,531

Vail Resorts, Inc.(a)(b) (BB-/Ba3)

    2,425,000       5.625     07/15/30   2,426,164
       

 

        77,383,758

 

Environmental(a)(b) – 1.3%

GFL Environmental, Inc. (BB/Ba3)

    3,580,000       4.375     08/15/29   3,477,863

Luna 1.5 SARL(d) (B-/B3)

    8,145,000       12.000     07/01/32   8,703,991

Luna 2 5 SARL (B+/B1)

EUR

    1,408,000       5.500     07/01/32   1,629,389

Madison IAQ LLC (B/B2)

$

    13,984,000       5.875     06/30/29   13,981,762

Waste Pro USA, Inc. (B-/Caa1u)

    4,895,000       7.000     02/01/33   5,009,837
       

 

        32,802,842

 

Food & Drug Retailing – 1.9%

Boparan Finance PLC(a)(b) (B+/WR)

GBP

    2,086,200       9.375     11/07/29   2,919,992

Fiesta Purchaser, Inc.(a)(b) (CCC+/Caa2)

$

    3,659,000       9.625     09/15/32   3,592,297

Flora Food Management BV(a) (B/B2)

EUR

    2,492,000       6.875     07/02/29   2,795,793

Iceland Bondco PLC(a)(b) (B/B2)

GBP

    1,063,239       10.875     12/15/27   1,459,695

KeHE Distributors LLC/KeHE Finance Corp./NextWave Distribution,
Inc.(a)(b) (B-/B3)

$

    12,561,000       9.000     02/15/29   13,147,724

Performance Food Group, Inc.(a)(b) (BB/B1)

    8,315,000       4.250     08/01/29   8,063,887
    1,225,000       6.125     09/15/32   1,240,545

Post Holdings, Inc.(a)(b) (B+/B2)

    11,697,000       6.250     10/15/34   11,490,431

United Natural Foods, Inc.(a)(b) (B-/Caa1)

    3,203,000       6.750     10/15/28   3,200,822
       

 

        47,911,186

 

Gas(a)(b) – 0.2%

UGI International LLC (NR/Ba2)

EUR

    3,456,000       5.000     06/01/31   4,030,447

 

Healthcare Providers & Services – 3.0%

Centene Corp.(a) (BB+/Ba1)

$

    12,144,000       4.625     12/15/29   11,828,742

Charlotte Buyer, Inc.(a)(b) (B-/B3)

    2,110,000       8.000     06/30/31   2,136,312

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Healthcare Providers & Services – (continued)

DaVita, Inc.(a)(b) (BB-/Ba3)

$

    1,448,000       6.875   09/01/32   $    1,492,989

Global Medical Response, Inc.(a)(b) (B+/B1)

    5,421,000       7.375     10/01/32   5,617,023

Insulet Corp.(a)(b) (B+/B1)

    780,000       6.500     04/01/33   790,514

IQVIA, Inc.(a)(b) (BB/Ba2)

    1,270,000       6.250     06/01/32   1,293,647

LifePoint Health, Inc.(a)(b) (B/B2)

    12,826,000       7.000     05/01/34   12,287,308

Medline Borrower LP(a)(b) (BB-/Ba2)

    4,038,000       5.250     10/01/29   4,014,257

Medline Borrower LP(a)(b) (BBB-/Ba1)

    4,839,000       3.875     04/01/29   4,698,621

MPH Acquisition Holdings LLC(a)(b)(d) (CCC/Caa3) (PIK 0.750%, Cash 6.000%)

    4,165,402       6.750     03/31/31   2,497,117

Prime Healthcare Services, Inc.(a)(b) (B/B2)

    2,815,000       9.375     09/01/29   2,939,310

Team Health Holdings, Inc.(a)(b) (B-/Caa1)

    1,106,000       8.375     06/30/28   1,112,647

Team Health Holdings, Inc.(a)(b)(d) (B-/NR) (PIK 4.500%, Cash 9.000%)

    16,530,119       13.500     06/30/28   16,902,873

Tenet Healthcare Corp.(a) (BB/Ba2)

    2,867,000       4.625     06/15/28   2,842,172
    3,305,000       4.250     06/01/29   3,211,502
    1,762,000       6.125     06/15/30   1,774,916
    2,730,000       6.750     05/15/31   2,796,721
       

 

        78,236,671

 

Home Builders(a)(b) – 1.0%

Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC (B+/B1)

    1,588,000       5.000     06/15/29   1,511,760

Dream Finders Homes, Inc. (BB-/NR)

    4,229,000       6.875     09/15/30   4,191,912

Forestar Group, Inc. (BB-/Ba3)

    465,000       6.500     03/15/33   472,431

Installed Building Products, Inc. (BB-/Ba2)

    13,599,000       5.625     02/01/34   13,395,423

LGI Homes, Inc.(c) (B/B2)

    374,000       7.000     11/15/32   371,816

Risewell Homes, Inc. (B+/B2)

    5,521,000       8.500     11/01/30   5,634,180
       

 

        25,577,522

 

Home Furnishings – 0.1%

Whirlpool Corp.(a) (B+/B2)

    2,521,000       2.400     05/15/31   1,884,246
    452,000       4.500     06/01/46   269,667
       

 

        2,153,913

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Household Products – 0.1%

Central Garden & Pet Co.(a) (BB/B1)

$

    2,552,000       4.125   10/15/30   $    2,433,077
    1,105,000       4.125 (b)    04/30/31   1,042,346
       

 

        3,475,423

 

Housewares(a) – 0.2%

Newell Brands, Inc. (B+/B2)

    5,301,000       7.500     04/01/46   4,942,970

 

Insurance – 4.4%

Acrisure LLC/Acrisure Finance, Inc.(a)(b) (CCC+/Caa2)

    14,938,000       8.250     02/01/29   14,056,359
    2,423,000       8.500     06/15/29   2,284,768

Ardonagh Finco Ltd.(a) (B-/B3)

EUR

    4,771,000       6.875     02/15/31   5,476,039

Ardonagh Group Finance Ltd.(a)(b) (CCC/Caa2)

$

    12,107,000       8.875     02/15/32   11,763,040

CRC Insurance Group LLC(a)(b) (B/B2)

    34,829,000       7.125     06/01/31   34,703,965

Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance LLC(a)(b) (CCC+/Caa1)

    21,640,000       8.125     02/15/32   19,481,194

HUB International Ltd.(a)(b) (B+/B1)

    8,205,000       7.250     06/15/30   8,420,545

Nassau Cos., of New York(a)(b) (BB-/NR)

    6,802,000       7.875     07/15/30   6,501,215

Ryan Specialty LLC(a)(b) (BB-/Ba3)

    7,900,000       5.875     08/01/32   7,772,415

USI, Inc.(a)(b) (CCC+/Caa1)

    1,937,000       7.500     01/15/32   1,957,319
       

 

        112,416,859

 

Internet(a) – 2.1%

Amazon.com, Inc. (AA/A1)

    865,000       5.800     03/13/56   857,526

Angi Group LLC(b)(c) (B/B2)

    11,484,000       3.875     08/15/28   9,716,612

Arches Buyer, Inc.(b)(c) (CCC+/Caa1)

    1,137,000       6.125     12/01/28   1,119,308

Gen Digital, Inc.(b) (BB-/B1)

    10,969,000       6.250     04/01/33   10,809,840

Match Group Holdings II LLC(b) (BB/Ba2)

    3,689,000       5.625     02/15/29   3,675,572

Meta Platforms, Inc. (AA-/Aa3)

    13,700,000       4.450     08/15/52   10,555,165

Rakuten Group, Inc.(b)(e) (B/NR) (5 yr. CMT + 4.250%)

    1,980,000       8.125     12/15/29   2,031,995

Snap, Inc.(b) (BB-/B1)

    16,960,000       6.875     03/01/33   16,522,263
       

 

        55,288,281

 

Investment Companies(a)(b) – 0.1%

Icahn Enterprises LP/Icahn Enterprises Finance Corp. (BB-/B1)

    3,201,000       10.000     11/15/29   3,158,203

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Iron/Steel – 0.9%

Carpenter Technology Corp.(a)(b) (BB+/Ba1)

$

    6,849,000       5.625   03/01/34   $    6,848,658

Hybar LLC(a)(b) (B-/B3)

    3,862,000       7.375     07/01/34   3,879,649

Mineral Resources Ltd.(a)(b) (NR/Ba3)

    9,446,000       8.500     05/01/30   9,744,872
    900,000       7.000     04/01/31   932,202
    2,152,000       6.000     05/01/32   2,131,276
       

 

        23,536,657

 

Leisure Time – 2.2%

Carnival Corp. Ltd.(a)(b) (BBB-/Ba1)

    4,060,000       5.750     03/15/30   4,107,827

Deuce Finco PLC(a)(b) (NR/B2)

GBP

    2,076,000       7.000     11/20/31   2,811,758

Lindblad Expeditions LLC(a)(b) (B+/B2)

$

    1,435,000       7.000     09/15/30   1,482,814

MajorDrive Holdings IV LLC(a)(b) (CCC-/Caa3)

    8,923,000       6.375     06/01/29   7,462,662

Pinnacle Bidco PLC(a)(b) (NR/B3)

GBP

    2,783,000       10.000     10/11/28   3,831,013

Sabre GLBL, Inc.(a)(b) (B-/B3)

$

    5,550,000       10.750     11/15/29   5,335,770

Viking Cruises Ltd.(a)(b) (BB+/Ba3)

    8,430,000       7.000     02/15/29   8,443,572
    4,034,000       9.125     07/15/31   4,228,197
    19,739,000       5.875     10/15/33   19,750,251
       

 

        57,453,864

 

Lodging – 2.1%

Genting New York LLC/GENNY Capital, Inc.(a)(b) (BB+/NR)

    5,580,000       7.250     10/01/29   5,742,378

Hilton Domestic Operating Co., Inc.(a)(b) (BB+/Ba2)

    2,540,000       3.625     02/15/32   2,326,005

Marriott Ownership Resorts, Inc.(a) (B/B2)

    3,169,000       4.750     01/15/28   3,134,394

Melco Resorts Finance Ltd.(a)(b) (BB-/Ba3)

    2,190,000       7.625     04/17/32   2,244,816

MGM Resorts International(a) (BB-/B1)

    5,930,000       5.500     04/15/27   5,940,200
    3,113,000       4.750     10/15/28   3,091,458
    984,000       6.125     09/15/29   993,436

Station Casinos LLC(a)(b) (B/B2)

    7,091,000       4.625     12/01/31   6,733,259
    4,989,000       6.625     03/15/32   5,065,681

Travel & Leisure Co.(a)(b) (BB-/Ba3)

    18,277,000       6.250     06/01/31   18,392,145
       

 

        53,663,772

 

Machinery - Construction & Mining(a)(b) – 0.3%

Terex Corp. (BB/Ba3)

    3,260,000       6.250     10/15/32   3,301,369

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Machinery - Construction & Mining(a)(b) – (continued)

Vertiv Group Corp. (BBB-/Baa2)

$

    5,561,000       4.125   11/15/28   $    5,505,613
       

 

        8,806,982

 

Machinery-Diversified(a)(b) –  0.1%

Mueller Water Products, Inc. (BB+/Ba1)

    3,113,000       4.000     06/15/29   3,011,672

 

Media – 4.3%

Charter Communications Operating LLC/Charter Communications Operating Capital(a) (BBB-/Ba1)

    3,450,000       5.375     05/01/47   2,781,114
    23,977,000       5.750     04/01/48   20,190,312
    2,182,000       5.125     07/01/49   1,686,381

CSC Holdings LLC(a)(b) (CC/Ca)

    9,023,000       7.500     04/01/28   2,444,060
    3,101,000       5.750     01/15/30   730,038

CSC Holdings LLC(a)(b) (CCC/Caa2)

    4,365,000       5.500     04/15/27   2,924,506
    6,444,000       6.500     02/01/29   3,856,541

Directv Financing LLC(a)(b) (B+/B1)

    10,465,000       8.875     02/01/30   10,662,475

Discovery Global Holdings, Inc.(a) (BB/NR)

    13,791,000       5.050     03/15/42   10,094,736
    6,335,000       5.141     03/15/52   4,242,296

DISH DBS Corp.(c)(f) (CCC-/Caa2)

    6,922,000       5.125     06/01/29   6,256,588

DISH DBS Corp.(a)(b) (CCC+/B3)

    5,776,000       5.250     12/01/26   5,743,655
    784,000       5.750     12/01/28   760,119

DISH Network Corp.(a)(b) (B/B1)

    5,270,000       11.750     11/15/27   5,416,453

Gray Media, Inc.(a)(b) (B+/Ba3)

    2,761,000       10.500     07/15/29   2,912,993

Gray Media, Inc.(a)(b) (CCC/Caa1)

    2,385,000       4.750     10/15/30   1,713,885

iHeartCommunications, Inc.(a)(b)(c) (CCC-/Caa3)

    1,439,000       10.875     05/01/30   1,244,735

iHeartCommunications, Inc.(a)(b) (CCC+/Caa1)

    1,855,000       7.750     08/15/30   1,731,531
    200       7.000     01/15/31   175

Nexstar Media, Inc.(a)(b) (BBB-/Ba2)

    4,569,000       6.500     09/15/33   4,570,645

Sinclair Television Group, Inc.(a)(b) (B+/B3)

    3,658,000       8.125     02/15/33   3,769,459

Space Exploration Technologies Corp.(a)(b) (BBB/Baa1)

    7,715,000       5.350     07/15/31   7,706,591

Time Warner Cable LLC(a) (BBB-/Ba1)

    7,166,000       5.875     11/15/40   6,415,433

Univision Communications, Inc.(a)(b) (B/B2)

    1,680,000       9.375     08/01/32   1,707,770

Virgin Media Secured Finance PLC(a)(b) (B+/Ba3)

    2,380,000       5.500     05/15/29   2,265,665
       

 

        111,828,156

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Metal Fabricate & Hardware(a)(b) – 0.2%

Roller Bearing Co. of America, Inc. (BB/Ba3)

$

    5,339,000       4.375   10/15/29   $    5,211,932

 

Mining(a)(b) – 0.1%

Alcoa Nederland Holding BV (BB+/Ba1)

    1,420,000       7.125     03/15/31   1,473,761

 

Miscellaneous Manufacturing – 0.2%

Amsted Industries, Inc.(a)(b) (BB/Ba3)

    1,926,000       4.625     05/15/30   1,873,574

Axon Enterprise, Inc.(a)(b) (BB+/Ba2)

    1,640,000       6.125     03/15/30   1,673,030
    1,695,000       6.250     03/15/33   1,738,121
       

 

        5,284,725

 

Oil Field Services – 5.8%

Archrock Partners LP/Archrock Partners Finance Corp.(a)(b) (BB-/B1)

    3,056,000       6.625     09/01/32   3,112,475

BKV Upstream Midstream LLC(a)(b) (B-/B3)

    2,100,000       7.500     10/15/30   2,106,027

Chord Energy Corp.(a)(b) (BB/Ba2)

    3,858,000       6.000     10/01/30   3,875,438
    12,782,000       6.750     03/15/33   12,994,565

CNX Resources Corp.(a)(b) (BB/B1)

    3,225,000       7.375     01/15/31   3,300,723
    2,105,000       7.250     03/01/32   2,167,034

DBR Land Holdings LLC(a)(b) (BB-/B1)

    13,189,000       6.250     12/01/30   13,396,463

Kodiak Gas Services LLC(a)(b) (BB-/B1)

    5,675,000       5.875     04/01/31   5,686,861
    4,965,000       6.500     10/01/33   5,025,970

Kraken Oil & Gas Partners LLC(a)(b) (B+/B3)

    14,843,000       7.625     08/15/29   14,980,149
    4,406,000       7.125     05/15/31   4,309,685

Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance
Corp.(a)(b) (BB-/Ba3)

    4,401,000       6.875     12/01/32   4,474,013

Matador Resources Co.(a)(b) (BB-/B1)

    1,410,000       6.500     04/15/32   1,417,149

Noble Finance II LLC(a)(b) (BB-/Ba3)

    5,791,000       6.250     06/15/34   5,674,948

Northern Oil & Gas, Inc.(a)(b) (B+/B1)

    8,527,000       8.750     06/15/31   8,782,981
    7,355,000       7.875     10/15/33   7,306,383

Permian Resources Operating LLC(a)(b) (BBB-/Baa3)

    1,482,000       5.875     07/01/29   1,482,326
    2,425,000       9.875     07/15/31   2,549,354

Range Resources Corp.(a)(b) (BB+/Ba2)

    2,945,000       4.750     02/15/30   2,875,822

SM Energy Co.(a) (BB/B1)

    970,000       6.500     07/15/28   971,620

Sunoco LP(a)(b) (BB+/Ba1)

    2,120,000       7.000     05/01/29   2,181,904
    1,620,000       7.250     05/01/32   1,679,584

Sunoco LP/Sunoco Finance Corp.(a) (BB+/Ba1)

    3,240,000       7.000 (b)    09/15/28   3,308,461

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

$

    4,900,000       4.500   04/30/30   $    4,740,995

Tidewater, Inc.(a)(b) (BB-/B2)

    2,711,000       9.125     07/15/30   2,901,909

Transocean International Ltd.(a)(b) (B/B2)

    1,200,000       7.875     10/15/32   1,248,816

Transocean International Ltd.(a)(b) (B+/Ba3)

    3,485,300       8.750     02/15/30   3,613,977

USA Compression Partners LP/USA Compression Finance Corp.(a)(b) (B+/B1)

    13,395,000       7.125     03/15/29   13,723,177

WBI Operating LLC(a)(b) (BB-/B1)

    676,000       6.250     10/15/30   679,833
    8,834,000       6.500     10/15/33   8,888,417
       

 

        149,457,059

 

Packaging – 0.4%

Ardagh Group SA(a)(b)(c) (B/B3)

    237,072       9.500     12/01/30   253,281

Ball Corp.(a) (BB+/Ba1)

    4,251,000       6.000     06/15/29   4,321,184
    3,010,000       2.875     08/15/30   2,746,264

TriMas Corp.(a)(b) (B/Ba3)

    2,868,000       4.125     04/15/29   2,761,683
       

 

        10,082,412

 

Pharmaceuticals – 1.2%

1261229 BC Ltd.(a)(b) (B/Caa1)

    10,323,000       10.000     04/15/32   10,449,353

Adapthealth LLC(a)(b) (BB-/Ba3)

    2,882,000       6.125     08/01/28   2,882,692

Amneal Pharmaceuticals LLC(a)(b) (B+/Ba3)

    902,000       6.875     08/01/32   936,592

Bausch Health Americas, Inc.(a)(b)(c) (CCC+/Ca)

    1,353,000       8.500     01/31/27   1,350,497

Bausch Health Cos., Inc.(b)(c) (B-/Caa1)

    579,000       4.875 (a)    06/01/28   535,314
    1,269,000       11.000     09/30/28   1,291,880

Bausch Health Cos., Inc.(a)(b)(c) (CCC+/Ca)

    2,365,000       5.000     01/30/28   2,099,150
    1,873,000       6.250     02/15/29   1,411,493

Grifols SA(a)(b) (B/B3)

    4,248,000       4.750     10/15/28   4,170,177

HLF Financing SARL LLC/Herbalife International, Inc.(a)(b) (BB/Ba2)

    1,030,000       7.750     05/01/33   1,043,009

Jazz Securities DAC(a)(b) (BB/Ba1)

    4,826,000       4.375     01/15/29   4,725,860

Teva Pharmaceutical Finance Netherlands III BV (BB+/Ba1)

    871,000       3.150     10/01/26   866,558
       

 

        31,762,575

 

Pipelines – 4.5%

Blue Racer Midstream LLC/Blue Racer Finance Corp.(a)(b) (B+/B2)

    1,395,000       7.000     07/15/29   1,430,252

CNX Midstream Partners LP(a)(b) (BB/B1)

    3,831,000       4.750     04/15/30   3,649,219

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Delek Logistics Partners LP/Delek Logistics Finance Corp.(a)(b) (BB-/B2)

$

    8,424,000       7.375   06/30/33   $    8,592,396

Excelerate Energy LP(a)(b) (BB+/NR)

    5,997,000       8.000     05/15/30   6,326,235

Genesis Energy LP/Genesis Energy Finance Corp.(a) (B+/B2)

    1,975,000       8.875     04/15/30   2,065,099
    759,000       7.875     05/15/32   783,872

Global Partners LP/GLP Finance Corp.(a) (BB-/B1)

    1,533,000       6.875     01/15/29   1,547,686
    1,313,000       8.250 (b)    01/15/32   1,375,118

Hess Midstream Operations LP(a)(b) (BBB-/Ba1)

    3,035,000       5.875     03/01/28   3,056,579
    1,245,000       6.500     06/01/29   1,269,190
    892,000       5.500     10/15/30   889,262

Howard Midstream Energy Partners LLC(a)(b) (BB-/B1)

    4,990,000       7.375     07/15/32   5,164,949
    2,955,000       6.625     01/15/34   2,979,852

Kinetik Holdings LP(a)(b) (BB+/Ba1)

    5,040,000       6.625     12/15/28   5,123,664
    3,795,000       5.875     06/15/30   3,813,216

NGL Energy Operating LLC/NGL Energy Finance Corp.(a)(b) (B+/B2)

    4,631,000       8.125     02/15/29   4,794,521

NuStar Logistics LP(a) (NR/Ba1)

    4,656,000       5.625     04/28/27   4,667,268

Prairie Acquiror LP(a)(b) (B-/B3)

    6,576,000       9.000     08/01/29   6,833,648

Rockies Express Pipeline LLC(a)(b) (BB/Ba2)

    1,645,000       6.750     03/15/33   1,690,106

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.(a)(b)

    (B+/B1)        
    2,184,000       7.375     02/15/29   2,240,085
    1,328,000       6.000     09/01/31   1,313,631

TransMontaigne Partners LLC(a)(b) (CCC+/Caa1)

    7,535,000       8.500     06/15/30   7,675,980

Venture Global Calcasieu Pass LLC(a)(b) (BBB-/Ba1)

    13,693,000       4.125     08/15/31   12,853,619
    4,660,000       3.875     11/01/33   4,153,551

Venture Global LNG, Inc.(a)(b) (BB/B1)

    18,750,000       9.875     02/01/32   20,009,250

Western Midstream Operating LP(a)(b) (BBB-/Baa3)

    2,600,000       7.250     04/01/30   2,728,310
       

 

        117,026,558

 

Real Estate – 0.3%

Anywhere Real Estate Group LLC/Realogy Co-Issuer Corp.(a)(b) (B+/B3)

    6,139,000       5.750     01/15/29   6,072,699

Cushman & Wakefield U.S. Borrower LLC(a)(b) (BB-/Ba3)

    784,000       6.750     05/15/28   785,223
    1,240,000       8.875     09/01/31   1,298,367
       

 

        8,156,289

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Real Estate Investment Trust – 1.7%

Iron Mountain, Inc.(a)(b) (BB-/Ba3)

$

    4,350,000       7.000   02/15/29   $    4,433,520
    6,492,000       5.625     07/15/32   6,416,693
    3,438,000       6.250     01/15/35   3,450,927

Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.(a)(b) (BB+/Baa3)

    2,000,000       7.000     07/15/31   2,073,300

MPT Operating Partnership LP/MPT Finance Corp.(a) (CCC+/Caa1)

    3,420,000       3.500     03/15/31   2,345,026

RHP Hotel Properties LP/RHP Finance Corp.(a)(b) (BB/Ba3)

    7,065,000       4.500     02/15/29   6,920,591

Starwood Property Trust, Inc.(a)(b) (BB-/Ba3)

    5,148,000       7.250     04/01/29   5,317,421
    1,640,000       6.500     07/01/30   1,674,522
    1,035,000       5.750     01/15/31   1,028,997

Starwood Property Trust, Inc.(a)(b) (NR/Ba3)

    3,990,000       5.875     08/15/29   4,003,047

XHR LP(a)(b) (BB-/B1)

    5,568,000       6.625     05/15/30   5,696,676
       

 

        43,360,720

 

Retailing – 4.1%

1011778 BC ULC/New Red Finance, Inc.(a)(b) (BB-/B2)

    3,050,000       4.375     01/15/28   3,016,511

Advance Auto Parts, Inc.(a)(b) (BB/Ba3)

    1,399,000       7.000     08/01/30   1,435,024

Asbury Automotive Group, Inc.(a)(b) (BB/B1)

    6,237,000       4.625     11/15/29   6,061,054

Cougar JV Subsidiary LLC(a)(b) (B+/B2)

    4,178,000       8.000     05/15/32   4,381,469

EG Global Finance PLC(a)(b) (B/B2)

    5,210,000       12.000     11/30/28   5,522,600

FirstCash, Inc.(a)(b) (BB/Ba2)

    2,520,000       5.625     01/01/30   2,507,249
    11,595,000       6.875     03/01/32   11,912,239

Group 1 Automotive, Inc.(a)(b) (BB+/Ba2)

    2,443,000       4.000     08/15/28   2,379,360
    695,000       6.375     01/15/30   704,014

Ken Garff Automotive LLC(a)(b) (BB/B1)

    5,132,000       4.875     09/15/28   5,088,891

LCM Investments Holdings II LLC(a)(b) (BB-/B2)

    9,132,000       4.875     05/01/29   8,900,595

Lithia Motors, Inc.(a)(b) (BB+/Ba2)

    1,393,000       3.875     06/01/29   1,334,564
    943,000       4.375     01/15/31   893,747

Maryland Bidco Ltd.(a)(d) (NR/NR) (PIK 10.000%, Cash 10.000%)

GBP

    1,071,000       10.000     01/26/28   1,033,905

Michaels Cos., Inc.(a)(b) (B-/B2)

$

    3,995,000       8.500     03/15/33   3,954,810

Michaels Cos., Inc.(a)(b) (CCC/Caa1)

    3,229,000       11.000     03/15/34   3,161,029

Murphy Oil USA, Inc.(a)(b) (BB+/Ba2)

    3,696,000       3.750     02/15/31   3,457,054

Nordstrom, Inc.(a) (BB+/Ba2)

    1,985,000       4.375     04/01/30   1,910,165

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Retailing – (continued)

Penske Automotive Group, Inc.(a) (BB-/Ba3)

