GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 46.6%
 

Argentina* – 0.0%

 
  6,430      Vista Energy SAB de CV ADR (Oil, Gas & Consumable Fuels)   $      452,993

 

 

 

Australia – 0.3%

 
  9,150      Anglogold Ashanti PLC (Metals & Mining)   691,949
  28,028      AUB Group Ltd. (Insurance)   546,156
  367,869      Cleanaway Waste Management Ltd. (Commercial Services & Supplies)   604,113
  315,268      FireFly Metals Ltd.* (Metals & Mining)   384,188
  123,887      Genesis Minerals Ltd.* (Metals & Mining)   496,290
  457,383      Judo Capital Holdings Ltd.* (Banks)   310,822
  198,452      PLS Group Ltd.* (Metals & Mining)   576,628
  13,766      Rio Tinto PLC (Metals & Mining)   1,337,637
  161,565      Stockland (Diversified REITs)   483,624
    

 

     5,431,407

 

 

 

Austria – 0.1%

  4,185      BAWAG Group AG(a) (Banks)   848,699
  4,006      Erste Group Bank AG (Banks)   523,677
    

 

     1,372,376

 

 

 

Belgium – 0.1%

  10,512      Anheuser-Busch InBev SA (Beverages)   913,009
  15,553      Syensqo SA (Chemicals)   1,383,551
    

 

     2,296,560

 

 

 

Bermuda – 0.0%

  5,386      Hamilton Insurance Group Ltd. Class B (Insurance)   193,681

 

 

 

Brazil – 0.5%

 
  102,900      B3 SA - Brasil Bolsa Balcao (Capital Markets)   319,307
  84,590      Banco BTG Pactual SA (Capital Markets)   947,834
  68,897      Cia de Saneamento Basico do Estado de Sao Paulo SABESP (Water Utilities)   376,483
  36,800      CPFL Energia SA (Electric Utilities)   334,958
  83,100      Embraer SA (Aerospace & Defense)   1,424,412
  73,800      Hapvida Participacoes e Investimentos SA*(a) (Health Care Providers & Services)   164,222
  325      MercadoLibre, Inc.* (Broadline Retail)   610,334
  14,487      Multiplan Empreendimentos Imobiliarios SA (Real Estate Management & Development)   80,392

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Brazil – (continued)

  8,600      Nexa Resources SA (Metals & Mining)   $      110,510
  124,500      NU Holdings Ltd. Class A* (Banks)   1,784,085
  19,326      Sigma Lithium Corp.* (Metals & Mining)   190,747
  68,900      Telefonica Brasil SA (Diversified Telecommunication Services)   443,508
  43,440      TIM SA (Wireless Telecommunication Services)   166,505
  105,040      Vale SA (Metals & Mining)   1,580,630
    

 

     8,533,927

 

 

 

Canada – 1.2%

  25,800      AGT Food & Ingredients, Inc. (Food Products)   315,817
  115,900      Algonquin Power & Utilities Corp. (Multi-Utilities)   677,947
  4,602      Aritzia, Inc.* (Specialty Retail)   458,542
  6,430      Boyd Group Services, Inc. (Commercial Services & Supplies)   664,673
  37,122      Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)   1,768,383
  42,432      Canadian Pacific Kansas City Ltd. (Ground Transportation)   3,770,774
  3,975      Celestica, Inc.* (Electronic Equipment, Instruments & Components)   1,317,474
  16,275      Descartes Systems Group, Inc.* (Software)   1,222,649
  33,200      Gibson Energy, Inc. (Oil, Gas & Consumable Fuels)   759,987
  11,710      Gildan Activewear, Inc. (Textiles, Apparel & Luxury Goods)   648,212
  4,245      Intact Financial Corp. (Insurance)   833,496
  3,977      Methanex Corp. (Chemicals)   220,922
  62,500      Novagold Resources, Inc.* (Metals & Mining)   363,805
  19,759      OR Royalties, Inc. (Metals & Mining)   587,360
  226,400      Osisko Gold Group, Inc.* (Metals & Mining)   544,258
  13,637      Shopify, Inc. Class A* (IT Services)   1,597,575
  83,600      Solaris Resources, Inc.* (Metals & Mining)   628,558
  5,115      South Bow Corp. (Oil, Gas & Consumable Fuels)   189,766
  5,260      Stantec, Inc. (Construction & Engineering)   371,204
  67,900      Tamarack Valley Energy Ltd. (Oil, Gas & Consumable Fuels)   649,527
  26,837      TC Energy Corp. (Oil, Gas & Consumable Fuels)   1,807,192
  12,630      Toronto-Dominion Bank (Banks)   1,513,960

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Canada – (continued)

 
  66,685      Whitecap Resources, Inc. (Oil, Gas & Consumable Fuels)   $      786,796
    

 

     21,698,877

 

 

 

Chile – 0.0%

  29,600      Falabella SA (Broadline Retail)   197,896
  43,200      Plaza SA (Real Estate Management & Development)   175,165
    

 

     373,061

 

 

 

China – 2.9%

  4,500      Accelink Technologies Co. Ltd. Class A* (Electronic Equipment, Instruments & Components)   107,524
  5,336      Advanced Micro-Fabrication Equipment, Inc. China Class A (Semiconductors & Semiconductor Equipment)   271,296
  395,300      Agricultural Bank of China Ltd. Class H (Banks)   317,813
  13,929      Airtac International Group (Machinery)   564,133
  144,050      Alibaba Group Holding Ltd. (Broadline Retail)   2,194,370
  10,339      Atour Lifestyle Holdings Ltd. ADR (Hotels, Restaurants & Leisure)   354,938
  8,800      Avary Holding Shenzhen Co. Ltd. Class A (Electronic Equipment, Instruments & Components)   106,152
  27,843      Baidu, Inc. Class A* (Interactive Media & Services)   385,698
  2,311,250      Bank of China Ltd. Class H (Banks)   1,621,353
  486,300      Bank of Communications Co. Ltd. Class H (Banks)   468,538
  138,200      Baoshan Iron & Steel Co. Ltd. Class A (Metals & Mining)   125,436
  402,250      China CITIC Bank Corp. Ltd. Class H (Banks)   396,630
  1,882,800      China Construction Bank Corp. Class H (Banks)   2,209,326
  50,295      China International Capital Corp. Ltd. Class H(a) (Capital Markets)   138,711
  50,984      China Life Insurance Co. Ltd. Class H (Insurance)   189,810
  65,688      China Mengniu Dairy Co. Ltd. (Food Products)   158,491
  342,150      China Minsheng Banking Corp. Ltd. Class H (Banks)   158,313
  65,300      China Nonferrous Mining Corp. Ltd. (Metals & Mining)   123,226
  55,840      China Pacific Insurance Group Co. Ltd. Class H (Insurance)   217,948
  700,600      China Resources Pharmaceutical Group Ltd.(a) (Pharmaceuticals)   433,555

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

China – (continued)

 
  214,644      CITIC Securities Co. Ltd. Class H (Capital Markets)   $      749,297
  189,964      CMOC Group Ltd. Class H (Metals & Mining)   409,415
  34,500      Contemporary Amperex Technology Co. Ltd. Class A (Electrical Equipment)   2,021,085
  24,750      Contemporary Amperex Technology Co. Ltd. Class H (Electrical Equipment)   1,959,328
  163,600      COSCO SHIPPING Holdings Co. Ltd. Class A (Marine Transportation)   