$

    3,839,000       3.750   06/15/29   $    3,674,077

PetSmart LLC/PetSmart Finance Corp.(a)(b) (B-/Caa1)

    850,000       10.000     09/15/33   851,292

Punch Finance PLC(a)(b) (NR/B3)

GBP

    940,000       7.875     12/30/30   1,287,935

QXO Building Products, Inc.(a)(b) (BB-/B2)

$

    2,340,000       6.500     07/15/31   2,384,507

QXO Building Products, Inc.(a)(b) (BB+/Ba2)

    13,781,000       6.750     04/30/32   14,225,988

Sonic Automotive, Inc.(a)(b) (BB-/B1)

    3,127,000       4.625     11/15/29   3,055,767

Stonegate Pub Co. Financing PLC(a)(b)(e) (NR/Caa1) (3 mo. EUR EURIBOR + 6.625%)

EUR

    604,000       8.908     07/31/29   695,334

Suburban Propane Partners LP/Suburban Energy Finance Corp.(a)(b) (BB-/B1)

$

    12,017,000       6.500     12/15/35   11,623,083
       

 

        105,452,263

 

Semiconductors – 0.2%

Kioxia Holdings Corp.(a)(b) (BBB-/NR)

    2,200,000       6.250     07/24/30   2,269,982
    2,225,000       6.625     07/24/33   2,331,066
       

 

        4,601,048

 

Software – 2.7%

AthenaHealth Group, Inc.(a)(b) (CCC/Caa2)

    5,509,000       6.500     02/15/30   5,282,690

Cloud Software Group, Inc.(a)(b) (B/B1)

    14,411,000       8.250     06/30/32   13,492,443

Elastic NV(a)(b) (BB/Ba2)

    10,601,000       4.125     07/15/29   10,113,990

Fair Isaac Corp.(a)(b) (BB+/Ba1)

    15,784,000       6.000     05/15/33   15,541,874
    5,822,000       6.250     09/15/34   5,732,923

ROBLOX Corp.(a)(b) (BBB-/Ba1)

    11,540,000       3.875     05/01/30   10,911,878

Salesforce, Inc.(a) (A+/A2)

    625,000       6.550     03/15/56   625,638

TeamSystem SpA(a)(b) (B/B2)

EUR

    1,075,000       3.500     02/15/28   1,226,968

ZoomInfo Technologies LLC/ZoomInfo Finance Corp.(a)(b) (B/B1)

$

    8,091,000       3.875     02/01/29   6,575,232
       

 

        69,503,636

 

Telecommunication Services – 6.3%

Altice France SA(a)(b) (CCC+/Caa1)

    1,541,922       9.500     11/01/29   1,565,652
    2,080,794       6.500     04/15/32   2,011,420

APLD ComputeCo LLC(a)(b) (BB-/NR)

    6,452,000       9.250     12/15/30   6,960,998

Black Pearl Compute LLC(a)(b) (NR/Ba2)

    21,860,000       6.125     02/15/31   22,183,528

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

EchoStar Corp.(a) (B/B1)

$

    8,920,000       10.750   11/30/29   $    9,641,806

(PIK 6.750%, Cash 6.750%)

    9,801,039       6.750 (d)    11/30/30   9,957,954

Fibercop SpA(a)(b) (BB+/Ba1)

    2,116,000       6.000     09/30/34   2,052,203
    3,106,000       7.200     07/18/36   3,197,192

Iliad Holding SAS(a)(b) (B+/B1)

    3,070,000       7.000     04/15/32   3,126,089

Level 3 Financing, Inc.(a)(b) (B+/Ba3)

    2,664,000       6.875     06/30/33   2,735,662
    1,581,000       7.000     03/31/34   1,629,979

Meridian Arc Holdco LLC(a)(b) (BB-/Ba2)

    16,705,000       6.250     04/30/31   16,735,236

Nokia of America Corp.(c) (NR/WR)

    5,755,000       6.450     03/15/29   5,821,183

PR RNO Property Owner 1 LLC(a)(b) (BB/Ba1)

    22,546,000       6.500     05/01/31   22,515,563

QTS Fayetteville I Dc1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC(a)(b) (NR/Baa2)

    15,410,000       5.700     04/15/36   14,648,284

Sable International Finance Ltd.(a)(b) (BB-/Ba3)

    1,795,000       7.125     10/15/32   1,781,573

SV RNO Property Owner 1 LLC(a)(b) (BB+/Ba1)

    23,891,000       5.875     03/01/31   23,553,659

Uniti Services LLC(a)(b) (B/B2)

    4,793,000       7.500     10/15/33   5,047,892

Vodafone Group PLC(a)(e) (BB+/Ba1) (5 yr. USD Swap + 4.873%)

    4,717,000       7.000     04/04/79   4,889,171

Windstream Services LLC/Windstream Escrow Finance Corp.(a)(b) (NR/B2)

    1,530,000       8.250     10/01/31   1,613,507
       

 

        161,668,551

 

Transportation(a)(b) – 0.3%

Beacon Mobility Corp. (B/B1)

    2,270,000       7.250     08/01/30   2,355,851

Rand Parent LLC (BB-/Ba1)

    2,804,000       8.500     02/15/30   2,902,617

Stonepeak Nile Parent LLC (BB/Ba1)

    3,234,000       7.250     03/15/32   3,350,004
       

 

        8,608,472

 

TOTAL CORPORATE OBLIGATIONS
(Cost $2,274,024,152)
  $2,266,523,910

 

       
Bank Loans(g) – 2.7%

Aerospace & Defense – 0.1%

Kaman Corp. (B+/B1)(3 mo. USD Term SOFR + 2.250%)

$

    2,644,140       5.921   02/26/32   $    2,638,535

 

Automotive – 0.0%

First Brands Group LLC (NR/NR)(3 mo. USD Term SOFR + 7.000%)

    122,392       10.676     06/29/27   40

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Automotive – (continued)

First Brands Group LLC (NR/WR)(1 mo. USD Term SOFR + 7.114%)

$

    91,795       10.991   03/30/27   $           48
       

 

        88

 

Building & Construction – 0.1%

KKR Apple Bidco LLC (B/B2)(1 mo. USD Term SOFR + 2.500%)

    3,211,051       6.144     09/23/31   3,212,464

 

Commercial Services – 0.6%

Ankura Consulting Group LLC (B-/B3)(3 mo. USD Term SOFR + 3.500%)

    5,836,390       7.166     12/29/31   5,506,634

Groundworks LLC (B/B3)(1 mo. USD Term SOFR + 3.000%)

    4,413,281       7.152     03/14/31   4,389,361

Wand NewCo 3, Inc. (B/B2)(1 mo. USD Term SOFR + 2.500%)

    5,014,886       6.144     01/30/31   5,006,511
       

 

        14,902,506

 

Consumer Cyclical Services - Rental Equipment – 0.3%

Hertz Corp. (B-/Ba3) (3 mo. USD Term SOFR + 3.500%)

    8,898,267       7.425     06/30/28   6,269,274

 

Diversified Financial Services – 0.1%

NEXUS Buyer LLC (B-/B2)(1 mo. USD Term SOFR + 3.500%)

    2,795,389       7.144     07/31/31   2,689,304

 

Entertainment – 0.2%

Crown Finance U.S., Inc. (B/B3)(1 mo. USD Term SOFR + 4.500%)

    5,420,250       8.114     12/02/31   5,427,025

 

Internet – 0.0%

Plano HoldCo, Inc. (B/B2)(3 mo. USD Term SOFR + 3.500%)

    1,244,275       7.232     10/02/31   970,534

 

Media - Cable – 0.1%

iHeartCommunications, Inc. (CCC+/Caa1)(1 mo. USD Term SOFR + 5.775%)

    1,913,727       9.533     05/01/29   1,822,595

 

Media - Non Cable – 0.0%

Diamond Sports Group LLC (NR/NR)(Fixed + 12.000%)

    192,088       12.000     01/02/28   35,344

 

Retailers – 0.0%

Restoration Hardware, Inc. (B/B3)(1 mo. USD Term SOFR + 2.500%)

    2,560       6.258     10/20/28   2,487

 

Technology – 1.0%

Go Daddy Operating Co. LLC (BB/Ba1)(1 mo. USD Term SOFR + 1.750%)

    3,437,601       5.394     11/09/29   3,359,017

LSF12 Crown U.S. Commercial Bidco LLC (B-/B1)(1 mo. USD Term SOFR + 3.000%)

    3,192,364       6.621     12/02/31   3,198,079

McAfee LLC (B-/B1)(1 mo. USD Term SOFR + 3.000%)

    14,511,166       6.644     03/01/29   12,842,382

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(g) – (continued)

Technology – (continued)

Pitney Bowes, Inc. (BB/Ba2)(3 mo. USD Term SOFR + 3.750%)

$

    5,529,684       7.482   03/19/32   $    5,519,786
       

 

        24,919,264

 

Water Utilities – 0.2%

Deep Blue Operating I LLC (BB-/Ba3)(3 mo. USD Term SOFR + 2.250%)

    5,261,812       5.902     10/01/32   5,271,705

 

TOTAL BANK LOANS
(Cost $70,690,022)
  $   68,161,125

 

       
    Shares     Description   Value
Common Stocks – 0.4%

Automobile Components – 0.0%

    1,229       Lear Corp.   $     164,760

 

Building Products(c)(f) – 0.1%

    31,384      
Madison Air Solutions Corp.
Class A
  1,223,976

 

Chemicals – 0.0%

    411      
LyondellBasell Industries
NV Class A
  21,639

 

Commercial Services & Supplies(f) – 0.0%

    42,446       Copart, Inc.   1,196,553
    7,179,000       Reorganized ISA SA(h)   0
       

 

        1,196,553

 

Containers & Packaging(f) – 0.1%

    214,008       Ardagh Holdings SA   1,393,795

 

Diversified Telecommunication Services(f) – 0.0%

    4,500       Holdco   25,864

 

Electric Utilities – 0.0%

    1,653       Duke Energy Corp.   209,236

 

Financial Services(f) – 0.0%

    11,631       DSG TopCo, Inc.   2,524

 

Insurance – 0.2%

    5,908       Arthur J Gallagher & Co.   1,356,300
    74,565       Ryan Specialty Holdings, Inc.   2,815,574
       

 

        4,171,874

 

Real Estate Investment Trusts – 0.0%

    21,514       Luxco Co. Ltd.(f)   423,841

 

TOTAL COMMON STOCKS
(Cost $8,115,969)
  $   8,834,062

 

 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Shares      Description   Value
  Contingent Value Rights – 0.1%
 

Communications – 0.1%

  229,679      SES SA   $    3,387,765
  (Cost $0)

 

 

    
Shares      Dividend
Rate
  Value
  Preferred Stocks – 0.0%
 

Capital Markets – 0.0%

  KKR & Co., Inc.  
  20,616      6.250%   $     821,548
  (Cost $858,648)

 

 

    
Units     

Expiration

Date

  Value
  Warrants(f) – 0.0%
  Noble Corp. PLC (NR/NR)  
  4,596      02/04/28   $      61,104
  (Cost $11,490)

 

 

    
Shares      Description   Value
  Exchange Traded Funds – 0.0%
  41,233      Eaton Vance Senior  
   Floating-Rate Trust (NR/NR)   $     437,070
  (Cost $466,512)

 

 

    
Shares     

Dividend

Rate

  Value
  Investment Company(i) – 3.0%
 

Goldman Sachs Central Government Fund — Institutional Shares

  77,292,581      3.703%   $   77,292,581
  (Cost $77,292,581)  

 

 

 
TOTAL INVESTMENTS BEFORE SHORT-TERM
INVESTMENT
 
  (Cost $2,431,459,374)   $2,425,519,165

 

 

    
  Securities Lending Reinvestment Vehicle(i) – 1.8%
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  46,151,037      3.538%   $   46,151,037
  (Cost $46,151,037)  

 

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value  
Short-term Investments(j) – 3.0%

 

Commercial Paper – 3.0%

 

AutoNation, Inc.

 

$

    21,656,000       0.000 %(b)    07/01/26     $   21,653,540  

Bayer Corp.

 

    14,000,000       0.000 (b)    10/20/26     13,813,843  

Energy Transfer LP

 

    3,856,000       0.000 (b)    07/01/26     3,855,585  

Evergy Missouri West, Inc.

 

    6,386,000       0.000 (b)    07/01/26     6,385,312  

NTT Finance Americas, Inc.

 

    10,000,000       0.000     07/23/26     9,975,367  

RWE AG

 

    12,965,000       0.000 (b)    04/20/27     12,500,952  

Targa Resources Corp.

 

    9,117,000       0.000 (b)    07/01/26     9,115,995  

 

 
TOTAL SHORT-TERM INVESTMENTS
(Cost $77,308,735)
    $   77,300,594  

 

 
TOTAL INVESTMENTS – 98.9%
(Cost $2,554,919,146)
    $2,548,970,796  

 

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 1.1%

    $   29,180,920  

 

 
NET ASSETS – 100.0%     $2,578,151,716  

 

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   All or a portion of security is on loan.
(d)   Pay-in-kind securities.
(e)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(f)   Security is currently in default and/or non-income producing.
(g)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2026. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(h)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(i)   Represents an affiliated issuer.
(j)   Issued with a zero coupon. Income is recognized through the accretion of discount.
 


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2026, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
     Current
Value
     Unrealized
Gain (Loss)
 

 

 

Kaman Corp. (NR/B1), due 02/26/32

     $306,698      $306,048      $ (1,691

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Gain
 

 

 

JPMorgan Securities, Inc.

    

USD

     40,855,452          EUR        35,090,564          08/19/26        $ 676,649  

MS & Co. Int. PLC

    

USD

     24,770,257          GBP        18,376,789          07/15/26          394,672  

State Street Bank and Trust

    

USD

     4,038,520          EUR        3,463,847          08/19/26          72,405  

 

 

TOTAL

                          $ 1,143,726  

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

JPMorgan Securities, Inc.

    

GBP

     97,791          USD        132,423          07/15/26        $ (2,710

UBS AG (London)

    

EUR

     3,901,462          USD        4,552,164          08/19/26          (84,977

 

 

TOTAL

                          $ (87,687

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                   

5 Year U.S. Treasury Notes

       2,488          09/30/26        $ 266,332,625        $ 835,459  

 

 

SWAP CONTRACTS — At June 30, 2026, the Fund had the following swap contracts:

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
  Financing Rate
Received/(Paid) by
the Fund(a)
  Credit
Spread at
June 30,
2026(b)
  Termination
Date
     Notional
Amount
(000s)
       Value        Upfront
Premiums
(Received)
Paid
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

 

CDX.NA.HY Ind 39   5.000%   1.696%   12/20/27      $ 89,866        $  4,325,870        $ 2,347,588        $ 1,978,282  


GOLDMAN SACHS HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS (continued)

 

Referenced
Obligation/Index
  Financing Rate
Received/(Paid) by
the Fund(a)
    Credit
Spread at
June 30,
2026(b)
    Termination
Date
       Notional
Amount
(000s)
       Value        Upfront
Premiums
(Received)
Paid
       Unrealized
Appreciation/
(Depreciation)
 

 

 
CDX.NA.HY Ind 46     5.000%       3.040%       06/20/31        $ 115,884        $ 9,490,937        $ 5,756,408        $ 3,734,529  

 

 

TOTA L

                $ 13,816,807        $ 8,103,996        $ 5,712,811  

 

 

 

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

 

 

Currency Abbreviations:
EUR  

— Euro

GBP  

— British Pound

USD  

— U.S. Dollar

Investment Abbreviations:
CMT  

— Constant Maturity Treasury Indexes

EURIBOR  

— Euro Interbank Offered Rate

ICE  

— Inter-Continental Exchange

LLC  

— Limited Liability Company

LP  

— Limited Partnership

NR  

— Not Rated

PIK  

— Payment in kind

PLC  

— Public Limited Company

SOFR  

— Secured Overnight Financing Rate

USD  

— U.S. Dollar

Abbreviations:
CDX.NA.HY Ind 39  

— CDX North America High Yield Index 39

CDX.NA.HY Ind 46  

— CDX North America High Yield Index 46

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(a) – 83.3%

Aerospace & Defense – 3.2%

Air Comm Corp. LLC (B/B2) ((1 mo. USD Term SOFR + 2.500%) – (3 mo. USD Term SOFR + 2.500%))

$

    8,551,103      

6.144

6.232

– 

  12/11/31   $    8,545,802

Bleriot U.S. Bidco, Inc. (B/B2) (3 mo. USD Term SOFR + 2.250%)

    6,954,743       5.982     10/31/30   6,948,206

Kaman Corp. (B+/B1) (3 mo. USD Term SOFR + 2.000%)

    5,114,652       5.671     02/26/32   5,103,810

Propulsion BC Finco SARL (B/B2) (3 mo. USD Term SOFR + 2.500%)

    3,980,323       6.232     12/01/32   3,989,040

Skyshield U.S. Bidco Ltd.(b) (NR/B2)

    1,024,009       0.000     06/02/33   1,022,729

TransDigm, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 2.500%)

    13,630,457       6.144     02/28/31   13,632,092
    1,766,007       6.144     01/19/32   1,766,095
    2,729,375       6.144     08/19/32   2,729,702

VSE Corp. (BB/Ba3) (1 mo. USD Term SOFR + 2.000%)

    1,620,091       5.613     05/05/33   1,619,686
       

 

           45,357,162

 

Airlines – 0.6%

OneSky Flight LLC (BB-/Ba3) (1 mo. USD Term SOFR + 2.750%)

    3,300,000       6.387     02/17/33   3,307,227

VistaJet Malta Finance PLC (BB-/Ba3) (3 mo. USD Term SOFR + 3.750%)

    4,469,007       7.442     04/01/31   4,483,531
       

 

        7,790,758

 

Automotive – 0.6%

AL GCX Fund VIII Holdings LLC (BB/Ba3) (1 mo. USD Term SOFR +2.000%)

    4,940,629       5.613     01/30/32   4,934,454

American Auto Auction Group LLC (B-/B3) (3 mo. USD Term SOFR +4.500%)

    1,186,995       8.232     05/28/32   1,184,479

First Brands Group LLC(b) (NR/NR)

(1 mo. USD Term SOFR + 10.000%)

    1,179,708       13.614     06/29/27   172,532

(1 mo. USD Term SOFR + 7.000%)

    2,770,520       10.614     06/29/27   914

First Brands Group LLC (NR/WR)

(1 mo. USD Term SOFR + 10.614%)

    5,688,850       14.235     03/30/28   1,991

(1 mo. USD Term SOFR + 7.114%)

    6,316,266       10.735     03/30/27   3,284
    1,392,626       10.991     03/30/27   724

RVR Dealership Holdings LLC (B/B3) (3 mo. USD Term SOFR + 4.500%)

    2,210,460       8.167     02/26/33   2,131,989
       

 

        8,430,367

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Automotive - Distributors – 1.0%

Bombardier Recreational Products, Inc. (BB/Ba1) (1 mo. USD Term SOFR + 2.250%)

$

    1,240,625       5.894   01/22/31   $    1,239,037

Bombardier Recreational Products, Inc. (BB+/Ba1) (1 mo. USD Term SOFR + 2.250%)

    719,562       5.894     12/13/29   718,764

CWGS Group LLC(b) (B+/B3)

    2,979,933       0.000     06/03/28   2,832,068

DexKo Global, Inc. (B-/B2) (3 mo. USD Term SOFR + 4.500%)

    2,009,911       8.163     10/06/31   1,942,800

SRAM LLC (BB-/B1) (1 mo. USD Term SOFR + 2.250%)

    6,813,829       5.894     02/27/32   6,802,450
       

 

        13,535,119

 

Automotive - Parts – 2.4%

Adient U.S. LLC (BBB-/Ba1) (1 mo. USD Term SOFR + 2.000%)

    2,414,959       5.644     01/31/31   2,408,245

BBB Industries LLC (CCC/Caa2) (3 mo. USD Term SOFR + 5.250%)

    1,484,615       9.013     07/25/29   1,362,135

Belron Finance 2019 LLC (BB-/Ba3) (3 mo. USD Term SOFR + 2.000%)

    11,999,988       5.657     10/16/31   11,982,468

Clarios Global LP (BB-/B2)

(1 mo. EUR EURIBOR + 2.750%)

EUR

    4,125,000       4.929     01/28/32   4,722,887

(1 mo. USD Term SOFR + 2.500%)

$

    2,833,142       6.144     05/06/30   2,833,142
    3,308,375       6.144     01/28/32   3,308,375

Mavis Tire Express Services Corp. (B-/B2) (6 mo. USD Term SOFR + 3.000%)

    6,553,673       6.669     05/04/28   6,539,058
       

 

        33,156,310

 

Building & Construction – 3.4%

AECOM(b) (NR/Baa3)

    2,119,688       0.000     04/18/31   2,127,976

AGI-CFI Acquisition Corp. (B/B2) (1 mo. USD Term SOFR + 4.500%)

    2,939,000       8.144     03/25/33   2,914,518

Brand Industrial Services, Inc. (CCC+/Caa1) (3 mo. USD Term SOFR + 4.500%)

    3,737,899       8.163     08/01/30   2,914,776

Brown Group Holding LLC (B+/B2)

    4,413,382       6.143     07/01/31   4,422,562
    3,109,887      

6.144

6.166

– 

 

  07/01/31   3,115,827

Construction Partners, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 2.000%)

    3,696,218       5.639     11/03/31   3,691,413

Cube Industrials Buyer, Inc. (B/B3) (3 mo. USD Term SOFR + 3.000%)

    7,999,054       6.669     10/17/31   7,999,054

DG Investment Intermediate Holdings 2, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    5,008,742       6.894     07/09/32   5,015,003

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Building & Construction – (continued)

DG Investment Intermediate Holdings 2, Inc. (CCC/Caa2) (1 mo. USD Term SOFR + 5.500%)

$

    1,175,000       9.144   07/29/33   $    1,180,875

KKR Apple Bidco LLC (B/B2) (1 mo. USD Term SOFR + 2.500%)

    6,780,906       6.144     09/23/31   6,783,890

Salas O’Brien, Inc. (B/B2) (1 mo. USD Term SOFR + 2.750%)

    2,644,107       6.394     01/31/33   2,644,595

Smyrna Ready Mix Concrete LLC (B+/B1) (1 mo. USD Term SOFR + 3.000%)

    3,473,618       6.644     04/02/29   3,480,149

Tecta America Corp. (B/B2) (3 mo. USD Term SOFR + 2.500%)

    1,592,376       6.232     02/18/32   1,592,662
       

 

        47,883,300

 

Building Materials – 2.2%

Chamberlain Group, Inc. (B/B3) (1 mo. USD Term SOFR + 3.000%)

    3,813,037       6.644     09/08/32   3,812,160

Cornerstone Building Brands, Inc. (CCC+/Caa1) (3 mo. USD Term SOFR + 3.250%)

    5,172,041       7.014     04/12/28   3,139,429

Icebox Holdco III, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    7,509,485       6.982     12/22/31   7,524,354

Icebox Holdco III, Inc. (CCC/Caa2) (3 mo. USD Term SOFR + 6.500%)

    1,525,000       10.232     12/22/32   1,531,359

Knife River HoldCo (BBB-/Ba1) (3 mo. USD Term SOFR + 1.750%)

    743,137       5.401     03/08/32   743,606

LBM Acquisition LLC (B-/Caa1) (1 mo. USD Term SOFR + 3.750%)

    3,527,966       7.502     06/06/31   2,947,757

MI Windows & Doors LLC (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    1,736,493       6.394     03/28/31   1,711,609

Potters Industries LLC (B/B2) (3 mo. USD Term SOFR + 2.500%)

    1,745,625       6.166     12/23/32   1,747,807

Quikrete Holdings, Inc. (BB/Ba3) (1 mo. USD Term SOFR + 2.250%)

    4,620,134       5.894     04/14/31   4,614,359
    1,874,276       5.894     02/10/32   1,871,933

Watlow Electric Manufacturing Co. (B/B1)

    96,064       0.000 (b)    06/17/33   95,984

(3 mo. USD Term SOFR + 2.750%)

    1,300,459       6.482     06/17/33   1,298,027
       

 

        31,038,384

 

Capital Goods - Others – 2.0%

ADI Global Distribution Funding LLC(b) (BB/Ba2)

    1,360,000       0.000     06/17/33   1,361,700

Avis Budget Car Rental LLC (BB-/Ba1) (1 mo. USD Term SOFR + 2.500%)

    3,464,654       6.144     07/16/32   3,450,206

Engineered Machinery Holdings, Inc. (B-/B1) (3 mo. EUR EURIBOR + 3.500%)

EUR

    3,282,257       5.791     11/26/32   3,773,746

(3 mo. USD Term SOFR + 3.250%)

$

    2,957,542       6.982     11/26/32   2,970,555

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Capital Goods - Others – (continued)

Nvent Electric PLC (B/B2) (1 mo. USD Term SOFR + 3.000%)

$

    7,592,625       6.371   01/30/32   $    7,607,583

Team Health Holdings, Inc. (B-/Caa1) (3 mo. USD Term SOFR + 4.000%)

    2,846,322       7.663     06/30/28   2,846,322

TKC Holdings, Inc. (B-/B2) (1 mo. USD Term SOFR + 4.500%)

    3,314,693       8.137     08/19/30   3,298,119

Verisure Holding AB (BB+/Ba1) (3 mo. EUR EURIBOR + 2.250%)

EUR

    2,056,250       4.449     11/03/32   2,360,678
       

 

        27,668,909

 

Chemicals – 4.0%

Albaugh LLC (BB/Ba3) (3 mo. USD Term SOFR + 3.750%)

$

    2,292,766       7.413     04/06/29   2,206,787

Aruba Investments Holdings LLC (CCC+/B3) (3 mo. USD Term SOFR + 4.000%)

    3,453,227       7.766     11/24/27   3,159,703

Bakelite U.S. Holdco, Inc. (B/B2) (3 mo. USD Term SOFR + 3.750%)

    1,469,271       7.482     12/23/31   1,464,290

Berlin Packaging LLC (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    4,455,057      

6.932

6.982

– 

 

  06/07/31   4,428,905

ChemCat AcquisitionCo LLC(b) (B/B2)

    614,232       0.000     06/30/33   589,663

Consolidated Energy Finance SA (B-/B3) (3 mo. USD Term SOFR + 4.500%)

    1,208,932       8.163     11/15/30   1,179,011

Consolidated Energy Finance SA (NR/B3) (3 mo. USD Term SOFR + 4.750%)

    1,995,000       8.413     11/15/30   1,931,818

Discovery Purchaser Corp. (B-/B3) (3 mo. USD Term SOFR + 3.750%)

    4,410,887       7.414     10/04/29   4,388,832

Hexion Holdings Corp. (B-/B3) (1 mo. USD Term SOFR + 4.000%)

    2,800,000       7.652     03/15/29   2,702,588

Illuminate Buyer LLC (B+/B2) (1 mo. USD Term SOFR + 2.500%)

    8,178,506       6.144     12/31/29   8,060,245

INEOS Quattro Holdings U.K. Ltd. (B/B3) (1 mo. USD Term SOFR + 4.250%)

    3,607,740       7.894     10/07/31   3,019,246

Ineos U.S. Finance LLC (B+/B2) (1 mo. USD Term SOFR + 3.000%)

    955,039       6.644     02/07/31   844,494

(1 mo. USD Term SOFR + 3.250%)

    3,841,226       6.894     02/18/30   3,530,087

INEOS U.S. Finance LLC(b) (B+/NR)

    1,300,000       0.000     06/18/32   1,214,421

Innophos, Inc. (B+/B2) (1 mo. USD Term SOFR + 4.250%)

    2,797,775       8.008     03/16/29   2,663,146

M2S Group Holdings, Inc. (B/B2) (3 mo. USD Term SOFR + 4.750%)

    3,080,656       8.413     08/25/31   3,051,790

Nouryon Finance BV (B+/B2) (6 mo. USD Term SOFR + 3.250%)

    1,867,642      

6.936

6.938

– 

 

  04/03/28   1,866,092

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Chemicals – (continued)

PMHC II, Inc. (B-/NR) (3 mo. USD Term SOFR + 6.250%)

$

    803,584       9.899   04/30/30   $      772,646

PMHC II, Inc. (CC/NR) (3 mo. USD Term SOFR + 4.250%)

    2,691,999       8.049     04/30/30   374,645

PMHC II, Inc. (CCC-/NR) (3 mo. USD Term SOFR + 4.250%)

    1,449,538       8.049     04/30/30   791,027

Qnity Electronics, Inc. (BB+/Ba1) (3 mo. USD Term SOFR + 2.000%)

    1,865,625       5.666     11/01/32   1,867,547

SCIH Salt Holdings, Inc. (B/B3) (6 mo. USD Term SOFR + 2.750%)

    845,750       6.350     01/31/29   846,240

Trident TPI Holdings, Inc. (B-/B3) (3 mo. USD Term SOFR + 3.750%)

    1,179,986       7.482     09/15/28   1,129,341

W.R. Grace & Co.-Conn. (B-/B2) (3 mo. USD Term SOFR + 3.000%)

    707,747       6.732     08/19/32   704,796

Windsor Holdings III LLC (B+/B1) (1 mo. USD Term SOFR + 2.750%)

    3,530,895       6.394     08/01/30   3,526,482
       

 

        56,313,842

 

Commercial Services – 5.0%

Allied Universal Holdco LLC (B/B3) (1 mo. USD Term SOFR + 3.250%)

    5,912,981       6.894     08/20/32   5,912,212

Ankura Consulting Group LLC (B-/B3) (3 mo. USD Term SOFR + 3.500%)

    3,572,837       7.166     12/29/31   3,370,972

Anticimex International AB (B/B3) (3 mo. USD Term SOFR + 2.900%)

    4,824,647       6.410     11/17/31   4,828,940

APi Group DE, Inc. (BB/Ba1) (1 mo. USD Term SOFR + 1.750%)

    2,982,525       5.394     05/16/33   2,975,367

Berkeley Research Group LLC (B/B2) (3 mo. USD Term SOFR + 3.250%)

    822,102       6.982     05/01/32   820,195

CoreLogic, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.500%)

    2,201,883       7.258     06/02/28   2,174,360

Element Materials Technology Group U.S. Holdings, Inc. (B/B3) (3 mo. USD Term SOFR + 3.500%)

    9,209,183       7.232     07/06/29   9,239,849

Ensemble RCM LLC(b) (B/B2)

    2,863,000       0.000     02/09/33   2,850,832

First Advantage Holdings LLC (B+/B1) (3 mo. USD Term SOFR + 2.750%)

    1,705,026       6.482     10/31/31   1,680,968

Fleet Midco I Ltd. (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    4,827,564       6.394     02/21/31   4,827,564

Garda World Security Corp. (B+/B1) (3 mo. USD Term SOFR + 2.750%)

    9,252,259       6.419     02/01/29   9,226,815

Highspring Holdings LLC (B-/Caa1) (3 mo. USD Term SOFR + 5.000%)

    959,962       8.882     01/22/29   782,245

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Commercial Services – (continued)

Holding Socotec (B/B2)

(3 mo. EUR EURIBOR + 3.000%)

EUR

    1,525,000       5.291   06/02/31   $    1,748,180

(3 mo. USD Term SOFR + 2.750%)

$

    4,621,644       6.370     06/02/31   4,623,077

Mister Car Wash Holdings, Inc. (B/B2)

(1 mo. USD Term SOFR + 2.750%)

    1,259,616       6.394     03/27/31   1,260,183

(1 mo. USD Term SOFR + 3.000%)

    2,000,000       6.644     03/27/31   2,004,720

Prime Security Services Borrower LLC (BB/Ba3) (1 mo. USD Term SOFR + 1.750%)

    1,682,957       5.369     03/07/32   1,655,845

Vestis Corp. (B+/B2) (3 mo. USD Term SOFR + 2.250%)

    1,790,526       5.916     02/22/31   1,761,430

Wand NewCo 3, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    2,532,930       6.144     01/30/31   2,528,700

WCG Intermediate Corp. (B-/B3) (1 mo. USD Term SOFR + 2.750%)

    6,732,170       6.394     02/25/32   6,677,572
       

 

        70,950,026

 

Consumer Cyclical Services – 3.2%

Albion Financing 3 SARL (BB-/B1) (3 mo. USD Term SOFR + 3.000%)

    3,647,359       6.632     05/21/31   3,649,183

Asplundh Tree Expert LLC (BBB-/Ba1) (1 mo. USD Term SOFR + 1.750%)

    950,000       5.394     05/30/33   948,299

Asurion LLC (B/B3) (3 mo. USD Term SOFR + 5.250%)

    2,777,103       9.028     01/20/29   2,741,000

Asurion LLC (BB-/Ba3)

(3 mo. USD Term SOFR + 3.750%)

    989,827       7.413     02/23/33   934,149

(3 mo. USD Term SOFR + 4.000%)

    1,409,254       7.763     08/19/28   1,406,619

(3 mo. USD Term SOFR + 4.250%)

    3,318,620       7.913     09/19/30   3,275,478

C&S Wholesale Grocers, Inc. (B-/B3) (3 mo. USD Term SOFR + 5.000%)

    2,768,772       8.732     09/20/30   2,654,560

Core & Main LP (BB/Ba2) (3 mo. USD Term SOFR + 2.000%)

    845,009       5.656     07/27/28   844,654

Fluid-Flow Products, Inc. (B-/B3) (1 mo. USD Term SOFR + 3.250%)

    8,542,311       6.894     03/04/33   8,567,682

GSM Holdings, Inc. (B/B3) (3 mo. USD Term SOFR + 5.000%)

    1,958,044       8.732     09/30/31   1,958,044

Hertz Corp. (B-/Ba3)

(3 mo. USD Term SOFR + 3.500%)

    1,935,284       7.425     06/30/28   1,363,504

(3 mo. USD Term SOFR + 3.750%)

    2,437,500       7.413     06/30/28   1,699,132

Pre-Paid Legal Services, Inc. (B/B3) (1 mo. USD Term SOFR + 3.250%)

    195,561       6.894     12/15/28   178,123

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Consumer Cyclical Services – (continued)

Sabre GLBL, Inc. (B-/B3) (1 mo. USD Term SOFR + 6.250%)

$

    1,446,601       9.994   07/30/29   $    1,286,160

Spin Holdco, Inc. (B/B3) (3 mo. USD Term SOFR + 5.430%)

    1,574,607       9.096     09/04/30   1,613,721

Spin Holdco, Inc. (CCC+/Caa3) (3 mo. USD Term SOFR + 4.000%)

    4,306,961       7.928     09/04/30   3,225,656

Thevelia (U.S.) LLC (B/B2) (3 mo. USD Term SOFR + 3.000%)

    1,716,653       6.732     06/18/29   1,665,685

Veritiv Corp. (B+/B2) (3 mo. USD Term SOFR + 4.000%)

    3,674,119       7.732     12/02/30   3,466,972

Whatabrands LLC (B/B2) (1 mo. USD Term SOFR + 2.500%)

    3,505,514       6.144     08/03/28   3,499,765
       

 

        44,978,386

 

Consumer Products – 1.0%

ESCO Technologies, Inc.(b)(c) (BB/Ba1)

    1,580,000       0.000     06/11/33   1,576,050

MajorDrive Holdings IV LLC (CCC+/B3) (3 mo. USD Term SOFR + 4.000%)

    1,423,265       7.994     06/01/28   1,363,104

Opal Bidco SAS (B+/B1) (3 mo. USD Term SOFR + 2.500%)

    1,612,833       6.232     04/28/32   1,610,671

Rosen International SARL(b) (B+/Ba3)

    3,762,045       0.000     03/26/31   3,758,753

TGP Holdings III LLC (B-/Caa1) (1 mo. USD Term SOFR + 3.250%)

    3,884,575       6.994     06/29/28   3,653,676

Trilon Group LLC(c) (B-/B3) (3 mo. USD Term SOFR + 3.500%)

    2,039,381       7.124     06/10/33   2,036,832
       

 

        13,999,086

 

Consumer Products - Household & Leisure – 0.3%

GBT U.S. III LLC (BB-/B1) (3 mo. USD Term SOFR + 2.000%)

    2,071,868       5.667     07/25/31   2,069,278

Weber-Stephen Products LLC (B-/B3) (3 mo. USD Term SOFR + 3.750%)

    2,889,758       7.442     10/01/32   2,851,064
       

 

        4,920,342

 

Diversified Financial Services – 4.5%

AAL Delaware Holdco, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    9,212,293       6.144     07/30/31   9,210,358

Allspring Buyer LLC (BB-/Ba3) (3 mo. USD Term SOFR + 3.000%)

    5,848,761       6.750     11/01/30   5,861,921

DRW Holdings LLC (BB-/Ba3) (1 mo. USD Term SOFR + 3.500%)

    2,348,053       7.144     06/26/31   2,247,275

Eagle Broadband Investments LLC (B+/B2) (3 mo. USD Term SOFR + 3.000%)

    4,529,896       6.994     11/12/27   3,431,396

Edelman Financial Center LLC (B/B3) (1 mo. USD Term SOFR + 4.000%)

    3,681,838       7.644     12/01/31   3,689,312

Eisner Advisory Group LLC (B-/B3) (1 mo. USD Term SOFR + 4.000%)

    787,219       7.644     02/28/31   771,805

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Diversified Financial Services – (continued)

FNZ Group Services Ltd. (B-/B3) (3 mo. USD Term SOFR + 5.000%)

$

    2,414,437       8.658   11/05/31   $    1,902,891

Focus Financial Partners LLC (B/B2) (1 mo. USD Term SOFR + 2.500%)

    9,344,455       6.144     09/15/31   9,106,171

Franklin Square Holdings LP (BB/Ba1) (1 mo. USD Term SOFR + 2.250%)

    1,561,863       5.894     04/25/31   1,438,867

Hudson River Trading LLC(b) (BB/Ba2)

    4,284,236       0.000     03/18/30   4,251,376

Jane Street Group LLC (BB/Ba1) (3 mo. USD Term SOFR + 2.000%)

    2,251,178       5.666     12/15/31   2,228,846

Jupiter Borrower, Inc.(b) (BB/Ba1)

    1,495,000       0.000     03/25/33   1,491,890

NEXUS Buyer LLC (B-/B2)

(1 mo. USD Term SOFR + 3.500%)

    1,816,864       7.144     07/31/31   1,747,914

(1 mo. USD Term SOFR + 4.000%)

    2,383,995       7.644     07/31/31   2,301,843

Orion U.S. Finco, Inc. (NR/B2) (3 mo. USD Term SOFR + 3.500%)

    3,890,250       7.169     10/08/32   3,889,394

Turbo EMEA Holdings BV (B/B2) (1 mo. EUR EURIBOR + 3.250%)

EUR

    2,850,000       5.429     09/23/32   3,232,670

VFH Parent LLC (B+/B1) (1 mo. USD Term SOFR + 2.500%)

$

    6,558,750       6.144     06/21/31   6,555,471

Victory Capital Holdings, Inc.(b) (BB/Ba1)

    758,090       0.000     09/23/32   754,421
       

 

        64,113,821

 

Educational Services – 0.5%

Fugue Finance BV (B/B2) (3 mo. USD Term SOFR + 2.250%)

    6,923,926       5.916     01/09/32   6,898,169

 

Electrical – 1.6%

Artera Services LLC (CCC+/Caa1) (1 mo. USD Term SOFR + 4.500%)

    2,362,913       8.144     02/15/31   2,083,452

Compass Power Generation LLC(b) (BB-/Ba3)

    798,000       0.000     04/13/29   797,338

Kohler Energy Co. LLC (B/B1) (3 mo. USD Term SOFR + 3.000%)

    8,640,069       6.732     05/01/31   8,645,512

MPH GridFlex LLC(b) (NR/Ba3)

    750,000       0.000     05/13/33   748,125

Pelican Products, Inc. (CCC+/Caa1) (3 mo. USD Term SOFR + 4.250%)

    3,774,594       8.244     12/29/28   3,605,907

Resilience Parent LLC (B/B2) (3 mo. USD Term SOFR + 2.500%)

    3,290,000       6.232     02/28/33   3,282,104

Saphira Holdings SARL(b) (NR/NR)

EUR

    800,000       0.000     06/10/33   916,749

Talen Energy Supply LLC(b) (BB+/Baa3)

$

    2,867,722       0.000     12/15/31   2,851,347
       

 

        22,930,534

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Energy – 0.3%

Vistra Zero Operating Co. LLC (BBB-/Ba2) (1 mo. USD Term SOFR + 2.000%)

$

    4,825,000       5.644   04/30/31   $    4,804,880

 

Entertainment – 1.9%

AMC Entertainment Holdings, Inc. (B/B3) (1 mo. USD Term SOFR + 7.000%)

    1,919,548       10.639     01/04/29   1,923,061

Arcis Golf LLC (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    10,334,433       6.394     11/24/28   10,347,351

Cinemark USA, Inc. (BBB-/Ba1) ((1 mo. USD Term SOFR + 2.000%) – (3 mo. USD Term SOFR + 2.000%))

    867,272      

5.643

5.644

– 

 

  05/24/30   867,705

Crown Finance U.S., Inc. (B/B3) (1 mo. USD Term SOFR + 4.500%)

    6,915,193       8.114     12/02/31   6,923,837

Fender Musical Instruments Corp. (B-/Caa1) (1 mo. USD Term SOFR + 4.000%)

    1,936,542       7.744     12/01/28   1,837,779

GVC Holdings (Gibraltar) Ltd. (BB-/Ba2) (3 mo. USD Term SOFR + 2.250%)

    3,627,669       5.982     07/31/32   3,621,611

Playtika Holding Corp. (BB/Ba2) (1 mo. USD Term SOFR + 2.750%)

    1,666,208       6.508     03/13/28   1,614,288
       

 

        27,135,632

 

Environmental – 0.2%

Luna 2.5 SARL (B+/B1) (1 mo. EUR EURIBOR + 3.500%)

EUR

    2,140,449       5.325     07/01/32   2,456,243

 

Food & Beverage(b)(c) – 0.1%

AAG U.S. GSI Bidco, Inc. (NR/NR)

$

    1,726,980       0.000     10/31/31   1,722,663

 

Food & Beverages – 2.2%

Chef’s Warehouse Leasing Co. LLC (BB-/B1) (1 mo. USD Term SOFR + 2.500%)

    4,728,878       6.144     08/23/29   4,738,714

Chobani LLC (BB-/Ba3) (1 mo. USD Term SOFR + 2.250%)

    696,500       5.894     10/28/32   697,496

Froneri Lux Finco SARL (BB-/B1) (6 mo. USD Term SOFR + 2.250%)

    5,366,617       5.877     09/30/31   5,324,811

Pegasus BidCo BV (B+/B1) (3 mo. USD Term SOFR + 2.500%)

    6,031,282       6.168     07/12/32   6,026,277

PFI Lower Midco LLC (B/B2) (1 mo. USD Term SOFR + 4.000%)

    1,393,000       7.644     12/01/32   1,399,965

Primo Brands Corp. (BB/Ba3) (3 mo. USD Term SOFR + 2.750%)

    1,792,066       6.482     03/31/31   1,799,592

Sazerac Co., Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 2.000%)

    4,328,250       5.630     07/09/32   4,319,247

United Natural Foods, Inc. (BB-/B3) (1 mo. USD Term SOFR + 4.000%)

    3,946,062       7.644     05/01/31   3,975,657

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Food & Beverages – (continued)

Verifone Systems, Inc. (B-/B3) (3 mo. USD Term SOFR + 5.500%)

$

    2,153,250       9.425   08/18/28   $    2,034,563
       

 

        30,316,322

 

Gaming(c) – 0.5%

United FP Holdings LLC (D/Caa2) (3 mo. USD Term SOFR + 4.000%)

    7,976,927       7.925     12/30/26   6,445,357

United FP Holdings LLC (NR/Caa2) (3 mo. USD Term SOFR + 8.500%)

    552,079       12.425     12/30/26   446,080
       

 

        6,891,437

 

Health Care Products – 0.8%

Bausch & Lomb Corp. (B/B1) (1 mo. USD Term SOFR + 3.750%)

    2,672,743       7.394     01/15/31   2,676,084

BioMarin Pharmaceutical, Inc. (BBB-/Ba1) (6 mo. USD Term SOFR + 1.750%)

    2,400,000       5.428     04/27/33   2,398,800

Hologic, Inc. (B+/B1) (3 mo. USD Term SOFR + 2.250%)

    5,800,000       5.995     04/07/33   5,670,718
       

 

        10,745,602

 

Health Care Services – 2.8%

Examworks Bidco, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    4,801,503       6.144     02/06/33   4,803,519

Global Medical Response, Inc. (B+/B1) (1 mo. USD Term SOFR + 3.250%)

    4,327,556       6.889     10/01/32   4,337,206

Help At Home, Inc. (B-/B3) (1 mo. USD Term SOFR + 5.000%)

    2,776,768       8.644     09/24/31   2,448,609

Lonza Group AG (CCC/B2) (3 mo. USD Term SOFR + 3.925%)

    4,958,559       7.757     07/03/28   4,686,781

Lumexa Imaging, Inc. (B+/B2) (3 mo. USD Term SOFR + 3.000%)

    4,214,437       6.732     12/17/32   4,217,935

Mehilainen Yhtiot OYJ (B/B2) (3 mo. EUR EURIBOR + 3.400%)

EUR

    5,100,000       5.191     08/05/31   5,850,161

National Mentor Holdings, Inc.(b) (B-/B3)

$

    2,120,685       0.000     12/12/30   2,133,155

Onex TSG Intermediate Corp. (B/B2) (3 mo. USD Term SOFR + 3.250%)

    2,144,625       6.982     08/06/32   2,154,898

Phoenix Guarantor, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 2.000%)

    4,427,741       5.644     02/21/31   4,417,247

Team Services Group (B-/B2) (3 mo. USD Term SOFR + 5.250%)

    4,950,000       8.982     03/31/33   4,830,903
       

 

        39,880,414

 

Healthcare – 0.2%

Heartland Dental LLC (B/B2) (1 mo. USD Term SOFR + 3.500%)

    369,068       7.144     08/25/32   369,138

LifePoint Health, Inc. (B/B2) (3 mo. USD Term SOFR + 3.750%)

    2,660,223       7.423     05/19/31   2,616,994
       

 

        2,986,132

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Home Construction – 0.9%

AI Aqua Merger Sub, Inc. (B/B2) ((1 mo. USD Term SOFR + 2.500%) – (3 mo. USD Term SOFR + 2.500%))

$

    9,508,175      

6.119

6.164

– 

  07/31/28   $    9,495,434

Hunter Douglas, Inc. (B/B1) (3 mo. USD Term SOFR + 3.000%)

    3,238,257       6.732     01/20/32   3,231,522
       

 

        12,726,956

 

Insurance – 4.8%

Acrisure LLC (B/B2)

(1 mo. USD Term SOFR + 3.000%)

    9,055,424       6.644     11/06/30   8,172,520

(1 mo. USD Term SOFR + 3.250%)

    1,930,500       6.894     06/21/32   1,739,381

Alliant Holdings Intermediate LLC (B+/B2) (1 mo. USD Term SOFR + 2.500%)

    14,270,194       6.144     09/19/31   14,065,987

AmWINS Group, Inc. (B+/B1) (3 mo. USD Term SOFR + 2.000%)

    8,319,655       5.732     01/30/32   8,127,887

Bella Holding Co. LLC (B/B3) (1 mo. USD Term SOFR + 3.250%)

    1,315,000       6.894     06/16/33   1,301,850

Broadstreet Partners, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    5,842,522       6.144     06/13/31   5,629,562

Howden Group Holdings Ltd. (B/B2) (1 mo. USD Term SOFR + 2.750%)

    8,464,153       6.394     02/15/31   7,928,795

Hyperion Insurance Group Ltd. (B/B2) (1 mo. USD Term SOFR + 2.750%)

    1,218,750       6.394     04/18/30   1,146,539

Lockton, Inc. (BB/Ba3) (3 mo. USD Term SOFR + 2.000%)

    1,070,000       5.657     05/09/33   1,065,988

Sedgwick Claims Management Services, Inc. (B+/B2) (1 mo. USD Term SOFR + 2.500%)

    5,328,832       6.144     07/31/31   5,259,557

Trucordia Insurance Holdings LLC (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    1,811,312       6.982     06/17/32   1,612,068

Truist Insurance Holdings LLC (B/B2) (3 mo. USD Term SOFR + 2.750%)

    5,707,727       6.482     05/06/31   5,566,460

USI, Inc. (B/B1) (3 mo. USD Term SOFR + 2.250%)

    6,768,093       5.982     11/21/29   6,741,021
       

 

        68,357,615

 

Internet – 1.1%

BEP Intermediate Holdco LLC (B/B1) (1 mo. USD Term SOFR + 2.750%)

    3,771,110       6.394     04/25/31   3,758,552

CNT Holdings I Corp. (B/B2) (3 mo. USD Term SOFR + 2.500%)

    4,460,939       6.163     11/08/32   4,462,411

Darktrace PLC (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    3,776,439       6.927     10/09/31   3,434,672

Evertec Group LLC (BB-/Ba3) (1 mo. USD Term SOFR + 2.250%)

    1,490,000       5.894     10/30/30   1,488,138

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Internet – (continued)

Plano HoldCo, Inc. (B/B2) (3 mo. USD Term SOFR + 3.500%)

$

    2,410,275       7.232   10/02/31   $    1,880,014
       

 

        15,023,787

 

Leisure Time(b) – 0.1%

Gaia Purchaser, Inc. (NR/NR)

    1,419,197       0.000     06/25/33   1,417,423

 

Lodging – 1.0%

Caesars Entertainment, Inc. (BB-/Ba3) (1 mo. USD Term SOFR + 2.250%)

    4,320,125       5.894     02/06/30   4,167,581

Fertitta Entertainment LLC (B/B2) (1 mo. USD Term SOFR + 3.250%)

    4,873,687       6.894     01/27/29   4,866,279

Hilton Grand Vacations Borrower LLC (BB/Ba3) (1 mo. USD Term SOFR + 2.000%)

    2,825,176       5.644     08/02/28   2,821,645

Travel & Leisure Co. (BB-/Ba3) (1 mo. USD Term SOFR + 2.000%)

    2,816,176       5.644     12/14/29   2,810,713
       

 

        14,666,218

 

Machinery – 1.7%

Apex Tool Group LLC (B-/B3) (1 mo. USD Term SOFR + 7.000%)

    126,759       10.644     04/08/30   126,759

Apex Tool Group LLC (CC/Caa3) (1 mo. USD Term SOFR + 10.000%)

    2,167,633       13.644     02/08/29   1,387,285

Apex Tool Group LLC (CCC-/Ca) (1 mo. USD Term SOFR + 6.000%)

    1,754,036       9.644     02/08/29   596,372

Apex Tool Group LLC (CCC+/Caa2) (1 mo. USD Term SOFR + 5.250%)

    3,159,499       8.894     04/08/30   2,717,169

Apex Tool Group LLC (NR/Ca) (1 mo. USD Term SOFR + 6.000%)

    424,650       9.644     02/08/29   144,381

CD&R Hydra Buyer, Inc. (B/B3) (1 mo. USD Term SOFR + 4.000%)

    3,958,875       7.744     03/25/31   3,959,706

CompoSecure Holdings LLC (B+/B1) (3 mo. USD Term SOFR + 2.250%)

    2,149,000       5.918     01/14/33   2,134,731

TK Elevator Midco GmbH (B/B2) (6 mo. USD Term SOFR + 2.750%)

    10,253,810       6.377     04/30/30   10,292,467

Victory Buyer LLC (B-/B2) (3 mo. USD Term SOFR + 3.000%)

    2,550,000       6.663     02/14/33   2,553,825
       

 

        23,912,695

 

Machinery - Construction & Mining – 0.7%

Chromalloy Corp. (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    8,657,710       6.932     03/27/31   8,692,861

WEC U.S. Holdings Ltd. (B+/B1) (1 mo. USD Term SOFR + 2.000%)

    1,421,249       5.621     01/27/31   1,419,614
       

 

        10,112,475

 

Machinery-Diversified – 0.5%

Chart Industries, Inc. (BB-/Ba2) (3 mo. USD Term SOFR + 2.500%)

    6,823,268       6.182     03/15/30   6,810,509

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Machinery-Diversified – (continued)

Paint Intermediate III LLC (B/B2) (3 mo. USD Term SOFR + 3.000%)

$

    870,592       6.653   10/09/31   $    872,229
       

 

        7,682,738

 

Media – 0.5%

Cogeco Communications Finance (USA) LP (BB/B1) (1 mo. USD Term SOFR + 3.250%)

    1,937,096       6.894     09/18/30   1,728,858

Emerald Holding, Inc.(b) (B/B2)

    273,240       0.000     06/17/33   272,215

EOC Borrower LLC (B+/B2) (1 mo. USD Term SOFR + 2.750%)

    1,980,000       6.394     03/24/32   1,979,010

Proofpoint, Inc.(b) (B-/B2)

    2,978,867       0.000     08/31/28   2,870,883
       

 

        6,850,966

 

Media - Cable – 1.1%

Altice Financing SA (CCC+/Caa2) (3 mo. USD Term SOFR + 5.000%)

    1,376,000       8.673     10/31/27   1,028,561

CSC Holdings LLC (CCC/Caa2) (3 mo. U.S. (Fed) Prime Rate + 1.500%)

    3,769,395       8.250     04/15/27   2,638,576

DirecTV Financing LLC (B+/B1) (3 mo. USD Term SOFR + 5.250%)

    2,150,289       9.175     08/02/29   2,159,707

Radiate Holdco LLC(b) (CCC+/Caa1)

    2,995,217       0.000     09/25/29   2,691,951

Sinclair Television Group, Inc. (B-/Caa1) (3 mo. USD Term SOFR + 4.100%)

    3,177,037       7.932     12/31/30   2,754,110

Virgin Media Bristol LLC (B+/Ba3) (6 mo. USD Term SOFR + 3.175%)

    5,333,080       6.967     03/31/31   4,711,616
       

 

        15,984,521

 

Media - Non Cable – 1.7%

CMG Media Corp. (B/B3) (3 mo. USD Term SOFR + 3.500%)

    4,576,488       7.332     06/18/29   4,123,919

Diamond Sports Group LLC (NR/NR) (Fixed + 12.000%)

    183,229       12.000     01/02/28   33,714

Neptune Bidco U.S., Inc. (B-/B3) (3 mo. USD Term SOFR + 5.000%)

    9,298,173       8.769     02/03/33   9,212,909

Univision Communications, Inc. (B/B2) (1 mo. USD Term SOFR + 3.250%)

    5,646,304       7.008     01/31/29   5,611,015

Versant Media Group, Inc. (BB/Ba2) (3 mo. USD Term SOFR + 3.500%)

    5,250,000       7.232     01/30/31   5,259,397
       

 

        24,240,954

 

Midstream – 4.0%

AL GCX Holdings LLC (B+/Ba3) (1 mo. USD Term SOFR + 2.250%)

    6,034,875       5.863     12/17/32   6,032,702

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Midstream – (continued)

AL NGPL Holdings LLC (B+/Ba3) (3 mo. USD Term SOFR + 2.000%)

$

    7,034,998       5.677   12/09/30   $    7,033,239

Colossus Acquireco LLC (BB+/Ba1) (3 mo. USD Term SOFR + 1.750%)

    7,476,375       5.370     01/31/33   7,423,442

Crescent Midstream Operating LLC (B+/B1) (3 mo. USD Term SOFR + 3.750%)

    2,025,000       7.399     02/18/33   2,035,753

Meade Pipeline Co. LLC (BB/Ba2) (3 mo. USD Term SOFR + 2.000%)

    6,300,000       5.677     09/22/32   6,296,850

NGL Energy Partners LP (B+/B2) (1 mo. USD Term SOFR + 3.500%)

    1,845,376       7.125     03/11/33   1,850,986

Pelican Pipeline LLC (BB/Ba2) (3 mo. USD Term SOFR + 2.750%)

    1,525,000       6.482     03/25/33   1,525,000

Prairie ECI Acquiror LP (B-/B3) (1 mo. USD Term SOFR + 3.250%)

    4,986,203       6.894     08/01/29   4,997,422

Traverse Midstream Partners LLC (BB-/B2)

    6,090,000       0.000 (b)    04/21/33   6,082,387

(3 mo. USD Term SOFR + 2.500%)

    6,361,935       6.163     02/16/28   6,369,887

Whitewater Matterhorn Holdings LLC (BB-/Ba3) (3 mo. USD Term SOFR + 1.750%)

    6,309,187       5.500     06/16/32   6,258,462
       

 

        55,906,130

 

Mining – 0.6%

Arsenal AIC Parent LLC (B+/Ba3) (1 mo. USD Term SOFR + 2.750%)

    4,780,165       6.394     08/19/30   4,792,115

Atkore International, Inc. (BBB-/Ba1)(c) (3 mo. USD Term SOFR + 2.000%)

    1,215,812       5.732     09/29/32   1,217,332

Worthington Steel, Inc. (BB-/B2) (1 mo. USD Term SOFR + 4.000%)

    2,230,000       7.621     06/01/33   2,223,043
       

 

        8,232,490

 

Non Captive – 0.5%

HUB International Ltd. (B+/B1) (3 mo. USD Term SOFR + 2.250%)

    7,272,527       5.922     06/20/30   7,260,600

 

Oil Field Services – 0.1%

Delek U.S. Holdings, Inc. (BB/B2) (1 mo. USD Term SOFR + 3.000%)

    1,692,335       6.644     05/17/32   1,689,170

 

Packaging – 1.2%

Clydesdale Acquisition Holdings, Inc. (B+/B2)

(1 mo. USD Term SOFR + 3.175%)

    2,328,871       6.819     04/13/29   2,284,925

(1 mo. USD Term SOFR + 3.250%)

    3,732,149       6.894     04/01/32   3,582,080

Pro Mach Group, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    1,741,261       6.144     10/15/32   1,741,696

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Packaging – (continued)

Proampac PG Borrower LLC (B-/B3) ((1 mo. USD Term SOFR + 4.000%) – (3 mo. USD Term SOFR + 4.000%))

$

    4,508,661      

7.652

7.666

– 

  03/07/33   $    4,425,746

Tosca Services LLC (B/B2) (3 mo. USD Term SOFR + 5.500%)

    1,395,211       9.232     11/30/28   1,399,578

TricorBraun Holdings, Inc. (B-/B3) (1 mo. USD Term SOFR + 3.250%)

    3,912,664       6.894     03/03/31   3,652,237
       

 

        17,086,262

 

Paper – 0.1%

Mativ Holdings, Inc. (B+/Ba3) (1 mo. USD Term SOFR + 4.500%)

    1,490,000       8.144     04/04/33   1,490,000

 

Pharmaceuticals – 1.2%

Alkermes, Inc. (BB/Ba2) (3 mo. USD Term SOFR + 2.750%)

    1,246,875       6.482     08/12/31   1,249,992

Amneal Pharmaceuticals LLC (B+/Ba3) (1 mo. USD Term SOFR + 3.000%)

    5,409,159       6.644     08/01/32   5,426,090

Bausch Health Cos., Inc. (B/Caa1) (1 mo. USD Term SOFR + 6.250%)

    6,160,944       9.894     10/08/30   5,967,429

Covetrus, Inc. (CCC+/B2) (3 mo. USD Term SOFR + 5.000%)

    1,526,382       8.732     10/13/29   1,476,774

Gainwell Acquisition Corp. (B-/B3) (3 mo. USD Term SOFR + 4.000%)

    3,326,913       7.832     10/01/27   3,274,248
       

 

        17,394,533

 

Pipelines – 0.2%

ACI Rover Parent LLC (BB/B2) (3 mo. USD Term SOFR + 2.250%)

    800,000       5.982     06/09/33   797,800

Birdsboro Power LLC(b)(c) (NR/NR)

    510,005       0.000     06/24/33   508,730

ITT Holdings LLC (BB-/Ba2) (1 mo. USD Term SOFR + 1.975%)

    1,449,243       5.619     10/11/30   1,446,403
       

 

        2,752,933

 

Restaurants – 0.8%

Dave & Buster’s, Inc. (B-/B3) (3 mo. USD Term SOFR + 3.250%)

    4,056,000       6.916     06/29/29   3,559,140

Flynn Restaurant Group LP(b) (B/B2)

    1,735,606       0.000     01/28/32   1,716,011

Horizon U.S. Finco LP (B/B2) (3 mo. USD Term SOFR + 4.750%)

    3,162,078       8.413     10/31/31   2,948,638

Raising Cane’s Restaurants LLC (BB-/B1) (1 mo. USD Term SOFR + 2.000%)

    3,245,000       5.621     06/06/33   3,224,719
       

 

        11,448,508

 

Retail(b) – 0.1%

QXO Building Products, Inc. (NR/NR)

    1,085,000       0.000     06/03/33   1,081,984

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Retailers – 3.6%

BCPE Empire Holdings, Inc. (B/B3) (1 mo. USD Term SOFR + 3.250%)

$

    4,451,468       6.894   12/11/30   $    4,387,501

BCPE Grill Parent (B-/B3) (3 mo. USD Term SOFR + 4.750%)

    1,591,837       8.416     09/30/30   1,505,416

Chewy, Inc.(b)(c) (BB/Ba2)

    2,549,865       0.000     06/23/33   2,546,678

EG America LLC (B/B2) (3 mo. USD Term SOFR + 3.250%)

    5,000,000       6.916     02/10/31   5,012,500

Great Outdoors Group LLC (BB-/B1) (1 mo. USD Term SOFR + 3.250%)

    1,826,817       6.894     01/23/32   1,831,384

Harbor Freight Tools USA, Inc. (BB-/B2) (1 mo. USD Term SOFR + 2.250%)

    6,323,433       5.894     06/11/31   6,297,254

Michaels Cos., Inc.(b) (B-/B2)

    1,442,000       0.000     03/15/33   1,433,348

Peer Holding III BV (BB+/Ba1) (3 mo. USD Term SOFR + 2.500%)

    6,525,625       6.232     07/01/31   6,533,782

Petco Health & Wellness Co., Inc.(b) (B/B3)

    2,192,505       0.000     02/03/31   2,164,178

PetSmart, Inc. (BB-/B2) (1 mo. USD Term SOFR + 4.000%)

    2,961,927       7.652     08/18/32   2,955,766

Restoration Hardware, Inc. (B/B3) (1 mo. USD Term SOFR + 2.500%)

    3,039,783       6.258     10/20/28   2,953,027

Staples, Inc. (B-/B3) (3 mo. USD Term SOFR + 5.750%)

    5,058,386       9.413     09/04/29   4,692,159

Tory Burch LLC (BB-/Ba3) (1 mo. USD Term SOFR + 4.000%)

    1,850,000       7.644     04/30/31   1,841,138

TruGreen LP (CCC/Caa3) (3 mo. USD Term SOFR + 8.500%)

    2,200,000       12.425     11/02/28   1,947,000

White Cap Buyer LLC (B/B3) (1 mo. USD Term SOFR + 3.250%)

    4,769,525       6.894     10/19/29   4,758,412
       

 

        50,859,543

 

Technology – 3.2%

AP Core Holdings II, LLC (B-/B2) (3 mo. USD Term SOFR + 6.500%)

    1,495,000       10.143     05/15/31   1,486,120

Arches Buyer, Inc. (B/B1) (1 mo. USD Term SOFR + 3.250%)

    2,671,728       6.994     12/06/27   2,660,961

Central Parent, Inc. (B-/B3) (3 mo. USD Term SOFR + 3.250%)

    2,989,153       6.982     07/06/29   1,511,764

Cloud Software Group, Inc. (B/B1) (3 mo. USD Term SOFR + 3.250%)

    8,349,375       6.982     08/13/32   7,198,330

Electronic Arts, Inc.(b) (BB/Ba3)

    2,415,000       0.000     03/24/33   2,420,192

Go Daddy Operating Co. LLC (BB/Ba1) (1 mo. USD Term SOFR + 1.750%)

    3,233,544       5.394     11/09/29   3,159,626

LSF12 Crown U.S. Commercial Bidco LLC (B-/B1) (1 mo. USD Term SOFR + 3.000%)

    7,135,454       6.621     12/02/31   7,148,226

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology – (continued)

McAfee LLC (B-/B1) (1 mo. USD Term SOFR + 3.000%)

$

    8,887,717       6.644   03/01/29   $    7,865,630

MKS Instruments, Inc. (BB+/Ba1) (1 mo. EUR EURIBOR + 2.000%)

EUR

    747,276       4.009     02/04/33   856,330

Pitney Bowes, Inc. (BB/Ba2) (3 mo. USD Term SOFR + 3.750%)

$

    7,700,337       7.482     03/19/32   7,686,553

Project Boost Purchaser LLC (B-/B3) (3 mo. USD Term SOFR + 2.750%)

    2,881,355       6.482     07/16/31   2,801,138
       

 

        44,794,870

 

Technology - Software – 5.3%

Ahead DB Holdings LLC (B/B1) (3 mo. USD Term SOFR + 2.500%)

    5,335,635       6.232     02/03/31   5,240,447

Clover Holdings 2 LLC (B/B2) (1 mo. USD Term SOFR + 3.750%)

    2,749,306       7.375     12/09/31   2,620,996

ConnectWise LLC (NR/B2) (3 mo. USD Term SOFR + 3.500%)

    3,828,461       7.494     09/29/28   3,510,239

Constant Contact, Inc. (B-/B2) (3 mo. USD Term SOFR + 4.000%)

    2,513,915       7.935     02/10/28   2,434,903

Corpay Technologies Operating Co. LLC (BB+/Ba1) (1 mo. USD Term SOFR + 1.750%)

    723,186       5.394     11/05/32   720,988

Cotiviti Corp. (B/B2) (1 mo. USD Term SOFR + 2.750%)

    4,814,618       6.371     05/01/31   4,396,372

Dayforce, Inc. (B-/B3) (3 mo. USD Term SOFR + 3.000%)

    2,700,000       6.663     02/04/33   2,453,247

DCert Buyer, Inc. (CCC/Caa2) (1 mo. USD Term SOFR + 7.000%)

    3,125,000       10.644     02/19/29   2,587,906

Epicor Software Corp. (B-/B2) (1 mo. USD Term SOFR + 2.750%)

    3,732,658       6.394     05/30/31   3,560,022

Finastra USA, Inc. (B-/B3) (6 mo. USD Term SOFR + 4.000%)

    4,264,312       7.746     09/15/32   3,916,771

Fortress Intermediate 3, Inc. (B/B2) (1 mo. USD Term SOFR + 3.000%)

    4,405,844       6.624     06/27/31   4,372,801

Genuine Financial Holdings LLC (B/B3) (1 mo. USD Term SOFR + 3.250%)

    706,243       6.894     09/27/30   682,555

iSolved, Inc. (B/B2) (1 mo. USD Term SOFR + 2.750%)

    3,108,065       6.394     10/15/30   2,902,155

Javelin Buyer, Inc. (B-/B2) (3 mo. USD Term SOFR + 2.750%)

    2,703,691       6.413     12/05/31   2,531,331

Javelin Buyer, Inc. (CCC+/Caa2) (3 mo. USD Term SOFR + 5.000%)

    2,275,000       8.666     12/06/32   2,047,500

Maximus, Inc. (BB+/Ba2) (1 mo. USD Term SOFR + 2.000%)

    1,835,317       5.644     05/30/31   1,827,866

Mitchell International, Inc. (B/B3) (1 mo. USD Term SOFR + 3.000%)

    3,280,920       6.644     06/17/31   3,115,988

Peraton Corp. (CCC+/Caa1) (3 mo. USD Term SOFR + 3.750%)

    6,920,319       7.513     02/01/28   6,228,287

Polaris Newco LLC (CCC+/B3)

(3 mo. EUR EURIBOR + 4.000%)

EUR

    1,843,929       6.150     06/02/28   1,819,812

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Technology - Software – (continued)

(3 mo. USD Term SOFR + 4.000%)

$

    3,505,718       7.925   06/02/28   $    3,032,761

Project Alpha Intermediate Holding, Inc. (B-/Caa1) (3 mo. USD Term SOFR + 5.000%)

    2,550,000       8.732     05/09/33   1,387,633

Red Planet Borrower LLC(b) (BB-/B2)

    1,667,639       0.000     09/08/32   1,665,788

Spectris PLC (B/B2) (3 mo. USD Term SOFR + 2.750%)

    1,442,750       6.482     12/06/32   1,447,554

Spectris PLC (NR/NR) (3 mo. EUR EURIBOR + 3.250%)

EUR

    1,200,000       5.541     12/06/32   1,377,002

UKG, Inc. (B/B2) (3 mo. USD Term SOFR + 2.250%)

$

    5,032,326       5.913     02/10/31   4,729,229

Virtusa Corp. (B+/B1) (1 mo. USD Term SOFR + 3.250%)

    548,054       6.903     02/15/29   473,042

Zelis Payments Buyer, Inc. (B/B2) (1 mo. USD Term SOFR + 3.250%)

    1,889,274       6.894     11/26/31   1,841,854

ZoomInfo LLC (BB/Ba1) (1 mo. USD Term SOFR + 1.750%)

    1,546,046       5.394     02/28/30   1,358,588
       

 

        74,283,637

 

Textiles – 1.2%

ABG Intermediate Holdings 2 LLC (BB-/Ba3) (1 mo. USD Term SOFR + 2.250%)

    5,433,392       5.894     12/21/28   5,433,392

Beach Acquisition Bidco LLC (BB/Ba3)

(1 mo. EUR EURIBOR + 3.000%)

EUR

    3,477,826       5.179     09/12/32   3,980,717

(1 mo. USD Term SOFR + 2.750%)

$

    455,669       6.394     09/12/32   457,460

Champ Acquisition Corp. (B/B2) (1 mo. USD Term SOFR + 3.250%)

    4,464,295       6.894     11/25/31   4,481,036

WH Borrower LLC(b) (NR/NR)

    1,865,000       0.000     02/20/32   1,869,663
       

 

        16,222,268

 

Transportation Services – 0.9%

Boluda Towage SL(b) (BB/Ba3)

    430,000       0.000     05/27/33   430,271

Kenan Advantage Group, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    1,782,405       6.894     01/25/29   1,783,884

Modern Aviation FBO Holdings LLC(b) (B-/B2)

    740,000       0.000     05/16/33   740,000

Stonepeak Nile Parent LLC (BB/Ba1) (3 mo. USD Term SOFR + 2.000%)

    1,485,000       5.657     04/09/32   1,480,367

Third Coast Infrastructure LLC (BB+/Ba3) (1 mo. USD Term SOFR + 3.250%)

    8,491,996       6.894     09/25/30   8,531,823
       

 

        12,966,345

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Bank Loans(a) – (continued)

Water Utilities – 0.4%

 

Deep Blue Operating I LLC (BB-/Ba3) (3 mo. USD Term SOFR + 2.250%)

$

    5,576,025       5.902   10/01/32   $    5,586,508

 

Wireless Telecommunication Services – 1.3%

Altice France SA (CCC+/Caa1)

(3 mo. USD Term SOFR + 5.063%)

    3,189,310       8.736     10/30/28   3,182,676

(3 mo. USD Term SOFR + 6.875%)

    4,369,571       10.548     05/31/31   4,452,593

ViaSat, Inc.(b) (B+/Ba3)

    1,591,710       0.000     03/02/29   1,598,872

Voyage Digital (NZ) Ltd. (BB/NR) (3 mo. USD Term SOFR + 3.250%)

    2,569,855       6.891     05/11/29   2,569,855

Zacapa SARL (B/B2) (3 mo. USD Term SOFR + 3.750%)

    4,246,611       7.482     03/22/29   4,234,678

Zayo Group Holdings, Inc. (B-/B3)

(1 mo. EUR EURIBOR + 3.250%)

EUR

    413,455       5.429     03/11/30   474,304

(1 mo. USD Term SOFR + 3.000%)

$

    1,134,210       6.758     03/11/30   1,133,711
       

 

  17,646,689

 

TOTAL BANK LOANS
(Cost $1,216,534,978)
  $1,174,582,658

 

       
Corporate Obligations – 6.5%

Automotive(d)(e) – 0.1%

 

   

Qnity Electronics, Inc. (BB/B1)

$

    890,000       6.250   08/15/33   $      905,691

 

Chemicals(d)(e) – 0.1%

Consolidated Energy Finance SA (B-/Caa2)

    766,000       5.625     10/15/28   736,586

 

Commercial Services(d) – 0.4%

Block, Inc. (BB+/Ba1)

    2,113,000       6.500     05/15/32   2,157,796

Graham Holdings Co.(e) (BB/Ba1)

    2,449,000       5.625     12/01/33   2,424,510

Verisure Midholding AB(e) (BB-/Ba3)

EUR

    914,894       5.250     02/15/29   1,045,451
       

 

  5,627,757

 

Diversified Financial Services(d) – 0.8%

Ally Financial, Inc.(f) (BB-/Ba2) (7 yr. CMT + 3.481%)

$

    6,366,000       4.700     05/15/28   6,175,720

Enova International, Inc.(e) (B/B2)

    2,087,000       9.125     08/01/29   2,181,729

United Wholesale Mortgage LLC(e) (NR/Ba3)

    3,330,000       5.500     04/15/29   3,092,604
       

 

  11,450,053

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Corporate Obligations – (continued)

Engineering & Construction(d)(e) – 0.2%

 

Global Infrastructure Solutions, Inc. (BB/Ba3)

$

    3,372,000       7.500   04/15/32   $    3,524,920

 

Home Furnishings(d)(e) – 0.0%

Whirlpool Corp. (BB+/Ba1)

    485,000       7.500     07/01/31   491,116

 

Insurance(d)(e) – 0.8%

Acrisure LLC/Acrisure Finance, Inc. (B/B2)

    420,000       6.750     07/01/32   377,597

CRC Insurance Group LLC (B/B2)

    2,830,000       7.125     06/01/31   2,819,840

Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance LLC (CCC+/Caa1)

    3,395,000       8.125     02/15/32   3,056,315

Ryan Specialty LLC (BB-/Ba3)

    4,960,000       5.875     08/01/32   4,879,896
       

 

  11,133,648

 

Internet(d)(e) – 0.7%

Angi Group LLC (B/B2)

    1,558,000       3.875     08/15/28   1,318,224

Gen Digital, Inc. (BB-/B1)

    2,433,000       6.250     04/01/33   2,397,697

Go Daddy Operating Co. LLC/GD Finance Co., Inc. (BB-/Ba3)

    1,510,000       3.500     03/01/29   1,421,257

Match Group Holdings II LLC (BB/Ba2)

    665,000       3.625     10/01/31   597,157

Snap, Inc. (BB-/B1)

    2,454,000       6.875     03/01/33   2,390,662

Wayfair LLC (BB-/B2u)

    2,401,000       6.750     11/15/32   2,465,779
       

 

  10,590,776

 

Investment Companies(d)(e) – 0.2%

Icahn Enterprises LP/Icahn Enterprises Finance Corp. (BB-/B1)

    3,411,000       10.000     11/15/29   3,365,395

 

Leisure Time(d)(e) – 0.3%

MajorDrive Holdings IV LLC(g) (CCC-/Caa3)

    2,113,000       6.375     06/01/29   1,767,187

Sabre GLBL, Inc. (B-/B3)

    2,356,000       10.750     11/15/29   2,265,058
       

 

  4,032,245

 

Media – 0.3%

Directv Financing LLC/Directv Financing Co-Obligor, Inc.(d)(e)

    (B+/B1)        
    1,305,000       10.000     02/15/31   1,355,556
    3,235,000       9.250     06/01/32   3,285,822

iHeartCommunications, Inc.(d) (CCC-/Caa3)

    1       8.375     05/01/27   1

Paramount Global (BB+/Baa3)

    7,000       4.375     03/15/43   4,528
       

 

  4,645,907

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services(d) – 0.7%

 

California Resources Corp.(e) (BB-/B1)

$

    2,127,000       7.000   01/15/34   $    2,099,604

Caturus Energy LLC(e) (B/B3)

    325,000       7.125     05/15/31   321,519

DBR Land Holdings LLC(e) (BB-/B1)

    3,425,000       6.250     12/01/30   3,478,875

Noble Finance II LLC(e) (BB-/Ba3)

    1,477,000       8.000     04/15/30   1,530,172

Sunoco LP(e) (BB+/Ba1)

    880,000       7.250     05/01/32   912,367

Sunoco LP/Sunoco Finance Corp. (BB+/Ba1)

    1,425,000       4.500     04/30/30   1,378,759
       

 

  9,721,296

 

Pharmaceuticals(d)(e) – 0.1%

Amneal Pharmaceuticals LLC (B+/Ba3)

    2,006,000       6.875     08/01/32   2,082,930

 

Pipelines(d) – 1.0%

Delek Logistics Partners LP/Delek Logistics Finance Corp.(e) (BB-/B2)

    800,000       7.375     06/30/33   815,992

Plains All American Pipeline LP(f) (BB+/Ba1) (3 mo. USD Term SOFR + 4.372%)

    6,695,000       8.023     07/30/26   6,684,020

Venture Global LNG, Inc.(e) (f) (B-/B3) (5 yr. CMT + 5.440%)

    4,510,000       9.000     09/30/29   4,392,514

Western Midstream Operating LP(e) (BBB-/Baa3)

    1,770,000       7.250     04/01/30   1,857,350
       

 

  13,749,876

 

Real Estate Investment Trust(d)(e)(h) – 0.0%

Service Properties Trust (B/B3)

    155,000       0.000     09/30/28   143,973

 

Retailing(d)(e) – 0.1%

FirstCash, Inc. (BB/Ba2)

    1,045,000       6.125     05/01/34   1,039,336

 

Software(d)(e) – 0.2%

Fair Isaac Corp. (BB+/Ba1)

    2,440,000       6.000     05/15/33   2,402,571

OAK-Eagle Acquireco, Inc. (BB/Ba3)

    270,000       7.250     07/01/33   282,687
       

 

  2,685,258

 

Telecommunication Services(d)(e) – 0.3%

Meridian Arc Holdco LLC (BB-/Ba2)

    1,455,000       6.250     04/30/31   1,457,633

SV RNO Property Owner 1 LLC (BB+/Ba1)

    2,137,000       5.875     03/01/31   2,106,826
       

 

  3,564,459

 

Principal

Amount

   

Interest

Rate

    Maturity Date   Value
Corporate Obligations – (continued)

Transportation(d)(e) – 0.2%

 

Rand Parent LLC (BB-/Ba1)

$

    2,705,000       8.500   02/15/30   $    2,800,135

 

TOTAL CORPORATE OBLIGATIONS
(Cost $91,757,364)
  $   92,291,357

 

       
Shares     Description   Value
Common Stocks – 1.6%

Aerospace & Defense(i) – 0.3%

    204,620       Swissport Ltd.   $    3,623,881

 

Broadline Retail(c)(i) – 0.0%

    9,541       Neiman Marcus Group Ltd. LLC  

 

Building Products – 0.1%

    1,471       Trane Technologies PLC   722,496

 

Construction & Engineering(i) – 0.2%

    33,750       API Group Corp.   1,429,313
    6,700       Construction Partners, Inc. Class A   795,759
       

 

        2,225,072

 

Consumer Staples Distribution & Retail(i) – 0.1%

    15,491       U.S. Foods Holding Corp.   1,583,955

 

Electrical Equipment – 0.1%

    1,687       Eaton Corp. PLC   718,864
    4,019       nVent Electric PLC   681,663
       

 

        1,400,527

 

Financial Services – 0.1%

    12,345       Apollo Global Management, Inc.   1,460,537
    11,094       DSG TopCo, Inc.(i)   2,407
       

 

        1,462,944

 

Health Care Providers & Services(c)(i) – 0.1%

    50,617       New Trojan/Careismatic   1,214,808

 

Independent Power and Renewable Electricity Producers – 0.1%

    9,229       Vistra Corp.   1,463,996

 

Insurance – 0.1%

    6,257       Arthur J Gallagher & Co.   1,436,419

 

Interactive Media & Services – 0.1%

    3,937       Alphabet, Inc. Class A   1,406,966

 

Machinery(c)(i) – 0.0%

    63,082       Apex Tool Group LLC Class A  

 

Media(i) – 0.0%

    8,495       Audacy Capital Corp. Class B   19,539
    77,495       Audacy Capital LLC Class A   178,238

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Shares     Description   Value
Common Stocks – (continued)

Media(i) – (continued)

    162,749       Bright Pattern Holdco(c)   $           —
       

 

        197,777

 

Oil, Gas & Consumable Fuels – 0.1%

    1,029,922       Ring Energy, Inc.(i)   1,112,316
    32,294       SM Energy Co.   842,873
       

 

        1,955,189

 

Real Estate Investment Trusts(i) – 0.0%

    29,951       Luxco Co. Ltd.   590,056

 

Software – 0.2%

    1,784       Crowdstrike Holdings, Inc. Class A(i)   1,361,442
    3,490       Microsoft Corp.   1,301,840
    229       Travelport LLC(c)(i)  
       

 

        2,663,282

 

TOTAL COMMON STOCKS
(Cost $33,536,264)
  $   21,947,368

 

       

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Asset-Backed Securities(d)(e)(f) –1.2%

Collateralized Loan Obligations – 1.2%

AGL CLO 45 Ltd. Series 2025-45A, Class E (NR/NR) (3 mo. USD Term SOFR + 4.650%)

$

    2,500,000       8.314   01/22/39   $    2,440,888

Bryant Park CLO Ltd. Series 2025-27A, Class E (BB-/NR) (3 mo. USD Term SOFR + 5.450%)

    4,000,000       9.125     07/20/38   3,930,744

Elmwood CLO 45 Ltd. Series 2025-8A, Class E (NR/NR) (3 mo. USD Term SOFR + 4.850%)

    2,500,000       8.530     10/17/38   2,506,382

Palmer Square CLO Ltd. Series 2025-4A, Class E (BB-/NR) (3 mo. USD Term SOFR + 4.700%)

    3,000,000       8.375     10/20/38   2,955,354

TCW CLO AMR Ltd. Series 2019-1A, Class DR (BBB-/NR) (3 mo. USD Term SOFR + 3.932%)

    4,900,000       7.581     08/16/34   4,721,370

 

TOTAL ASSET-BACKED SECURITIES
(Cost $16,851,000)
  $   16,554,738

 

       
Shares     Dividend
Rate
  Value
Preferred Stocks – 0.2%

Investment Companies(d)(g) – 0.2%

Compass Diversified Holdings (3 mo. USD Term SOFR + 4.985%)

    26,179       7.875%(f)   $      579,865

Compass Diversified Holdings

    71,364       7.875   1,572,862
       

 

        2,152,727

 

Shares      Dividend
Rate
  Value
  Preferred Stocks – (continued)
 

Post Secondary Education(c)(i) – 0.0%

 

Travelport LLC

         163      0.000%   $            0
  (Cost $163,000)  

 

 

 
TOTAL PREFERRED STOCKS
(Cost $2,262,650)
  $    2,152,727

 

 

    
Units      Expiration
Date
  Value
  Rights(i) – 0.1%
 

Entertainment – 0.1%

 

Cineworld Group PLC (NR/NR)

       63,702      12/31/99   $    1,549,737
  (Cost $962,522)

 

 

    
  Warrants(i) – 0.0%
 

Aspect Software, Inc. (NR/NR)(c)

      162,749      12/31/99   $0
 

New Trojan/Careismatic (NR/NR)

  5,698      12/31/99  
 

Noble Corp. PLC (NR/NR)

  6,346      02/04/28   84,370
  (Cost $15,865)

 

 

 
TOTAL WARRANTS
(Cost $1,115,865)
  $       84,370

 

 

    
Shares      Description   Value
  Exchange Traded Funds – 1.1%
  40,519      Eaton Vance Senior Floating-Rate Trust (NR/NR)   $      429,502
      755,230      Invesco Senior Loan ETF (NR/NR)   15,384,035

 

 

 
TOTAL EXCHANGE TRADED FUNDS
(Cost $16,365,466)
  $   15,813,537

 

 

    
Shares      Dividend
Rate
  Value
  Investment Company(j) – 7.5%
 

Goldman Sachs Central Government Fund — Institutional Shares

  105,764,317      3.703%   $  105,764,317
  (Cost $105,764,317)  

 

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Shares      Dividend
Rate
  Value
  Securities Lending Reinvestment Vehicle(j) – 0.8%
 

Goldman Sachs Financial Square Government Fund—Institutional
Shares

  11,642,750      3.538%   $   11,642,750
  (Cost $11,642,750)  

 

 

 
TOTAL INVESTMENTS – 102.3%
(Cost $1,496,793,176)
  $1,442,383,559

 

 

 

LIABILITIES IN EXCESS OF

 OTHER ASSETS – ( 2.3)%

  $  (32,332,241)

 

 

  NET ASSETS – 100.0%   $1,410,051,318

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2026. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(b)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(c)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(d)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(e)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(f)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(g)   All or a portion of security is on loan.
(h)   Issued with a zero coupon. Income is recognized through the accretion of discount.
(i)   Security is currently in default and/or non-income producing.
(j)   Represents an affiliated issuer.

 

 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

UNFUNDED LOAN COMMITMENTS — At June 30, 2026, the Fund had unfunded loan commitments which could be extended at the option of the borrowers, pursuant to the following loan agreements:

 

Borrower      Principal
Amount
       Current
Value
       Unrealized
Gain (Loss)
 

 

 

Air Comm Corp. LLC (NR/B2), due 12/11/31

     $ 343,838        $ 343,625        $ (213

Kaman Corp. (NR/B1), due 02/26/32

       594,232          592,972          2,195  

Salas O’Brien, Inc. (B/B2), due 01/31/33

       203,393          202,904           

Trilon Group LLC (NR/B3), due 06/10/33

       181,278          181,052          675  

Watlow Electric Manufacturing Co. (B/B1), due 06/17/33

       40,348          40,172          (75

 

 

TOTAL

               $ 2,582  

 

 


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

USD

     45,230,650        EUR      38,855,792          08/19/26        $ 740,649  

 

 
FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty      Currency
Purchased
      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

MS & Co. Int. PLC

    

EUR

      6,543,132        USD       7,627,594          08/19/26        $ (135,688

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

 

5 Year U.S. Treasury Notes

     28      09/30/26      $ 2,997,312      $ 14,026  

 

 

Short position contracts:

                 

2 Year U.S. Treasury Notes

     (148)      09/30/26        (30,507,656      16,573  

Ultra 10-Year U.S. Treasury Notes

     (68)      09/21/26        (7,647,875      (72,805

 

 

Total

 

   $ (56,232

 

 

TOTAL FUTURES CONTRACTS

 

   $ (42,206

 

 

SWAP CONTRACTS — At June 30, 2026, the Fund had the following swap contracts:

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
  Financing Rate
Received/(Paid) by
the Fund(a)
  Credit
Spread at
June 30,
2026(b)
  Termination
Date
     Notional
Amount
(000s)
       Value        Upfront
Premiums
(Received)
Paid
       Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

 

CDX.NA.HY Ind 46   5.000%   3.040%   06/20/31      $ 64,805        $ 5,307,562        $ 3,572,731        $ 1,734,831  

 

 

 

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


GOLDMAN SACHS HIGH YIELD FLOATING RATE FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

 

Currency Abbreviations:
EUR  

— Euro

USD  

— U.S. Dollar

Investment Abbreviations:
CLO  

— Collateralized Loan Obligation

CMT  

— Constant Maturity Treasury Indexes

ETF  

— Exchange Traded Fund

EURIBOR  

— Euro Interbank Offered Rate

LLC  

— Limited Liability Company

LP  

— Limited Partnership

NR  

— Not Rated

PLC  

— Public Limited Company

SOFR  

— Secured Overnight Financing Rate

USD  

— U.S. Dollar

Abbreviations:
CDX.NA.HY Ind 46  

— CDX North America High Yield Index 46

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

   

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 90.7%

Aerospace & Defense – 2.9%

Boeing Co.

$

    1,950,000       3.450 %(a)    11/01/28   $  1,899,027
    5,577,000       2.950 (a)    02/01/30   5,245,169
    431,000       5.150 (a)    05/01/30   436,224
    1,575,000       3.600 (a)    05/01/34   1,416,335
    1,679,000       6.528 (a)    05/01/34   1,825,442
    1,375,000       3.250 (a)    02/01/35   1,192,895
    500,000       3.550 (a)    03/01/38   418,565
    2,827,000       5.875     02/15/40   2,907,428
    1,306,000       3.375 (a)    06/15/46   916,381
    575,000       3.625 (a)    03/01/48   412,361
    1,201,000       6.858 (a)    05/01/54   1,349,480

Hexcel Corp.(a)

    796,000       5.875     02/26/35   823,963

Howmet Aerospace, Inc.(a)

    802,000       4.850     10/15/31   804,430
       

 

        19,647,700

 

Agriculture(a) – 2.9%

Altria Group, Inc.

    975,000       4.800     02/14/29   978,539
    1,880,000       5.250     08/06/35   1,878,552

BAT Capital Corp.

    1,125,000       3.215     09/06/26   1,122,469
    200,000       3.557     08/15/27   198,046
    1,350,000       2.259     03/25/28   1,299,078
    6,900,000       5.834     02/20/31   7,187,937
    545,000       4.625     03/22/33   533,299
    650,000       5.625     08/15/35   670,182

BAT International Finance PLC

    4,575,000       5.931     02/02/29   4,717,191

Imperial Brands Finance PLC(b)

    1,230,000       5.625     07/01/35   1,241,427
       

 

        19,826,720

 

Airlines – 0.5%

American Airlines Pass-Through Trust , Class B

    575,000       5.650     05/11/36   566,260
    1,034,000       4.900     11/11/39   1,003,601

Delta Air Lines, Inc.(a)

    1,670,000       5.250     07/10/30   1,687,969
       

 

        3,257,830

 

Automotive(a) – 4.1%

Ford Motor Credit Co. LLC

    586,000       5.850     05/17/27   590,249
    8,970,000       5.420     04/09/31   8,893,665

General Motors Co.

    2,925,000       6.800     10/01/27   2,995,844

General Motors Financial Co., Inc.

    4,750,000       5.000     04/09/27   4,767,480
    400,000       2.700     08/20/27   391,904
    775,000       3.850     01/05/28   766,514
    1,705,000       5.850     04/06/30   1,761,589
    3,245,000       5.450     07/15/30   3,311,230

 

   

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Automotive(a) – (continued)

$

    266,000       5.750   02/08/31   $    274,243
    1,088,000       3.100     01/12/32   984,901
    449,000       5.950     04/04/34   464,746
    351,000       5.450     09/06/34   351,670

Hyundai Capital America(b)

    1,450,000       5.600     03/30/28   1,469,836
    440,000       4.500     09/18/30   431,763
    980,000       4.550     01/08/31   963,164
       

 

        28,418,798

 

Banks – 21.6%

Banco Santander SA

    1,200,000       5.565     01/17/30   1,229,616
    1,600,000       6.921     08/08/33   1,738,832

(1 yr. CMT + 1.600%)

    400,000       3.225 (a)(c)    11/22/32   361,984

Bank of America Corp.(a)(c)

(3 mo. USD Term SOFR + 1.252%)

    3,925,000       2.496     02/13/31   3,627,603

(3 mo. USD Term SOFR + 1.302%)

    968,000       3.419     12/20/28   951,699

(3 mo. USD Term SOFR + 1.332%)

    5,356,000       3.970     03/05/29   5,298,905

(3 mo. USD Term SOFR + 1.572%)

    1,950,000       4.271     07/23/29   1,934,692

(5 yr. CMT + 1.200%)

    1,025,000       2.482     09/21/36   894,907

(Secured Overnight Financing Rate + 1.130%)

    1,930,000       5.045     02/06/37   1,900,645

(Secured Overnight Financing Rate + 1.330%)

    675,000       2.972     02/04/33   609,323

(Secured Overnight Financing Rate + 1.570%)

    1,615,000       5.819     09/15/29   1,652,565

(Secured Overnight Financing Rate + 1.630%)

    1,210,000       5.202     04/25/29   1,221,374

(Secured Overnight Financing Rate + 1.738%)

    2,395,000       5.518     10/25/35   2,407,262

(Secured Overnight Financing Rate + 1.830%)

    6,565,000       4.571     04/27/33   6,439,018

Bank of Montreal(a)(c) (Secured Overnight Financing Rate + 1.208%)

    690,000       5.298     06/02/37   690,614

Bank of Nova Scotia (a)(c) (5 yr. CMT + 4.389%)

    1,300,000       8.625     10/27/82   1,352,065

Barclays PLC(a)

    6,625,000       4.836     05/09/28   6,630,366

(Secured Overnight Financing Rate + 1.080%)

    1,605,000       4.476 (c)    11/11/29   1,593,893

(Secured Overnight Financing Rate + 1.560%)

    1,135,000       4.942 (c)    09/10/30   1,137,293

(Secured Overnight Financing Rate + 1.590%)

    1,235,000       5.785 (c)    02/25/36   1,258,008

BNP Paribas SA(a)(b)(c)

(1 yr. CMT + 1.500%)

    1,680,000       5.335     06/12/29   1,698,749

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

   

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Banks – (continued)

 

   

(Secured Overnight Financing Rate + 1.507%)

$

    370,000       3.052   01/13/31   $    347,637

(Secured Overnight Financing Rate + 1.920%)

    1,275,000       5.906     11/19/35   1,298,269

BPCE SA(b)

    1,350,000       4.625     09/12/28   1,346,355

Capital One NA(a)

    1,500,000       4.650     09/13/28   1,502,535

Citigroup, Inc.(a)(c)

(3 mo. USD Term SOFR + 1.825%)

    1,973,000       3.887     01/10/28   1,966,351

(3 mo. USD Term SOFR + 4.779%)

    1,405,000       6.250     08/15/26   1,405,281

(5 yr. CMT + 1.730%)

    830,000       5.411     09/19/39   821,468

(5 yr. CMT + 2.572%)

    1,480,000       6.750     02/15/30   1,501,652

(5 yr. CMT + 3.001%)

    700,000       6.625     02/15/31   711,977

(Secured Overnight Financing Rate + 1.167%)

    1,915,000       2.561     05/01/32   1,721,700

(Secured Overnight Financing Rate + 1.171%)

    3,025,000       4.503     09/11/31   2,984,616

(Secured Overnight Financing Rate + 1.422%)

    1,025,000       2.976     11/05/30   968,123

(Secured Overnight Financing Rate + 2.338%)

    1,645,000       6.270     11/17/33   1,753,422

Citizens Financial Group, Inc.(a)(c)

(Secured Overnight Financing Rate + 1.259%)

    440,000       5.253     03/05/31   444,523

(Secured Overnight Financing Rate + 2.010%)

    3,075,000       5.841     01/23/30   3,150,337

Fifth Third Bancorp(a)(c)

(Secured Overnight Financing Rate + 1.240%)

    705,000       5.141     01/29/37   692,550

(Secured Overnight Financing Rate + 1.486%)

    782,000       4.895     09/06/30   783,079

(Secured Overnight Financing Rate + 2.340%)

    303,000       6.339     07/27/29   312,999

First Horizon Corp.(a)(c) (Secured Overnight Financing Rate + 1.766%)

    580,000       5.514     03/07/31   587,186

HSBC Bank USA NA

    800,000       5.625     08/15/35   822,360

HSBC Holdings PLC

    600,000       7.625     05/17/32   661,644

(5 yr. CMT + 2.513%)

    875,000       6.750 (a)(c)    11/18/32   880,845

Huntington Bancshares, Inc.(a)(c)

(5 yr. CMT + 1.700%)

    185,000       6.141     11/18/39   188,891

(Secured Overnight Financing Rate + 1.276%)

    1,590,000       5.272     01/15/31   1,608,380

(Secured Overnight Financing Rate + 1.870%)

    2,685,000       5.709     02/02/35   2,747,695

 

   

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

(Secured Overnight Financing Rate + 2.020%)

$

    3,035,000       6.208   08/21/29   $  3,124,108

ING Groep NV(a)(c) (Secured Overnight Financing Rate + 1.440%)

    1,620,000       5.335     03/19/30   1,645,369

Intesa Sanpaolo SpA(a)(b)(c) (1 yr. CMT + 0.950%)

    1,135,000       5.200     06/29/32   1,138,745

JPMorgan Chase & Co.(a)(c)

(3 mo. USD Term SOFR + 1.622%)

    875,000       3.882     07/24/38   773,255

(3 mo. USD Term SOFR + 2.515%)

    3,650,000       2.956     05/13/31   3,407,603

(Secured Overnight Financing Rate + 0.840%)

    1,340,000       4.347     01/22/32   1,312,517

(Secured Overnight Financing Rate + 1.070%)

    1,405,000       4.898     01/22/37   1,368,863

(Secured Overnight Financing Rate + 1.190%)

    1,010,000       4.810     10/22/36   981,205

(Secured Overnight Financing Rate + 1.300%)

    905,000       5.193     02/05/37   891,778

(Secured Overnight Financing Rate + 1.635%)

    1,445,000       5.576     07/23/36   1,468,178

(Secured Overnight Financing Rate + 1.680%)

    1,550,000       5.572     04/22/36   1,593,648

(Secured Overnight Financing Rate + 1.800%)

    1,724,000       4.586     04/26/33   1,696,761

M&T Bank Corp.(a)(c)

(3 mo. USD Term SOFR + 3.782%)

    895,000       5.125     11/01/26   891,930

(5 yr. CMT + 1.430%)

    1,225,000       5.400     07/30/35   1,223,640

(Secured Overnight Financing Rate + 1.400%)

    620,000       5.179     07/08/31   624,582

(Secured Overnight Financing Rate + 1.610%)

    1,670,000       5.385     01/16/36   1,669,382

(Secured Overnight Financing Rate + 2.260%)

    3,355,000       6.082     03/13/32   3,500,875

Macquarie Group Ltd. (a)(b)(c) (3 mo. USD Term SOFR + 1.634%)

    1,900,000       3.763     11/28/28   1,874,464

Morgan Stanley(a)(c)

    1,145,000       3.971     07/22/38   1,004,657

(Secured Overnight Financing Rate + 0.950%)

    455,000       4.493     01/16/32   446,141

(Secured Overnight Financing Rate + 1.314%)

    1,260,000       4.892     10/22/36   1,220,222

(Secured Overnight Financing Rate + 1.360%)

    725,000       2.484     09/16/36   629,155

(Secured Overnight Financing Rate + 1.590%)

    1,645,000       5.164     04/20/29   1,657,913

(Secured Overnight Financing Rate + 1.630%)

    6,385,000       5.449     07/20/29   6,469,984

(Secured Overnight Financing Rate + 2.076%)

    1,606,000       4.889     07/20/33   1,593,650

Morgan Stanley Private Bank NA(a)(c) (Secured Overnight Financing Rate + 1.080%)

    1,650,000       4.734     07/18/31   1,642,641

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

   

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks – (continued)

NatWest Group PLC(a)(c) (1 yr. CMT + 1.050%)

$

    380,000       5.115   05/23/31   $    382,227

Norinchukin Bank(b)

    760,000       4.683     03/10/31   748,836

Pinnacle Financial Partners, Inc.(a)(c) (Secured Overnight Financing Rate + 1.700%)

    450,000       5.596     05/19/32   451,251

PNC Financial Services Group, Inc. (a)(c) (Secured Overnight Financing Rate + 1.599%)

    1,170,000       5.401     07/23/35   1,185,210

Regions Financial Corp.(a)(c) (Secured Overnight Financing Rate +

    1.490 %)       
    1,975,000       5.722     06/06/30   2,026,152

Santander U.K. Group Holdings PLC(a)(c) (3 mo. USD Term SOFR + 1.400%)

    325,000       3.823     11/03/28   321,380

(Secured Overnight Financing Rate + 1.070%)

    420,000       4.320     09/22/29   415,762

Shinhan Bank Co. Ltd.(b)

    260,000       4.500     04/12/28   259,847

State Street Corp.(a)(c) (5 yr. CMT + 2.135%)

    1,375,000       6.450     09/15/30   1,402,074

Sumitomo Mitsui Trust Group, Inc.(a)(b)(c) (Secured Overnight Financing Rate + 1.650%)

    695,000       5.416     09/11/36   682,900

Truist Financial Corp.(a)(c)

(Secured Overnight Financing Rate + 1.395%)

    1,428,000       4.964     10/23/36   1,388,402

(Secured Overnight Financing Rate + 1.414%)

    700,000       5.281     04/23/37   693,133

(Secured Overnight Financing Rate + 1.620%)

    837,000       5.435     01/24/30   851,120

(Secured Overnight Financing Rate + 1.922%)

    2,810,000       5.711     01/24/35   2,894,131

(Secured Overnight Financing Rate + 2.361%)

    1,055,000       5.867     06/08/34   1,097,348

U.S. Bancorp(a)(c) (Secured Overnight Financing Rate + 2.020%)

    1,260,000       5.775     06/12/29   1,286,687

UBS Group AG(a)(b)(c)

(5 yr. CMT + 4.758%)

    405,000       9.250     11/13/33   467,435

(5 yr. USD SOFR ICE Swap + 3.240%)

    455,000       6.625     01/08/31   455,705

(Secured Overnight Financing Rate + 1.290%)

    1,395,000       4.844     11/06/33   1,370,197

(Secured Overnight Financing Rate + 1.730%)

    1,260,000       3.091     05/14/32   1,156,189

(Secured Overnight Financing Rate + 1.760%)

    615,000       5.580     05/09/36   626,070

Wells Fargo & Co.(a)(c)

(3 mo. USD Term SOFR + 1.572%)

    498,000       3.584     05/22/28   493,896

(5 yr. CMT + 2.340%)

    175,000       6.125     06/15/31   177,163

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Banks – (continued)

(Secured Overnight Financing Rate + 0.740%)

$

    2,000,000       4.182   01/23/30   $  1,973,880

(Secured Overnight Financing Rate + 1.340%)

    1,380,000       4.892     09/15/36   1,346,728

(Secured Overnight Financing Rate + 1.510%)

    1,325,000       3.526     03/24/28   1,315,500

(Secured Overnight Financing Rate + 2.100%)

    2,378,000       4.897     07/25/33   2,360,831

Wells Fargo Bank NA

    824,000       5.950     08/26/36   864,648
       

 

        148,385,256

 

Beverages(a) – 1.7%

Bacardi Ltd.(b)

    2,275,000       4.700     05/15/28   2,269,017
    700,000       5.300     05/15/48   623,462

Bacardi Ltd./Bacardi-Martini BV(b)

    1,075,000       5.900     06/15/43   1,043,943

Constellation Brands, Inc.

    450,000       4.350     05/09/27   449,743
    350,000       4.650     11/15/28   350,150
    455,000       4.800     01/15/29   456,188
    477,000       4.800     05/01/30   478,417

JDE Peet’s NV(b)

    1,970,000       2.250     09/24/31   1,704,267

Maple Parent Holdings Corp.(b)

    3,000,000       5.700     03/26/36   3,036,420

Pernod Ricard International Finance LLC(b)

    1,107,000       1.625     04/01/31   956,714
       

 

        11,368,321

 

Biotechnology(a) – 0.2%

Royalty Pharma PLC

    739,000       2.200     09/02/30   667,546
    761,000       5.400     09/02/34   767,149
       

 

        1,434,695

 

Building Materials(a) – 0.1%

Cemex SAB de CV

    390,000       5.750     06/05/36   388,635

Owens Corning

    422,000       5.950     06/15/54   428,756
       

 

        817,391

 

Chemicals(a) – 0.0%

DuPont de Nemours, Inc.

    76,000       5.319     11/15/38   75,020

International Flavors & Fragrances, Inc.(b)

    190,000       2.300     11/01/30   171,335
       

 

        246,355

 

Commercial Services – 1.2%

Ashtead Capital, Inc.(a)(b)

    925,000       1.500     08/12/26   920,264
    525,000       2.450     08/12/31   463,003

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Commercial Services – (continued)

$

    456,000       5.800   04/15/34   $    464,181

DP World Ltd.

    360,000       5.625     09/25/48   334,890

Experian Finance U.S., Inc.(a)(b)

    825,000       5.350     08/24/36   821,576

Global Payments, Inc.(a)

    1,150,000       4.450     06/01/28   1,140,248
    1,020,000       5.550     11/15/35   988,196

GXO Logistics, Inc.(a)

    2,573,000       2.650     07/15/31   2,280,604
    887,000       6.500     05/06/34   929,337
       

 

        8,342,299

 

Computers – 0.6%

Dell International LLC/EMC Corp.(a)

    1,325,000       4.900     10/01/26   1,325,490

Dell, Inc.

    2,075,000       7.100     04/15/28   2,167,981

Hewlett Packard Enterprise Co.(a)

    105,000       5.000     10/15/34   102,918

NetApp, Inc.(a)

    705,000       5.500     03/17/32   719,868
       

 

        4,316,257

 

Diversified Financial Services – 6.8%

AerCap Ireland Capital DAC/AerCap Global Aviation Trust(a)

    725,000       6.450     04/15/27   734,222
    4,025,000       4.625     10/15/27   4,026,852
    775,000       3.000     10/29/28   746,348
    920,000       5.375     12/15/31   935,520
    1,870,000       4.750     01/15/33   1,827,850

Aircastle Ltd./Aircastle Ireland DAC(a)(b)

    478,000       5.250     03/15/30   480,691
    695,000       5.000     09/15/30   691,747

Ally Financial, Inc.(a)

    2,610,000       4.750     06/09/27   2,616,081
    1,575,000       2.200     11/02/28   1,487,162

(Secured Overnight Financing Rate + 1.960%)

    407,000       5.737 (c)    05/15/29   412,531

Aviation Capital Group LLC(a)(b)

    655,000       5.375     07/15/29   662,644
    530,000       4.875     01/28/33   514,874

Avolon Holdings Funding Ltd.(a)(b)

    1,450,000       3.250     02/15/27   1,438,821
    1,125,000       4.950     10/15/32   1,097,483

Capital One Financial Corp.(a)(c)

(Secured Overnight Financing Rate + 1.990%)

    2,125,000       5.884     07/26/35   2,184,776

(Secured Overnight Financing Rate + 2.036%)

    430,000       6.183     01/30/36   440,711

(Secured Overnight Financing Rate + 2.600%)

    1,590,000       5.247     07/26/30   1,606,854

(Secured Overnight Financing Rate + 3.070%)

    1,165,000       7.624     10/30/31   1,277,830

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Diversified Financial Services – (continued)

Compute Financing LLC(d)

$

    14,425,000       0.000   06/15/34   $ 14,382,252

Intercontinental Exchange, Inc.(a)

    350,000       3.625     09/01/28   343,543

Jefferies Financial Group, Inc.(a)

    720,000       6.200     04/14/34   736,920

Macquarie Airfinance Holdings Ltd.(a)(b)

    1,267,000       5.200     03/27/28   1,269,838
    135,000       6.400     03/26/29   138,938

Sumisho Air Lease Corp.(a)

    325,000       3.625     04/01/27   322,732
    3,895,000       4.850 (b)    03/24/31   3,853,557
    2,145,000       5.500 (b)    03/24/36   2,136,484
       

 

        46,367,261

 

Electrical – 4.1%

American Electric Power Co., Inc.(a)

    350,000       2.300     03/01/30   321,636

Dominion Energy, Inc.(a)

    925,000       3.375     04/01/30   883,190

DTE Energy Co.(a)

    4,311,000       4.875     06/01/28   4,330,356

Duquesne Light Holdings, Inc.(a)(b)

    1,075,000       2.532     10/01/30   963,619

ITC Holdings Corp.(a)(b)

    673,000       2.950     05/14/30   627,626

NextEra Energy Capital Holdings, Inc.(a)

    1,605,000       1.900     06/15/28   1,526,837

(5 yr. CMT + 1.685%)

    600,000       6.625 (c)    10/01/66   609,108

Pacific Gas & Electric Co.(a)

    1,700,000       3.300     03/15/27   1,684,802
    2,075,000       2.100     08/01/27   2,019,929
    480,000       5.000     06/04/28   482,558
    950,000       6.400     06/15/33   1,005,376
    650,000       6.950     03/15/34   708,767
    675,000       5.800     05/15/34   690,120
    1,594,000       5.700     03/01/35   1,609,621
    330,000       5.600     08/15/36   329,980

Progress Energy, Inc.

    800,000       7.000     10/30/31   876,288

Sempra(a)

    1,125,000       3.800     02/01/38   954,799

Southern California Edison Co.(a)

    1,325,000       4.200     03/01/29   1,304,476
    275,000       4.050     03/15/42   218,100

Vistra Operations Co. LLC(a)(b)

    975,000       4.300     07/15/29   955,188
    1,190,000       4.700     01/31/31   1,166,141
    1,030,000       5.250     10/15/35   1,001,139
    1,400,000       5.550     04/30/36   1,392,636

Xcel Energy, Inc.(a)

    2,380,000       3.350     12/01/26   2,371,456
       

 

        28,033,748

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Electronics(a) – 0.2%

Allegion U.S. Holding Co., Inc.

$

    460,000       5.600   05/29/34   $  469,637

Keysight Technologies, Inc.

    51,000       5.350     07/30/30   51,961

Tyco Electronics Group SA

    580,000       4.500     02/09/31   575,911
       

 

        1,097,509

 

Engineering & Construction(a) – 0.2%

MasTec, Inc.

    551,000       5.900     06/15/29   566,792

Mexico City Airport Trust

    240,000       3.875 (b)    04/30/28   234,120
    800,000       5.500     07/31/47   685,080
    220,000       5.500 (b)    07/31/47   188,397
       

 

        1,674,389

 

Entertainment(a)(b) – 0.2%

Flutter Treasury DAC

    1,235,000       5.875     06/04/31   1,230,332

 

Food & Drug Retailing(a) – 1.7%

Campbell’s Co.

    1,270,000       4.550     03/21/31   1,235,837
    314,000       5.400     03/21/34   309,560
    1,540,000       4.750     03/23/35   1,437,513

Grupo Bimbo SAB de CV

    1,070,000       4.700     11/10/47   928,225

Mars, Inc.(b)

    375,000       4.800     03/01/30   376,102
    7,075,000       5.000     03/01/32   7,122,615

Sysco Corp.

    150,000       6.600     04/01/40   162,461
       

 

        11,572,313

 

Food Service(a)(b) – 0.2%

Sodexo, Inc.

    1,217,000       5.150     08/15/30   1,224,704

 

Forest Products & Paper(a) – 0.1%

Suzano Netherlands BV

    360,000       5.500     01/15/36   350,230

 

Hand/Machine Tools(a) – 0.3%

Regal Rexnord Corp.

    2,054,000       6.300     02/15/30   2,142,034

 

Healthcare Providers & Services – 3.9%

Augusta SpinCo Corp.(a)

    755,000       4.945     03/23/33   749,624

CommonSpirit Health

    150,000       4.350     11/01/42   129,806
    510,000       6.461 (a)    11/01/52   547,364

Elevance Health, Inc.(a)

    1,630,000       4.600     09/15/32   1,597,856

HCA, Inc.(a)

    8,984,000       3.500     09/01/30   8,516,113

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Healthcare Providers & Services – (continued)

Humana, Inc.(a)

$

    345,000       5.375   04/15/31   $  349,733

Icon Investments Six DAC(a)

    2,275,000       5.849     05/08/29   2,323,139

IQVIA, Inc.(a)

    1,140,000       6.250     02/01/29   1,178,692

Medline Borrower LP/Medline Co-Issuer, Inc. (a)(b)

    667,000       6.250     04/01/29   681,387

Novant Health, Inc.(a)

    710,000       3.168     11/01/51   468,672

Revvity, Inc.(a)

    1,405,000       1.900     09/15/28   1,322,105
    1,200,000       3.300     09/15/29   1,146,000

Solventum Corp.(a)

    1,311,000       5.400     03/01/29   1,333,274
    4,605,000       5.600     03/23/34   4,711,514

STERIS Irish FinCo UnLtd Co.(a)

    218,000       2.700     03/15/31   198,153

UnitedHealth Group, Inc.(a)

    500,000       3.050     05/15/41   377,220
    925,000       6.050     02/15/63   942,788
       

 

        26,573,440

 

Insurance – 0.6%

American International Group, Inc.(a)

    420,000       4.850     05/07/30   421,999

Arch Capital Finance LLC(a)

    400,000       4.011     12/15/26   399,468

Arthur J Gallagher & Co.(a)

    1,378,000       5.150     02/15/35   1,368,437

Hartford Insurance Group, Inc.

    200,000       6.625     04/15/42   215,384

Sompo Holdings, Inc.(a)(b)(c) (1 yr. CMT + 2.130%)

    905,000       5.411     04/22/37   887,588

Willis North America, Inc.(a)

    700,000       2.950     09/15/29   662,403
       

 

        3,955,279

 

Internet(a) – 1.7%

Booking Holdings, Inc.

    955,000       5.375     05/07/36   954,551

Expedia Group, Inc.

    196,000       2.950     03/15/31   180,053
    3,950,000       5.400     02/15/35   3,911,053
    1,430,000       5.500     04/15/36   1,416,029

Meta Platforms, Inc.

    1,300,000       4.600     11/15/32   1,278,381
    1,225,000       4.875     11/15/35   1,191,986

Uber Technologies, Inc.

    1,600,000       4.150     01/15/31   1,562,272
    1,275,000       4.800     09/15/34   1,248,098
       

 

        11,742,423

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Investment Companies – 2.3%

Apollo Debt Solutions BDC(a)

$

    1,375,000       5.200 %(b)    12/08/28   $  1,353,041
    924,000       6.550     03/15/32   931,595

ARES Capital Corp.

    1,350,000       7.000     01/15/27   1,364,161
    870,000       5.550 (a)    01/15/30   864,998

Blackstone Private Credit Fund(a)

    3,800,000       2.625     12/15/26   3,758,086
    125,000       3.250     03/15/27   123,220
    512,000       5.050     09/10/30   490,214

Blackstone Secured Lending Fund(a)

    3,000,000       2.125     02/15/27   2,942,970
    282,000       5.300     06/30/30   274,217

Blue Owl Credit Income Corp.(a)

    1,325,000       7.750     09/16/27   1,354,243
    1,463,000       5.800     03/15/30   1,425,445

JAB Holdings BV(a)(b)

    700,000       2.200     11/23/30   626,451
       

 

        15,508,641

 

Iron/Steel – 0.5%

POSCO(b)

    240,000       5.750     01/17/28   243,374

Steel Dynamics, Inc.(a)

    1,950,000       1.650     10/15/27   1,880,463

Vale Overseas Ltd.(a)

    1,520,000       6.400     06/28/54   1,548,880
       

 

        3,672,717

 

Leisure Time(a) – 0.6%

Royal Caribbean Cruises Ltd.

    850,000       6.250 (b)    03/15/32   869,321
    1,525,000       6.000 (b)    02/01/33   1,545,877
    395,000       5.375     01/15/36   392,081
    1,160,000       5.250     02/27/38   1,122,265
       

 

        3,929,544

 

Lodging(a) – 1.9%

Choice Hotels International, Inc.

    3,624,000       3.700     01/15/31   3,420,186
    4,012,000       5.850     08/01/34   4,075,430

Hyatt Hotels Corp.

    1,963,000       5.500     06/30/34   1,986,595

Las Vegas Sands Corp.

    430,000       5.625     06/15/28   435,154
    160,000       6.000     06/14/30   164,369

Marriott International, Inc.

    1,350,000       5.550     10/15/28   1,376,689
    675,000       4.650     12/01/28   675,398
    325,000       4.800     03/15/30   326,346
    750,000       5.500     04/15/37   756,825
       

 

        13,216,992

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Machinery-Diversified(a) – 0.1%

AGCO Corp.

$

    805,000       5.800   03/21/34   $    820,070

 

Media – 2.5%

Charter Communications Operating LLC/Charter Communications Operating Capital(a)

    1,050,000       3.750     02/15/28   1,029,200
    6,750,000       4.200     03/15/28   6,660,427
    256,000       6.650     02/01/34   262,582
    800,000       6.550     06/01/34   816,280
    625,000       6.384     10/23/35   624,075

Comcast Corp.(a)

    475,000       3.750     04/01/40   379,862

News Corp.(a)(b)

    2,096,000       3.875     05/15/29   2,032,952

Space Exploration Technologies Corp.(a)(b)

    2,650,000       5.875     07/15/36   2,614,914

Time Warner Cable Enterprises LLC

    700,000       8.375     07/15/33   776,643

Time Warner Cable LLC(a)

    675,000       5.875     11/15/40   604,301

Videotron Ltd.(a)(b)

    1,659,000       5.700     01/15/35   1,664,043
       

 

        17,465,279

 

Mining(b) – 0.4%

Glencore Finance Canada Ltd.

    525,000       5.550     10/25/42   509,586

Glencore Funding LLC(a)

    1,075,000       4.000     03/27/27   1,071,033
    925,000       2.850     04/27/31   842,860
    725,000       2.625     09/23/31   647,954
       

 

        3,071,433

 

Oil Field Services – 1.6%

Continental Resources, Inc.(a)

    25,000       4.375     01/15/28   24,836
    925,000       5.750 (b)    01/15/31   941,419

Marathon Petroleum Corp.(a)

    2,095,000       3.800     04/01/28   2,068,058

Occidental Petroleum Corp.

    2,500,000       8.875 (a)    07/15/30   2,817,200
    1,030,000       5.375 (a)    01/01/32   1,050,600
    575,000       5.550 (a)    10/01/34   588,110
    350,000       6.450     09/15/36   375,252

Ovintiv, Inc.

    1,025,000       8.125     09/15/30   1,142,998

Reliance Industries Ltd.(b)

    890,000       3.625     01/12/52   633,983

Saudi Arabian Oil Co.

    1,100,000       3.500     04/16/29   1,060,844
       

 

        10,703,300

 

Packaging(a) – 0.2%

Berry Global, Inc.

    1,225,000       1.650     01/15/27   1,205,461

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pharmaceuticals(a) – 2.2%

Cardinal Health, Inc.

$

    575,000       4.500   09/15/30   $    569,785
    335,000       5.450     02/15/34   341,961
    1,990,000       5.350     11/15/34   2,014,159

Cigna Group

    3,906,000       4.800     08/15/38   3,699,880

CVS Health Corp.

    1,125,000       4.875     07/20/35   1,090,035
    1,250,000       5.450     09/15/35   1,266,263
    6,664,000       4.780     03/25/38   6,247,100
       

 

        15,229,183

 

Pipelines – 1.9%

Enbridge, Inc.(a)

    40,000       6.200     11/15/30   42,073

Energy Transfer LP(a)

    300,000       5.500     06/01/27   301,971
    354,000       4.950     05/15/28   355,951
    650,000       7.375 (b)    02/01/31   668,999
    1,472,000       6.550     12/01/33   1,592,557
    456,000       5.150     03/15/45   406,159

Galaxy Pipeline Assets Bidco Ltd.(b)

    200,000       2.625     03/31/36   174,714

Kinder Morgan Energy Partners LP

    1,100,000       7.750     03/15/32   1,251,382

MPLX LP(a)

    950,000       4.500     04/15/38   860,367
    520,000       5.500     02/15/49   479,211

ONEOK, Inc.(a)

    2,618,000       5.550     11/01/26   2,626,221
    2,245,000       4.550     07/15/28   2,241,745

Valero Energy Partners LP(a)

    675,000       4.500     03/15/28   674,467

Williams Cos., Inc.(a)

    1,050,000       4.650     08/15/32   1,034,313
       

 

        12,710,130

 

Real Estate(a) – 0.1%

CBRE Services, Inc.

    450,000       5.500     04/01/29   459,176
    485,000       5.950     08/15/34   505,462
       

 

        964,638

 

Real Estate Investment Trust(a) – 4.3%

Agree LP

    295,000       4.800     10/01/32   291,398
    695,000       5.625     06/15/34   713,000
    430,000       5.600     06/15/35   440,797

American Homes 4 Rent LP

    710,000       4.950     06/15/30   711,342
    225,000       2.375     07/15/31   198,878
    275,000       5.250     03/15/35   273,826

Cousins Properties LP

    1,350,000       5.250     07/15/30   1,363,756
    1,782,000       5.375     02/15/32   1,807,554

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(a) – (continued)

$

    590,000       4.875   03/01/33   $    574,318
    1,863,000       5.875     10/01/34   1,907,656

Crown Castle, Inc.

    6,225,000       4.000     03/01/27   6,204,644

Essential Properties LP

    870,000       5.400     12/01/35   862,622
    830,000       5.375     07/15/36   819,152

Essex Portfolio LP

    1,925,000       3.000     01/15/30   1,815,410

Extra Space Storage LP

    1,408,000       2.550     06/01/31   1,262,441
    430,000       4.950     01/15/33   425,661

GLP Capital LP/GLP Financing II, Inc.

    830,000       6.750     12/01/33   878,489

Healthcare Realty Holdings LP

    875,000       2.050     03/15/31   762,746

Healthpeak OP LLC

    381,000       5.375     02/15/35   383,396

Highwoods Realty LP

    635,000       5.350     01/15/33   631,342
    1,585,000       7.650     02/01/34   1,770,572

Host Hotels & Resorts LP

    350,000       4.250     12/15/28   346,171
    860,000       5.700     06/15/32   884,209
    480,000       5.700     07/01/34   489,984

Invitation Homes Operating Partnership LP

    600,000       2.300     11/15/28   568,062
    305,000       5.450     08/15/30   310,109

Kilroy Realty LP

    670,000       6.250     01/15/36   679,621

NNN REIT, Inc.

    870,000       5.600     10/15/33   894,395

Phillips Edison Grocery Center Operating Partnership I LP

    465,000       4.750     03/15/33   455,840
    415,000       5.750     07/15/34   429,019
    425,000       4.950     01/15/35   415,926

WP Carey, Inc.

    50,000       2.400     02/01/31   44,931
       

 

        29,617,267

 

Retailing(a) – 1.5%

7-Eleven, Inc.(b)

    1,586,000       1.800     02/10/31   1,379,455

AutoNation, Inc.

    1,425,000       4.750     06/01/30   1,413,671
    1,525,000       2.400     08/01/31   1,342,320
    2,326,000       5.890     03/15/35   2,373,358

Dollar General Corp.

    1,178,000       3.500     04/03/30   1,123,965
    2,075,000       5.450     07/05/33   2,108,512

Ferguson Enterprises, Inc.

    405,000       4.350     03/15/31   397,710

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Retailing(a) – (continued)

O’Reilly Automotive, Inc.

$

    455,000       5.100   03/12/36   $    450,691
       

 

        10,589,682

 

Savings & Loans(a)(b)(c) – 0.5%

Nationwide Building Society

(3 mo. USD Term SOFR + 1.855%)

    2,525,000       3.960     07/18/30   2,458,946

(Secured Overnight Financing Rate + 1.650%)

    845,000       5.537     07/14/36   851,143
       

 

        3,310,089

 

Semiconductors(a) – 1.7%

Broadcom, Inc.

    1,555,000       5.200     07/15/35   1,560,194
    764,000       3.137 (b)    11/15/35   648,025
    1,380,000       4.950     01/15/36   1,355,877

Kioxia Holdings Corp(b)

    2,593,000       6.250     07/24/30   2,675,483
    2,310,000       6.625     07/24/33   2,420,117

NXP BV/NXP Funding LLC/NXP USA, Inc.

    525,000       4.400     06/01/27   524,680
    1,435,000       2.650     02/15/32   1,270,621
    1,301,000       5.000     01/15/33   1,296,746
       

 

        11,751,743

 

Software(a) – 8.5%

AppLovin Corp.

    782,000       5.125     12/01/29   787,755
    4,976,000       5.375     12/01/31   5,042,828
    2,387,000       5.500     12/01/34   2,406,048

Constellation Software, Inc.(b)

    2,055,000       5.461     02/16/34   2,012,749

Electronic Arts, Inc.

    4,191,000       2.950     02/15/51   3,234,278

Fidelity National Information Services, Inc.

    1,285,000       4.800     03/10/31   1,271,148

Fiserv, Inc.

    75,000       5.250     08/11/35   73,084

MSCI, Inc.(b)

    3,500,000       4.000     11/15/29   3,389,645
    2,795,000       3.875     02/15/31   2,646,446
    2,125,000       3.625     11/01/31   1,969,960
    700,000       3.250     08/15/33   615,769

Oracle Corp.

    2,020,000       4.800     09/26/32   1,922,010
    1,725,000       5.350     05/04/33   1,675,337
    2,270,000       4.700     09/27/34   2,080,183
    2,275,000       5.500     08/03/35   2,176,925
    3,160,000       5.200     09/26/35   2,957,476
    1,790,000       5.700     02/04/36   1,735,602
    425,000       3.600     04/01/40   309,940
    2,900,000       6.550     02/04/46   2,735,541
    950,000       4.000     11/15/47   632,671
    2,775,000       6.900     11/09/52   2,660,947

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Software(a) – (continued)

Paychex, Inc.

$

    4,175,000       5.100   04/15/30   $  4,209,611
    276,000       5.350     04/15/32   279,279

ROBLOX Corp.(b)

    1,450,000       3.875     05/01/30   1,371,076

Salesforce, Inc.

    2,870,000       4.900     09/15/31   2,863,313
    3,493,000       5.550     03/15/36   3,483,115
    865,000       6.550     03/15/56   865,882

Synopsys, Inc.

    1,325,000       4.850     04/01/30   1,327,319
    867,000       5.000     04/01/32   868,535

VMware LLC

    1,075,000       1.800     08/15/28   1,016,681
       

 

        58,621,153

 

Sovereign(a)(b) – 0.3%

Eagle Funding Luxco SARL

    1,990,000       5.500     08/17/30   1,993,012

 

Telecommunication Services – 2.8%

AT&T, Inc.(a)

    175,000       4.900     08/15/37   166,646

Beacon Point DC LLC(a)(b)

    1,580,000       6.129     11/30/42   1,596,242

British Telecommunications Ltd.

    1,415,000       9.625     12/15/30   1,672,544

NTT Finance Corp.(a)(b)

    987,000       5.171     07/16/32   986,250
    934,000       5.502     07/16/35   939,268

QTS Fayetteville I Dc1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC (a)(b)

    4,025,000       5.700     04/15/36   3,826,044

Rogers Communications, Inc.(a)

    2,628,000       3.800     03/15/32   2,447,956

T-Mobile USA, Inc.(a)

    2,191,000       3.875     04/15/30   2,123,232
    380,000       2.875     02/15/31   349,577
    2,725,000       3.500     04/15/31   2,572,563

Verizon Communications, Inc.(a)

    475,000       3.150     03/22/30   451,122
    2,300,000       2.550     03/21/31   2,088,078
       

 

        19,219,522

 

Trucking & Leasing(a)(b) – 1.0%

Penske Truck Leasing Co. LP/PTL Finance Corp.

    3,675,000       4.400     07/01/27   3,667,907
    525,000       5.875     11/15/27   532,838
    836,000       5.250     07/01/29   846,183

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Trucking & Leasing(a)(b) – (continued)

SMBC Aviation Capital Finance DAC

$

    2,105,000       5.250   11/26/35   $  2,071,594
       

 

  7,118,522

 

TOTAL CORPORATE OBLIGATIONS
(Cost $627,199,206)
  $622,743,662

 

 
Sovereign Debt Obligations – 2.1%

Euro – 0.4%

Indonesia Government International Bonds(a)

EUR

    610,000       4.100   03/04/34   $    686,531

Mexico Government International Bonds(a)

    130,000       1.350     09/18/27   144,967
    1,152,000       1.450     10/25/33   1,073,106

Peru Government International Bonds(a)

    100,000       1.250     03/11/33   98,027

Philippines Government International Bonds

    450,000       0.700     02/03/29   481,392

Romania Government International Bonds(b)

    90,000       2.124     07/16/31   91,510
       

 

        2,575,533

 

United States Dollar – 1.7%

Chile Government International Bonds

$

    150,000       3.625     10/30/42   121,050
    200,000       3.500 (a)    01/25/50   145,550

Export-Import Bank of Korea

    390,000       5.125     01/11/33   402,987

Hungary Government International Bonds

    470,000       3.125 (b)    09/21/51   302,271
    640,000       6.750     09/23/55   698,509

Mexico Government International Bonds(a)

    2,540,000       3.250     04/16/30   2,375,408
    570,000       5.625     02/09/34   560,994
    802,000       3.500     02/12/34   683,673
    400,000       6.750     02/09/56   392,800
    1,199,000       3.771     05/24/61   718,920
    440,000       3.750     04/19/71   252,340

Panama Government International Bonds(a)

    380,000       2.252     09/29/32   319,941
    650,000       6.853     03/28/54   700,537
    200,000       3.870     07/23/60   138,120
    390,000       4.500     01/19/63   300,105

Peru Government International Bonds(a)

    630,000       5.500     03/30/36   637,018
    430,000       2.780     12/01/60   235,378

Philippines Government International Bonds

    210,000       2.650     12/10/45   134,138

Republic of Poland Government International Bonds(a)

    570,000       5.125     09/18/34   573,614
    700,000       5.500     03/18/54   666,099

Romania Government International Bonds

    160,000       3.000 (b)    02/27/27   157,800

 

Principal

Amount

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

United States Dollar – (continued)

$

    70,000       6.375   01/30/34   $     70,980
    600,000       5.750 (b)    07/04/36   574,650
    560,000       6.125     01/22/44   532,700

State of Israel

    400,000       3.800     05/13/60   270,464
       

 

  11,966,046

 

TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $16,296,639)
  $ 14,541,579

 

 
Municipal Debt Obligations – 0.4%

California – 0.1%

California State GO Bonds Build America Taxable Series 2009

$

    455,000       7.300   10/01/39   $    519,206

 

Illinois – 0.3%

Illinois State GO Bonds Build America Series 2010

    1,125,000       6.630     02/01/35   1,175,317

Illinois State GO Bonds Taxable-Pension Series 2003

    797,386       5.100     06/01/33   805,551
       

 

        1,980,868

 

Pennsylvania – 0.0%

Pennsylvania Commonwealth Financing Authority RB (Taxable) Series A

    335,000       2.991     06/01/42   257,548

 

TOTAL MUNICIPAL DEBT OBLIGATIONS
(Cost $2,705,770)
  $  2,757,622

 

 
U.S. Treasury Obligations – 0.2%

U.S. Treasury Bonds

$

    1,160,000       4.750   11/15/53   $  1,122,300
(Cost $1,190,067)  

 

    Shares     Description   Value
Exchange Traded Funds(e) – 0.3%
    47,366       Goldman Sachs Corporate Bond ETF   $  2,396,544
(Cost $2,412,441)  

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Shares     Dividend
Rate
  Value
Investment Company(e) – 1.2%

Goldman Sachs Central Government Fund — Institutional Shares

    8,522,264       3.703%   $  8,522,264
(Cost $8,522,264)  

 

TOTAL INVESTMENTS BEFORE SHORT-TERM INVESTMENTS – 94.9%
(Cost $658,326,387)
  $652,083,971

 

 
Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Short-term Investments(b)(f) – 1.8%

Commercial Paper(b)(f) – 1.8%

Charles Schwab Corp.

$

    3,000,000       0.000   12/08/26   $  2,946,892

Energy Transfer LP

    2,700,000       0.000     07/01/26   2,699,709

Evergy Missouri West, Inc.

    1,749,000       0.000     07/01/26   1,748,812

Targa Resources Corp.

    4,558,000       0.000     07/01/26   4,557,498

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $11,952,867)
  $ 11,952,911

 

TOTAL INVESTMENTS – 96.7%
(Cost $670,279,254)
  $664,036,882

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 3.3%

  22,840,408

 

NET ASSETS – 100.0 %

 

    $686,877,290

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(d)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(e)   Represents an affiliated issuer.
(f)   Issued with a zero coupon. Income is recognized through the accretion of discount.
 

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
      

Currency

Sold

       Settlement
Date
        Unrealized 
Gain
 

 

 

JPMorgan Securities, Inc.

    

USD

     2,632,865        EUR      2,261,356          08/19/26        $    43,606   

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                   

10 Year U.S. Treasury Notes

     26      09/21/26      $ 2,857,156        $ (5,953

20 Year U.S. Treasury Bonds

     574      09/21/26        65,149,000          1,420,424  

Ultra Long U.S. Treasury Bonds

     630      09/21/26        73,178,438          2,022,801  

 

 

Total

                    $ 3,437,272  

 

 


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS (continued)

 

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

 

 

Short position contracts:

                 

3 Month SOFR

     (125)      03/16/27      $ (29,987,500    $ (15,439

5 Year U.S. Treasury Notes

      (28)      09/30/26        (2,997,313      (378

Ultra 10-Year U.S. Treasury Notes

     (219)      09/21/26        (24,630,656      (148,285

 

 

Total

                  $ (164,102

 

 

TOTAL FUTURES CONTRACTS

                  $ 3,273,170  

 

 

SWAP CONTRACTS — At June 30, 2026, the Fund had the following swap contracts:

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS

 

Payments Made

by the Fund

  

Payments

Received by

Fund

 

Termination

Date

 

Notional

Amount

(000s)(a)

   

Market

Value

   

Upfront

Premium

(Received)

Paid

   

Unrealized

Appreciation/

(Depreciation)

 

 

 

3.429%(b)

   12M SOFR(b)   04/22/28   $ 5,960     $ 34,732     $ 25,165     $ 9,567  

3.416(b)

   12M SOFR(b)   04/22/28     7,470       44,491       10,451       34,040  

3.927(c)

   12M SOFR(c)   06/30/28     6,880       11,091       (1,848     12,939  

12M SOFR(c)

   4.021%(c)   06/30/28     970       (62     (37     (25

2.500(d)

   12M CDOR(d)   09/16/28   CAD  1,530       4,405       5,722       (1,317

3.903(c)

   12M SOFR(c)   11/30/30   $ 16,200       6,286       (6,025     12,311  

3.979(c)

   12M SOFR(c)   11/30/30     1,210       (3,074     (268     (2,806

12M SOFR(c)

   3.584(c)   04/22/32     10,920       (153,816     (128,979     (24,837

12M SOFR(c)

   3.592(c)   04/22/32     8,940       (122,641     (166,811     44,170  

3.976(c)

   12M SOFR(c)   04/30/33     8,750       (19,058     (1,902     (17,156

2.750(c)

   6M EURO(d)   09/16/36   EUR  890       15,683       24,405       (8,722

3.894(c)

   12M SOFR(c)   04/22/37   $ 6,130       77,271       19,963       57,308  

3.893(c)

   12M SOFR(c)   04/22/37     5,100       64,548       72,069       (7,521

12M SOFR(c)

   4.629(c)   04/14/41     12,710       26,990       (5,727     32,717  

12M SOFR(c)

   4.688(c)   04/14/41     6,160       23,928       2,031       21,897  

4.048(c)

   12M SOFR(c)   04/13/56     11,820       (5,450     14,418       (19,868

4.114(c)

   12M SOFR(c)   04/13/56     5,720       (15,835     (1,482     (14,353

 

 

TOTAL

         $ (10,511   $ (138,855   $ 128,344  

 

 

 

(a)   Represents forward starting interest rate swaps whose effective dates of commencement of accruals and cash flows occur subsequent to June 30, 2026.
(b)   Payments made at maturity.
(c)   Payments made annually.
(d)   Payments made semi-annually.

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
   Financing Rate
Received/(Paid) by
the Fund(a)
  Credit
Spread at
June 30,
2026(b)
  Termination
Date
   Notional
Amount
(000s)
     Value     Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

 

      

CDX.NA.IG Ind 43

   1.000%   0.376%   12/20/29    $ 129,924      $ 2,660,502     $ 1,904,723     $ 755,779  

CDX.NA.IG Ind 44

   1.000     0.431     06/20/30      21,718        457,919       153,127       304,792  

CDX.NA.IG Ind 45

   1.000     0.468     12/20/30      355,610        7,790,673       6,931,456       859,217  

Oracle Corp., 3.250%, 11/15/27

   1.000     1.543     12/20/30      3,475        (74,077     (34,333     (39,744


GOLDMAN SACHS INVESTMENT GRADE CREDIT FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS (continued)

 

Referenced
Obligation/Index
   Financing Rate
Received/(Paid) by
the Fund(a)
     Credit
Spread at
June 30,
2026(b)
   Termination
Date
   Notional
Amount
(000s)
     Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Republic of Chile, 3.240%, 02/06/28

     1.000%      0.417%    06/20/31    $ 2,630      $ 69,932      $ 51,264     $ 18,668  

Republic of Indonesia, 2.150%, 07/28/31

     1.000        0.896      06/20/31      2,700        13,146        (5,899     19,045  

Republic of Peru, 8.750%, 11/21/33

     1.000        0.627      06/20/31      2,680        45,616        21,894       23,722  

Republic of the Philippines, 9.500%, 02/02/30

     1.000        0.630      06/20/31      2,690        45,232        8,638       36,594  

 

 
TOTAL                $ 11,008,943      $ 9,030,870     $ 1,978,073  

 

 

 

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

 

 

 

Currency Abbreviations:
CAD   — Canadian Dollar
EUR   — Euro
USD   — U.S. Dollar
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
ETF   — Exchange Traded Fund
GO   — General Obligation
ICE   — Inter-Continental Exchange
LLC   — Limited Liability Company
LP   — Limited Partnership
PLC   — Public Limited Company
RB   — Revenue Bond
REIT   — Real Estate Investment Trust
SOFR   — Secured Overnight Financing Rate
Abbreviations:
CDOR   — Canadian Dollar Offered Rate
CDX.NA.IG Ind 43   — CDX North America Investment Grade Index 43
CDX.NA.IG Ind 44   — CDX North America Investment Grade Index 44
CDX.NA.IG Ind 45   — CDX North America Investment Grade Index 45
EURO   — Euro Offered Rate
SOFR   — Secured Overnight Financing Rate

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 88.3%    

Advertising – 1.7%

 

   

Clear Channel Outdoor Holdings, Inc.(a)(b) (B/B2)

$

    146,000       7.875   04/01/30   $   151,910
    25,000       7.125     02/15/31   25,904
    27,000       7.500     03/15/33   28,460

Neptune Bidco U.S., Inc.(a)(b) (B-/B3)

    84,000       9.290     04/15/29   85,692
    48,000       10.375     05/15/31   49,731
    88,000       9.500     02/15/33   89,008

Outfront Media Capital LLC/Outfront Media Capital Corp.(a)(b) (B+/B1)

    86,000       4.625     03/15/30   83,405

Outfront Media Capital LLC/Outfront Media Capital Corp.(a)(b) (BB+/Ba1)

    10,000       7.375     02/15/31   10,399
       

 

        524,509

 

Aerospace & Defense – 0.8%

Bombardier, Inc.(a)(b) (BB-/Ba3)

    32,000       5.875     01/15/35   32,120

Moog, Inc.(a)(b) (BB/Ba2)

    24,000       5.500     10/15/34   23,667

TransDigm, Inc.(a) (B/B3)

    150,000       4.625     01/15/29   147,672
    15,000       6.750 (b)    01/31/34   15,394
    24,000       6.125 (b)    07/31/34   23,978
       

 

        242,831

 

Airlines – 1.0%

OneSky Flight LLC(a)(b) (B+/B3)

    82,000       8.875     12/15/29   86,742

United Airlines Holdings, Inc.(a) (BB+/Ba2)

    126,000       4.875     03/01/29   124,712
    59,000       5.375     03/01/31   58,651

VistaJet Malta Finance PLC/Vista Management Holding, Inc.(a)(b) (B/B3)

    40,000       9.500     06/01/28   40,528
       

 

        310,633

 

Automotive – 2.1%

Allison Transmission, Inc.(a)(b) (NR/Ba2)

    239,000       3.750     01/30/31   223,551

American Axle & Manufacturing, Inc.(a)(b) (BB/Ba2)

    52,000       6.375     10/15/32   51,809

Clarios Global LP/Clarios U.S. Finance Co.(a)(b) (BB-/B2)

    38,000       6.750     02/15/30   39,148

Cyprium Corp./Cyprium Holdings Luxembourg SARL(a)(b) (BB-/Ba2)

    20,000       6.125     04/15/31   20,017
    48,000       6.375     04/15/34   47,890

Dorman Products, Inc.(a)(b) (BB-/Ba3)

    15,000       6.250     06/15/34   15,166

Nissan Motor Acceptance Co. LLC(a)(b) (NR/Ba2)

    44,000       6.125     09/30/30   43,251

Phinia, Inc.(a)(b) (BB/Ba2)

    45,000       6.625     10/15/32   45,978

Phinia, Inc.(a)(b) (BB+/Baa3)

    115,000       6.750     04/15/29   117,881

Qnity Electronics, Inc.(a)(b) (BB/B1)

    20,000       6.250     08/15/33   20,353

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Automotive – (continued)

 

   

Qnity Electronics, Inc.(a)(b) (BB+/Ba1)

$

    44,000       5.750   08/15/32   $    44,264
       

 

           669,308

 

Banks(a) – 0.6%

Freedom Mortgage Corp.(b) (B/B2)

    127,000       6.625     01/15/27   127,202

JPMorgan Chase & Co.(c) (BBB/Baa1) (5 yr. CMT + 2.152%)

    70,000       6.500     04/01/30   71,590
       

 

        198,792

 

Building Materials – 1.8%

Builders FirstSource, Inc.(a)(b) (BB-/Ba2)

    99,000       4.250     02/01/32   92,274
    44,000       6.750     05/15/35   44,851

Quikrete Holdings, Inc.(a)(b) (B+/B2)

    26,000       6.750     03/01/33   26,497

Quikrete Holdings, Inc.(a)(b) (BB/Ba3)

    105,000       6.375     03/01/32   107,214

Smyrna Ready Mix Concrete LLC(a)(b) (B+/B1)

    87,000       8.875     11/15/31   91,733

Standard Building Solutions, Inc.(a)(b) (BB+/Ba3)

    109,000       6.500     08/15/32   109,727

Standard Industries, Inc.(a)(b) (BB+/Ba3)

    86,000       4.375     07/15/30   81,702
       

 

        553,998

 

Chemicals – 2.1%

Avient Corp.(a)(b) (BB-/Ba3)

    91,000       7.125     08/01/30   92,653
    45,000       6.250     11/01/31   45,555

Celanese U.S. Holdings LLC(a) (BB/Ba2)

    124,000       7.700     11/15/33   132,479
    36,000       7.375     02/15/34   37,186

Ingevity Corp.(a)(b) (NR/Ba3)

    136,000       3.875     11/01/28   131,742

Solstice Advanced Materials, Inc.(a)(b) (BB+/Ba2)

    20,000       5.625     09/30/33   19,871

WR Grace Holdings LLC(a)(b) (B-/B2)

    196,000       6.625     08/15/32   189,947
       

 

        649,433

 

Commercial Services – 4.2%

APi Group DE, Inc.(a)(b) (B+/B1)

    385,000       4.125     07/15/29   369,423
    25,000       4.750     10/15/29   24,508
    32,000       5.750     06/01/34   31,740

Avis Budget Car Rental LLC/Avis Budget Finance, Inc.(a)(b) (B/B1)

    40,000       8.375     06/15/32   40,278

Block, Inc.(a)(b) (BB+/Ba1)

    126,000       6.000     08/15/33   126,796

CompoSecure Holdings LLC(a)(b) (B+/B1)

    84,000       5.625     02/01/33   81,984

EquipmentShare.com, Inc.(a)(b) (B/B3)

    100,000       7.125     07/01/34   98,242

Garda World Security Corp.(a)(b) (B+/B1)

    75,000       7.750     02/15/28   76,189
    96,000       6.500     01/15/31   97,313

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Commercial Services – (continued)

Graham Holdings Co.(a)(b) (BB/Ba1)

$

    116,000       5.625   12/01/33   $   114,840

Hertz Corp.(a)(b) (B-/Ba3)

    70,000       12.625     07/15/29   56,929

NESCO Holdings II, Inc.(a)(b) (B/B3)

    45,000       5.500     04/15/29   44,802

Service Corp. International(a) (BB/Ba3)

    39,000       5.750     10/15/32   39,155

United Rentals North America, Inc.(a)(b) (BB+/Ba2)

    92,000       5.375     11/15/33   90,671

Williams Scotsman, Inc.(a)(b) (BB-/B2)

    22,000       6.625     04/15/30   22,662
       

 

        1,315,532

 

Computers(a) – 0.7%

Ahead DB Holdings LLC(b) (CCC+/Caa1)

    32,000       6.625     05/01/28   32,000

CACI International, Inc.(b) (BB-/Ba2)

    52,000       6.375     06/15/33   52,740

Diebold Nixdorf, Inc.(b) (B+/B1)

    86,000       7.750     03/31/30   89,734

Seagate Data Storage Technology Pte. Ltd. (BB+/Ba3)

    36,000       5.875     07/15/30   36,513
       

 

        210,987

 

Distribution & Wholesale(a)(b) – 0.3%

ADI Escrow Issuer LLC (NR/NR)

    25,000       7.125     07/15/34   25,485

American Builders & Contractors Supply Co., Inc. (BB-/Ba3)

    88,000       3.875     11/15/29   83,849
       

 

        109,334

 

Diversified Financial Services – 4.1%

Coinbase Global, Inc.(a)(b) (BB-/Ba2)

    94,000       3.375     10/01/28   89,247

Credit Acceptance Corp.(a)(b) (BB/Ba3)

    42,000       6.625     03/15/30   42,142

Encore Capital Group, Inc.(a)(b) (NR/Ba3)

    200,000       6.625     06/01/32   200,242

Focus Financial Partners LLC(a)(b) (B/B2)

    75,000       6.750     09/15/31   75,725

Freedom Mortgage Holdings LLC(a)(b) (B/B2)

    13,000       9.250     02/01/29   13,511

Jane Street Group/JSG Finance, Inc.(a)(b) (BB/Ba1)

    82,000       6.125     11/01/32   81,948
    52,000       6.750     05/01/33   53,431

OneMain Finance Corp.(a) (BB/Ba2)

    68,000       6.125     05/15/30   67,981

Osaic Holdings, Inc.(a)(b) (B/B1)

    28,000       6.750     08/01/32   28,056

PennyMac Financial Services, Inc.(a)(b) (B+/Ba3)

    64,000       6.875     02/15/33   62,335
    40,000       6.750     02/15/34   38,399

Rocket Cos., Inc.(a)(b) (BB/Ba1)

    44,000       6.125     08/01/30   44,802
    14,000       6.125     08/01/31   14,298
    80,000       6.375     08/01/33   81,382

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Diversified Financial Services – (continued)

SLM Corp.(a)(c) (BB+/Ba1) (Secured Overnight Financing Rate + 2.710%)

$

    44,000       6.495   05/15/32   $    44,008

Stonex Escrow Issuer LLC(a)(b) (BB/Ba3)

    40,000       6.875     07/15/32   41,130

United Wholesale Mortgage LLC(a)(b) (NR/Ba3)

    126,000       5.500     04/15/29   117,017

UWM Holdings LLC(a)(b) (NR/Ba3)

    64,000       6.625     02/01/30   59,575
    87,000       6.250     03/15/31   77,458

VFH Parent LLC/Valor Co-Issuer, Inc.(a)(b) (B+/B1)

    67,000       7.500     06/15/31   70,075
       

 

        1,302,762

 

Electrical – 0.9%

NRG Energy, Inc.(a)(b) (BB/Ba2)

    69,000       5.750     07/15/29   69,011
    61,000       3.625     02/15/31   56,639
    32,000       5.875     05/15/34   31,821
    30,000       6.000     01/15/36   29,906
    32,000       6.125     05/15/36   32,034

Talen Energy Supply LLC(a)(b) (B+/B1)

    28,000       6.250     02/01/34   27,826
    28,000       6.500     02/01/36   28,219
       

 

        275,456

 

Electrical Components & Equipment – 0.8%

WESCO Distribution, Inc.(a)(b) (BB/Ba3)

    13,000       6.375     03/15/29   13,256
    60,000       5.250     04/15/31   59,570
    86,000       6.625     03/15/32   88,638
    84,000       5.500     04/15/34   83,112
       

 

        244,576

 

Electronics(a)(b) – 0.7%

Atkore, Inc. (BB+/Ba2)

    240,000       4.250     06/01/31   229,704

 

Engineering & Construction – 2.4%

AECOM(a)(b) (BB/Ba2)

    132,000       6.000     08/01/33   132,153

Arcosa, Inc.(a)(b) (B+/Ba2)

    42,000       6.875     08/15/32   43,822

Global Infrastructure Solutions, Inc.(a)(b) (BB/Ba3)

    234,000       5.625     06/01/29   233,902
    127,000       7.500     04/15/32   132,759
    75,000       6.375     07/15/34   75,523

Granite Construction, Inc.(a)(b) (BB/B1)

    52,000       6.375     06/15/34   52,966

Weekley Homes LLC/Weekley Finance Corp.(a)(b) (BB-/Ba2)

    92,000       6.750     01/15/34   92,187
       

 

        763,312

 

Entertainment – 1.5%

Boyne USA, Inc.(a)(b) (B/B1)

    202,000       4.750     05/15/29   198,552

Cinemark USA, Inc.(a)(b) (BB/B2)

    198,000       5.250     07/15/28   197,584

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Entertainment – (continued)

$

    38,000       7.000   08/01/32   $    39,212

Rivers Enterprise Borrower LLC/Rivers Enterprise Finance Corp.(a)(b) (B+/B1)

    26,000       6.625     02/01/33   26,399
       

 

        461,747

 

Environmental(a)(b) – 0.9%

GFL Environmental Holdings U.S., Inc. (BB/Ba3)

    72,000       5.500     02/01/34   70,415

Madison IAQ LLC (B/B2)

    204,000       5.875     06/30/29   203,967

Waste Pro USA, Inc. (B-/Caa1u)

    26,000       7.000     02/01/33   26,610
       

 

        300,992

 

Food & Drug Retailing – 1.9%

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/ Albertsons
LLC(a)(b) (BB+/Ba2)

    104,000       5.625     03/31/32   100,505
    82,000       6.250     03/15/33   81,292

Performance Food Group, Inc.(a)(b) (BB/B1)

    70,000       4.250     08/01/29   67,886
    112,000       5.625     03/01/34   109,998

Post Holdings, Inc.(a)(b) (B+/B2)

    114,000       6.375     03/01/33   113,159

Post Holdings, Inc.(a)(b) (BB/Ba1)

    45,000       6.250     02/15/32   45,681

U.S. Foods, Inc.(a)(b) (BB+/Ba2)

    74,000       4.625     06/01/30   72,214
       

 

        590,735

 

Healthcare Providers & Services(a) – 2.3%

Centene Corp. (BB+/Ba1)

    116,000       2.500     03/01/31   101,306

Charlotte Buyer, Inc.(b) (B-/B3)

    78,000       8.000     06/30/31   78,973

DaVita, Inc.(b) (BB-/Ba3)

    87,000       6.875     09/01/32   89,703

Encompass Health Corp.(b) (BB-/Ba2)

    36,000       5.875     06/01/34   35,934

Global Medical Response, Inc.(b) (B+/B1)

    58,000       7.375     10/01/32   60,097

LifePoint Health, Inc.(b) (B/B2)

    100,000       7.000     05/01/34   95,800

Medline Borrower LP(b) (BBB-/Ba1)

    76,000       3.875     04/01/29   73,795

Molina Healthcare, Inc.(b) (BB-/Ba2)

    52,000       6.500     02/15/31   52,887

Select Medical Corp.(b) (B-/B3)

    109,000       6.250     12/01/32   105,935

Team Health Holdings, Inc.(b) (B-/Caa1)

    25,000       8.375     06/30/28   25,150
       

 

        719,580

 

Home Builders – 1.6%

Brookfield Residential Properties, Inc./Brookfield Residential U.S.
LLC(a)(b) (B+/B1)

    128,000       4.875     02/15/30   119,130

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)    

Home Builders – (continued)

Century Communities, Inc.(a)(b) (BB/Ba2)

$

    179,000       3.875   08/15/29   $   170,813

Forestar Group, Inc.(a)(b) (BB-/Ba3)

    124,000       6.500     03/15/33   125,981

K Hovnanian Enterprises, Inc.(a)(b) (BB-/B3)

    13,000       8.000     04/01/31   13,415
    18,000       8.375     10/01/33   18,502

KB Home(a) (BB+/Ba1)

    73,000       7.250     07/15/30   74,366
       

 

        522,207

 

Home Furnishings(a)(b) – 0.1%

Whirlpool Corp. (BB+/Ba1)

    44,000       7.500     07/01/31   44,555

 

Housewares – 0.7%

Newell Brands, Inc.(a) (B+/B2)

    13,000       6.375     05/15/30   13,174
    22,000       6.625     05/15/32   22,278

Scotts Miracle-Gro Co.(a) (B+/B2)

    206,000       4.375     02/01/32   192,973
       

 

        228,425

 

Insurance(a)(b) – 3.0%

Acrisure LLC/Acrisure Finance, Inc. (B/B2)

    7,000       6.750     07/01/32   6,293

Acrisure LLC/Acrisure Finance, Inc. (CCC+/Caa2)

    178,000       6.000     08/01/29   157,478

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer (B+/B2)

    130,000       6.750     04/15/28   131,018

APH Somerset Investor 2 LLC/APH2 Somerset Investor 2 LLC/APH3 Somerset Investor 2 LLC (BB+/NR)

    106,000       7.875     11/01/29   107,370

CRC Insurance Group LLC (B/B2)

    154,000       7.125     06/01/31   153,447

Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance LLC (CCC+/Caa1)

    200,000       8.125     02/15/32   180,048

HUB International Ltd. (B/Caa1)

    116,000       7.375     01/31/32   118,127

Ryan Specialty LLC (BB-/Ba3)

    60,000       5.875     08/01/32   59,031

USI, Inc. (CCC+/Caa1)

    42,000       7.500     01/15/32   42,441
       

 

        955,253

 

Internet – 2.4%

Gen Digital, Inc.(a)(b) (BB-/B1)

    134,000       7.125     09/30/30   136,321
    38,000       6.250     04/01/33   37,449

Go Daddy Operating Co. LLC/GD Finance Co., Inc.(a)(b) (BB-/Ba3)

    100,000       3.500     03/01/29   94,123

Match Group Holdings II LLC(a)(b) (BB/Ba2)

    114,000       4.625     06/01/28   112,373
    98,000       4.125     08/01/30   92,179

Meta Platforms, Inc.(a) (AA-/Aa3)

    88,000       5.625     11/15/55   79,747

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Internet – (continued)

Snap, Inc.(a)(b) (BB-/B1)

$

    105,000       6.875   03/01/33   $   102,290
    66,000       6.875     03/15/34   63,902

Wayfair LLC(a)(b) (BB-/B2u)

    24,000       7.125     05/31/34   24,680
       

 

        743,064

 

Investment Companies(a)(b) – 0.3%

Icahn Enterprises LP/Icahn Enterprises Finance Corp. (BB-/B1)

    92,000       10.000     11/15/29   90,770

 

Iron/Steel – 0.9%

Cleveland-Cliffs, Inc.(a)(b) (NR/B2)

    45,000       6.875     11/01/29   45,380
    64,000       7.375     05/01/33   63,915

Hybar LLC(a)(b) (B-/B3)

    75,000       7.375     07/01/34   75,343

Mineral Resources Ltd.(a)(b) (NR/Ba3)

    40,000       7.000     04/01/31   41,431
    15,000       6.000     05/01/32   14,856
    60,000       6.250     05/01/34   59,150
       

 

        300,075

 

Leisure Time – 3.0%

Carnival Corp. Ltd.(a)(b) (BBB-/Ba1)

    244,000       5.875     06/15/31   248,300
    124,000       5.750     08/01/32   125,258
    86,000       6.125     02/15/33   87,068

Gaia Purchaser, Inc.(a)(b) (B/B2)

    90,000       7.625     07/15/33   91,033

MajorDrive Holdings IV LLC(a)(b) (CCC-/Caa3)

    142,000       6.375     06/01/29   118,760

Royal Caribbean Cruises Ltd.(a)(b) (BBB/Baa2)

    70,000       6.250     03/15/32   71,591

Viking Cruises Ltd.(a)(b) (BB+/Ba3)

    38,000       7.000     02/15/29   38,061
    72,000       5.875     10/15/33   72,041

Viking Ocean Cruises Ship VII Ltd.(a)(b) (BBB-/Baa3)

    42,000       5.625     02/15/29   41,970

VOC Escrow Ltd.(a)(b) (BBB-/Baa3)

    62,000       5.000     02/15/28   61,872
       

 

        955,954

 

Lodging – 3.0%

Genting New York LLC/GENNY Capital, Inc.(a)(b) (BB+/NR)

    200,000       7.250     10/01/29   205,820

Hilton Domestic Operating Co., Inc.(a)(b) (BB+/Ba2)

    96,000       5.500     09/15/31   96,199

Hilton Grand Vacations Borrower LLC/Hilton Grand Vacations Borrower, Inc.(a)(b) (B/B3)

    152,000       5.000     06/01/29   148,332
    159,000       4.875     07/01/31   149,417

Travel & Leisure Co.(a)(b) (BB-/Ba3)

    206,000       4.500     12/01/29   199,338

Wyndham Hotels & Resorts, Inc.(a)(b) (BB-/Ba2)

    136,000       5.625     03/01/33   134,141
       

 

        933,247

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Machinery - Construction & Mining(a)(b) – 0.1%

Terex Corp. (BB/Ba3)

$

    38,000       6.250   10/15/32   $    38,482

 

Machinery-Diversified – 0.3%

Esab Corp.(a)(b) (BB+/Ba1)

    64,000       6.250     04/15/29   64,957
    32,000       5.625     04/01/31   31,987
       

 

        96,944

 

Media – 7.0%

CCO Holdings LLC/CCO Holdings Capital Corp.(a)(b) (BB-/B1)

    169,000       4.250     02/01/31   152,244
    124,000       7.000     02/01/33   121,504
    470,000       4.250     01/15/34   397,319
    140,000       7.375     02/01/36   137,368

Directv Financing LLC/Directv Financing Co-Obligor, Inc.(a)(b) (B+/B1)

    208,000       10.000     02/15/31   216,058

Discovery Global Holdings, Inc.(a) (BB/NR)

    259,000       5.050     03/15/42   189,583

DISH Network Corp.(a)(b) (B/B1)

    97,000       11.750     11/15/27   99,696

GCI LLC(a)(b) (BB-/B3)

    178,000       4.750     10/15/28   169,736

Gray Media, Inc.(a)(b) (B+/Ba3)

    86,000       10.500     07/15/29   90,734
    49,000       7.250     08/15/33   48,236

McGraw-Hill Education, Inc.(a)(b) (BB-/B1)

    130,000       7.375     09/01/31   132,085

Nexstar Media, Inc.(a)(b) (BBB-/Ba2)

    180,000       6.500     09/15/33   180,065

Sinclair Television Group, Inc.(a)(b) (B+/B3)

    169,000       8.125     02/15/33   174,149

Univision Communications, Inc.(a)(b) (B/B2)

    48,000       9.375     08/01/32   48,793
    52,000       8.875     04/15/33   51,216
       

 

        2,208,786

 

Metal Fabricate & Hardware(a)(b) – 0.6%

Advanced Drainage Systems, Inc. (BB-/Ba2)

    36,000       5.375     03/01/34   35,252

Roller Bearing Co. of America, Inc. (BB/Ba3)

    162,000       4.375     10/15/29   158,144
       

 

        193,396

 

Miscellaneous Manufacturing – 0.3%

Amsted Industries, Inc.(a)(b) (BB/Ba3)

    22,000       6.375     03/15/33   22,245

Axon Enterprise, Inc.(a)(b) (BB+/Ba2)

    38,000       6.125     03/15/30   38,765
    38,000       6.250     03/15/33   38,967
       

 

        99,977

 

Oil Field Services – 9.6%

Archrock Partners LP/Archrock Partners Finance Corp.(a)(b) (BB-/B1)

    60,000       6.625     09/01/32   61,109

Archrock Services LP/Archrock Partners Finance Corp.(a)(b) (BB-/B1)

    28,000       6.000     02/01/34   27,816

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

California Resources Corp.(a)(b) (BB-/B1)

$

    100,000       7.250   01/15/35   $    99,154

Caturus Energy LLC(a)(b) (B/B3)

    36,000       7.125     05/15/31   35,614

Chord Energy Corp.(a)(b) (BB/Ba2)

    60,000       6.000     10/01/30   60,271
    182,000       6.750     03/15/33   185,027

CNX Resources Corp.(a)(b) (BB/B1)

    82,000       7.375     01/15/31   83,925
    38,000       7.250     03/01/32   39,120
    72,000       5.875     03/01/34   70,001

Crescent Energy Finance LLC(a)(b) (BB-/B1)

    229,000       7.625     04/01/32   230,656
    102,000       7.375     01/15/33   101,352

DBR Land Holdings LLC(a)(b) (BB-/B1)

    48,000       6.250     12/01/30   48,755

Gulfport Energy Operating Corp.(a)(b) (BB-/B3)

    126,000       6.750     09/01/29   128,621

Kodiak Gas Services LLC(a)(b) (BB-/B1)

    52,000       5.875     04/01/31   52,109
    20,000       6.500     10/01/33   20,246
    24,000       6.750     10/01/35   24,619

Kraken Oil & Gas Partners LLC(a)(b) (B+/B3)

    44,000       7.125     05/15/31   43,038

Matador Resources Co.(a)(b) (BB-/B1)

    49,000       6.500     04/15/32   49,248
    66,000       6.250     04/15/33   65,741
    64,000       6.000     04/15/34   62,372

Noble Finance II LLC(a)(b) (BB-/Ba3)

    191,000       8.000     04/15/30   197,876
    80,000       6.250     06/15/34   78,397

Northern Oil & Gas, Inc.(a)(b) (B+/B1)

    28,000       7.875     10/15/33   27,815

Permian Resources Operating LLC(a)(b) (BBB-/Baa3)

    75,000       5.875     07/01/29   75,017
    114,000       7.000     01/15/32   117,931
    26,000       6.250     02/01/33   26,554

SESI LLC(a)(b) (B+/B2)

    15,000       7.875     09/30/30   15,242

SM Energy Co.(a)(b) (BB/B1)

    45,000       6.750     08/01/29   45,809
    72,000       6.625     04/15/34   70,883

Sunoco LP(a)(b) (BB+/Ba1)

    71,000       7.000     05/01/29   73,073
    40,000       5.375     07/15/31   39,462
    38,000       6.250     07/01/33   38,315
    64,000       5.625     07/15/34   62,480

Sunoco LP/Sunoco Finance Corp.(a) (BB+/Ba1)

    204,000       4.500     04/30/30   197,380

Tidewater, Inc.(a)(b) (BB-/B2)

    80,000       9.125     07/15/30   85,634

Transocean International Ltd.(a)(b) (B/B2)

    24,000       7.875     10/15/32   24,976

USA Compression Partners LP/USA Compression Finance Corp.(a)(b) (B+/B1)

    202,000       7.125     03/15/29   206,949

WBI Operating LLC(a)(b) (BB-/B1)

    52,000       6.250     10/15/30   52,295

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

$

    44,000       6.500   10/15/33   $    44,271

Weatherford International Ltd.(a)(b) (BB/Ba3)

    44,000       6.750     10/15/33   44,894
       

 

        3,014,047

 

Packaging(a) – 0.2%

Crown Americas LLC (BB+/Ba2)

    52,000       5.875     06/01/33   52,334

 

Pharmaceuticals – 1.6%

1261229 BC Ltd.(a)(b) (B/Caa1)

    220,000       10.000     04/15/32   222,693

Adapthealth LLC(a)(b) (BB-/Ba3)

    114,000       6.125     08/01/28   114,027
    36,000       4.625     08/01/29   34,763
    44,000       5.125     03/01/30   42,662

Amneal Pharmaceuticals LLC(a)(b) (B+/Ba3)

    22,000       6.875     08/01/32   22,844

HLF Financing SARL LLC/Herbalife International, Inc.(a)(b) (BB/Ba2)

    60,000       7.750     05/01/33   60,758
       

 

        497,747

 

Pipelines – 8.0%

Antero Midstream Partners LP/Antero Midstream Finance Corp.(a)(b) (BB+/Ba2)

    109,000       5.375     06/15/29   108,708
    30,000       5.750     10/15/33   29,714
    52,000       5.750     07/01/34   51,343

Blue Racer Midstream LLC/Blue Racer Finance Corp.(a)(b) (B+/B2)

    45,000       7.000     07/15/29   46,137

Buckeye Partners LP(a)(b) (BB/Ba3)

    71,000       6.875     07/01/29   72,553
    38,000       6.750     02/01/30   39,246

CNX Midstream Partners LP(a)(b) (BB/B1)

    43,000       4.750     04/15/30   40,960

CQP Holdco LP/BIP-V Chinook Holdco LLC(a)(b) (BB/Ba2)

    250,000       7.500     12/15/33   261,878

Delek Logistics Partners LP/Delek Logistics Finance Corp.(a)(b) (BB-/B2)

    26,000       8.625     03/15/29   27,032
    104,000       7.375     06/30/33   106,079
    44,000       6.875     06/01/34   43,848

Excelerate Energy LP(a)(b) (BB+/NR)

    4,000       8.000     05/15/30   4,220

Genesis Energy LP/Genesis Energy Finance Corp.(a) (B+/B2)

    64,000       7.875     05/15/32   66,097
    71,000       8.000     05/15/33   73,891
    48,000       6.750     03/15/34   47,636

Global Partners LP/GLP Finance Corp.(a)(b) (BB-/B1)

    60,000       8.250     01/15/32   62,839

Hess Midstream Operations LP(a)(b) (BBB-/Ba1)

    30,000       6.500     06/01/29   30,583

Howard Midstream Energy Partners LLC(a)(b) (BB-/B1)

    64,000       7.375     07/15/32   66,244
    52,000       6.625     01/15/34   52,437

Kinetik Holdings LP(a)(b) (BB+/Ba1)

    265,000       5.875     06/15/30   266,272

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Pipelines – (continued)

Prairie Acquiror LP(a)(b) (B-/B3)

$

    30,000       9.000   08/01/29   $    31,175

Rockies Express Pipeline LLC(a)(b) (BB/Ba2)

    26,000       6.750     03/15/33   26,713

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.(a)(b) (B+/B1)

    60,000       7.375     02/15/29   61,541
    135,000       6.000     12/31/30   135,078
    127,000       6.000     09/01/31   125,626

TransMontaigne Partners LLC(a)(b) (CCC+/Caa1)

    49,000       8.500     06/15/30   49,917

Venture Global Calcasieu Pass LLC(a)(b) (BBB-/Ba1)

    92,000       4.125     08/15/31   86,360
    88,000       3.875     11/01/33   78,436

Venture Global LNG, Inc.(a)(b) (BB/B1)

    60,000       6.375     12/15/34   58,959
    32,000       6.625     06/15/36   31,541

Venture Global Plaquemines LNG LLC(a)(b) (BB+/Ba2)

    40,000       6.125     12/15/30   40,916
    40,000       6.500     01/15/34   41,669
    40,000       6.500     06/15/34   41,652
    159,000       6.750     01/15/36   168,538

Western Midstream Operating LP(a)(b) (BBB-/Baa3)

    52,000       7.250     04/01/30   54,566
       

 

        2,530,404

 

Real Estate(a)(b) – 0.1%

Kennedy-Wilson, Inc. (B/B2)

    40,000       7.000     06/01/31   40,935

 

Real Estate Investment Trust(a)(b) – 0.9%

Iron Mountain Information Management Services, Inc. (BB-/Ba3)

    94,000       5.000     07/15/32   90,265

Iron Mountain, Inc. (BB-/Ba3)

    60,000       6.250     01/15/35   60,226

Starwood Property Trust, Inc. (BB-/Ba3)

    15,000       6.125     06/01/31   15,093

Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC (B/B2)

    113,000       4.750     04/15/28   112,671
       

 

        278,255

 

Retailing – 6.5%

1011778 BC ULC/New Red Finance, Inc.(a)(b) (BB-/B2)

    158,000       4.375     01/15/28   156,265
    250,000       4.000     10/15/30   236,107

Asbury Automotive Group, Inc.(a)(b) (BB/B1)

    15,000       4.625     11/15/29   14,577

Cougar JV Subsidiary LLC(a)(b) (B+/B2)

    38,000       8.000     05/15/32   39,851

Group 1 Automotive, Inc.(a)(b) (BB+/Ba2)

    18,000       6.375     01/15/30   18,233

Ken Garff Automotive LLC(a)(b) (BB/B1)

    81,000       4.875     09/15/28   80,320

LCM Investments Holdings II LLC(a)(b) (BB-/B2)

    250,000       4.875     05/01/29   243,665
    38,000       8.250     08/01/31   39,598

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Retailing – (continued)

Lithia Motors, Inc.(a)(b) (BB+/Ba2)

$

    140,000       3.875   06/01/29   $   134,127
    158,000       4.375     01/15/31   149,748

Michaels Cos., Inc.(a)(b) (B-/B2)

    84,000       8.500     03/15/33       83,155

Murphy Oil USA, Inc.(a)(b) (BB+/Ba2)

    158,000       3.750     02/15/31   147,785

Penske Automotive Group, Inc.(a) (BB-/Ba3)

    87,000       3.750     06/15/29   83,262

QXO Building Products, Inc.(a)(b) (BB-/B2)

    76,000       6.500     07/15/31   77,445
    72,000       6.875     07/15/34   73,909

QXO Building Products, Inc.(a)(b) (BB+/Ba2)

    130,000       6.750     04/30/32   134,198

Sonic Automotive, Inc.(a)(b) (BB-/B1)

    141,000       4.625     11/15/29   137,788
    58,000       4.875     11/15/31   55,768

Staples, Inc.(a)(b) (B-/B3)

    44,000       10.750     09/01/29   41,957

Suburban Propane Partners LP/Suburban Energy Finance Corp.(a)(b) (BB-/B1)

    96,000       6.500     12/15/35   92,853
       

 

        2,040,611

 

Semiconductors(a)(b) – 0.4%

Amkor Technology, Inc. (BB/Ba3)

    22,000       5.875     10/01/33   22,077

MKS, Inc. (BB-/Ba2)

EUR

    101,000       4.250     02/15/34   113,931
       

 

        136,008

 

Software – 0.9%

CoreWeave, Inc.(a)(b) (B/B1)

$

    36,000       9.250     06/01/30   36,222
    44,000       9.750     10/01/31   43,885

Fair Isaac Corp.(a)(b) (BB+/Ba1)

    92,000       6.000     05/15/33   90,589
    80,000       6.250     09/15/34   78,776

OAK-Eagle Acquireco, Inc.(a)(b) (B/B3)

    15,000       8.750     07/01/34   15,918

OAK-Eagle Acquireco, Inc.(a)(b) (BB/Ba3)

    20,000       7.250     07/01/33   20,940
       

 

        286,330

 

Telecommunication Services – 4.8%

APLD ComputeCo LLC(a)(b) (BB-/NR)

    150,000       9.250     12/15/30   161,834

Black Pearl Compute LLC(a)(b) (NR/Ba2)

    112,000       6.125     02/15/31   113,658

Cipher Compute LLC(a)(b) (NR/Ba3)

    150,000       7.125     11/15/30   156,086

Core Scientific Finance I LLC(a)(b) (BB/NR)

    76,000       7.750     05/15/31   77,053

EchoStar Corp.(a) (B/B1)

    185,000       10.750     11/30/29   199,970

ELK Grove Village Property LLC(a)(b) (BB-/Ba3)

    40,000       7.500     06/15/31   40,248

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

Level 3 Financing, Inc.(a)(b) (B-/B3)

$

    36,000       8.500   01/15/36   $    38,687
    7,000       7.500     02/15/37   7,189

Level 3 Financing, Inc.(a)(b) (B+/Ba3)

    116,000       7.000     03/31/34   119,594

Meridian Arc Holdco LLC(a)(b) (BB-/Ba2)

    120,000       6.250     04/30/31   120,217

SV RNO Property Owner 1 LLC(a)(b) (BB+/Ba1)

    116,000       5.875     03/01/31   114,362

Uniti Services LLC(a)(b) (B/B2)

    80,000       7.500     10/15/33   84,254

Windstream Services LLC/Windstream Escrow Finance Corp.(a)(b) (NR/B2)

    71,000       8.250     10/01/31   74,875

WULF Compute LLC(a)(b) (BB/Ba2)

    150,000       7.750     10/15/30   157,443

Zayo Group Holdings, Inc.(a)(b)(d) (B-/B3) RESEARCH:

    47,015       9.250     03/09/30   47,047
       

 

        1,512,517

 

Transportation(a)(b) – 1.2%

Beacon Mobility Corp. (B/B1)

    52,000       7.250     08/01/30   53,967

Rand Parent LLC (BB-/Ba1)

    91,000       8.500     02/15/30   94,200

XPO, Inc. (B+/Ba3)

    214,000       7.125     02/01/32   221,700
       

 

  369,867

 

TOTAL CORPORATE OBLIGATIONS

(Cost $27,720,013)

  $27,844,411

 

       
Bank Loans(e) – 8.4%

Aerospace & Defense – 0.6%

 

   

Propulsion BC Finco SARL (B/B2) (3 mo. USD Term SOFR + 2.500%)

$

    179,374       6.232   12/01/32   $   179,767

 

Airlines – 0.4%

OneSky Flight LLC (BB-/Ba3) (1 mo. USD Term SOFR + 2.750%)

    125,000       6.387     02/17/33   125,274

 

Building & Construction – 0.6%

Cube Industrials Buyer, Inc. (B/B3) (3 mo. USD Term SOFR + 3.000%)

    49,377       6.669     10/17/31   49,377

DG Investment Intermediate Holdings 2, Inc. (B-/B2) (1 mo. USD Term SOFR + 3.250%)

    141,264       6.894     07/09/32   141,441
       

 

  190,818

 

Building Materials – 0.5%

 

Icebox Holdco III, Inc. (B-/B2) (3 mo. USD Term SOFR + 3.250%)

    93,495       6.982     12/22/31   93,680

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(e) – (continued)

Building Materials – (continued)

 

Icebox Holdco III, Inc. (CCC/Caa2) (3 mo. USD Term SOFR + 6.500%)

$

    50,000       10.232   12/22/32   $    50,208
       

 

  143,888

 

Capital Goods - Others – 1.0%

Engineered Machinery Holdings, Inc. (B-/B1)

(3 mo. EUR EURIBOR + 3.500%)

EUR

    70,769       5.791     11/26/32   81,366

(3 mo. USD Term SOFR + 3.250%)

$

    69,322       6.982     11/26/32   69,627

Terex Corp. (BBB-/Baa3) (1 mo. USD Term SOFR + 1.750%)

    172,817       5.394     10/08/31   172,871
       

 

  323,864

 

Commercial Services – 0.8%

Ankura Consulting Group LLC (B-/B3) (3 mo. USD Term SOFR + 3.500%)

    79,902       7.166     12/29/31   75,387

Holding Socotec (B/B2)

(3 mo. EUR EURIBOR + 3.000%)

EUR

    75,000       5.291     06/02/31   85,976

(3 mo. USD Term SOFR + 2.750%)

$

    98,010       6.370     06/02/31   98,041
       

 

  259,404

 

Distributors – 0.3%

AL GCX Fund VIII Holdings LLC (BB/Ba3) (1 mo. USD Term SOFR + 2.000%)

    96,932       5.613     01/30/32   96,811

 

Diversified Financial Services – 0.3%

AAL Delaware Holdco, Inc. (B/B2) (1 mo. USD Term SOFR + 2.500%)

    98,503       6.144     07/30/31   98,482

 

Electrical – 0.4%

Kohler Energy Co. LLC (B/B1) (3 mo. USD Term SOFR + 3.000%)

    137,392       6.732     05/01/31   137,479

 

Entertainment – 0.4%

Crown Finance U.S., Inc. (B/B3) (1 mo. USD Term SOFR + 4.500%)

    123,131       8.114     12/02/31   123,285

 

Insurance – 0.1%

Lockton, Inc. (BB/Ba3) (3 mo. USD Term SOFR + 2.000%)

    25,000       5.657     05/09/33   24,906

 

Internet – 0.1%

Plano HoldCo, Inc. (B/B2) (3 mo. USD Term SOFR + 3.500%)

    32,736       7.232     10/02/31   25,534

 

Machinery – 0.8%

Apex Tool Group LLC (B-/B3) (1 mo. USD Term SOFR + 7.000%)

    1,097       10.644     04/08/30   1,097

Apex Tool Group LLC (CC/Caa3) (1 mo. USD Term SOFR + 10.000%)

    18,759       13.644     02/08/29   12,006

Apex Tool Group LLC (CCC-/Ca) (1 mo. USD Term SOFR + 6.000%)

    61,566       9.644     02/08/29   20,933

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

Principal
Amount
    Interest
Rate
    Maturity
Date
  Value
Bank Loans(e) – (continued)

Machinery – (continued)

Apex Tool Group LLC (CCC+/Caa2) (1 mo. USD Term SOFR + 5.250%)

$

    27,343       8.894   04/08/30   $    23,515

Apex Tool Group LLC (NR/Ca) (1 mo. USD Term SOFR + 6.000%)

    3,675       9.644     02/08/29   1,249

TK Elevator Midco GmbH (B/B2) (6 mo. USD Term SOFR + 2.750%)

    200,402       6.377     04/30/30   201,157
       

 

        259,957

 

Media - Non Cable – 0.2%

EW Scripps Co. (B/B2) (1 mo. USD Term SOFR + 5.750%)

    57,461       9.504     06/30/28   57,245

 

Midstream – 0.5%

Prairie ECI Acquiror LP (B-/B3) (1 mo. USD Term SOFR + 3.250%)

    24,565       6.894     08/01/29   24,620

Traverse Midstream Partners LLC (BB-/B2)(f)

    145,000       0.000     04/21/33   144,819
       

 

        169,439

 

Retailers – 0.4%

BCPE Empire Holdings, Inc. (B/B3) (1 mo. USD Term SOFR + 3.250%)

    141,465       6.894     12/11/30   139,432

 

Technology – 0.5%

Pitney Bowes, Inc. (BB/Ba2) (3 mo. USD Term SOFR + 3.750%)

    148,083       7.482     03/19/32   147,818

 

Water Utilities – 0.5%

Deep Blue Operating I LLC (BB-/Ba3) (3 mo. USD Term SOFR + 2.250%)

    149,625       5.902     10/01/32   149,906

 

Wireless Telecommunication Services – 0.0%

Zayo Group Holdings, Inc. (B-/B3) (1 mo. USD Term SOFR + 0.500%)

    172       6.758     03/11/30   172

 

TOTAL BANK LOANS
(Cost $2,707,976)
  $   2,653,481

 

 

Shares      Dividend
Rate
  Value
  Preferred Stocks(g) – 0.1%
 

Software – 0.1%

 

Oracle Corp.

             703      6.500%   $    31,600

 

 

  (Cost $34,634)

 

 

    
Shares      Description   Value
  Common Stocks(g) – 0.0%
 

Machinery(h) – 0.0%

  546      Apex Tool Group LLC Class A   $         0

 

 

Shares      Description   Value
  Common Stocks(g) – (continued)
 

Oil, Gas & Consumable Fuels – 0.0%

          38,064      Prairie Provident Resources, Inc.   $    12,735

 

 

 
TOTAL COMMON STOCKS
(Cost $2,946,391)
  $    12,735

 

 

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

Goldman Sachs Central Government Fund — Institutional Shares

  329,796      3.703%   $   329,796
  (Cost $329,796)

 

 

 
TOTAL INVESTMENTS – 97.9%
(Cost $ 33,738,810)
  $30,872,023

 

 

 
OTHER ASSETS IN EXCESS OF
 LIABILITIES – 2.1 %
  $   661,166

 

 

  NET ASSETS – 100.0%   $31,533,189

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
(a)   Security with “Call” features with resetting interest rates. Maturity dates disclosed are the final maturity dates.
(b)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(c)   Variable rate security. Except for floating rate notes (for which final maturity is disclosed), maturity date disclosed is the next interest reset date. Interest rate disclosed is that which is in effect on June 30, 2026.
(d)   Pay-in-kind securities.
(e)   Bank Loans often require prepayments from excess cash flows or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. As bank loan positions may involve multiple underlying tranches for which the aggregate position is presented, the stated interest rate represents the weighted average interest rate of all contracts on June 30, 2026. Bank Loans typically have rates of interest which are predetermined either daily, monthly, quarterly or semi-annually by reference to a base lending rate, plus a premium. These base lending rates are primarily the Secured Overnight Financing Rate (“SOFR”), and secondarily the prime rate offered by one or more major United States banks (the “Prime Rate”) and the certificate of deposit (“CD”) rate or other base lending rates used by commercial lenders.
(f)   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.
(g)   Security is currently in default and/or non-income producing.
(h)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(i)   Represents an affiliated issuer.

 

 


GOLDMAN SACHS SHORT DURATION HIGH YIELD FUND

 

Schedule of Investments (continued)

June 30, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At June 30, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED GAIN

 

Counterparty      Currency
Purchased
     Currency
Sold
     Settlement
Date
       Unrealized
Gain
 

 

 

MS & Co. Int. PLC

    

USD 285,747

     EUR 245,426        08/19/26        $ 4,733  

 

 

FUTURES CONTRACTS — At June 30, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

               

2 Year U.S. Treasury Notes

       26      09/30/26      $ 5,359,453      $ (5,729

20 Year U.S. Treasury Bonds

        1      09/21/26        113,500        1,881  

 

 

Total

                $ (3,848

 

 

Short position contracts:

               

10 Year U.S. Treasury Notes

       (36)      09/21/26        (3,956,062      (11,711

5 Year U.S. Treasury Notes

         (9)      09/30/26        (963,422      125  

Ultra 10-Year U.S. Treasury Notes

         (9)      09/21/26        (1,012,219      (10,018

Ultra Long U.S. Treasury Bonds

         (1)      09/21/26        (116,156      (2,073

 

 

Total

                $ (23,677

 

 

TOTAL FUTURES CONTRACTS

                $ (27,525

 

 

 

 

Currency Abbreviations:
EUR   — Euro
USD   — U.S. Dollar
Investment Abbreviations:
CMT   — Constant Maturity Treasury Indexes
EURIBOR   — Euro Interbank Offered Rate
LLC   — Limited Liability Company
LP   — Limited Partnership
NR   — Not Rated
SOFR   — Secured Overnight Financing Rate
USD   — U.S. Dollar
Abbreviation:
MS & Co. Int. PLC   — Morgan Stanley & Co. International PLC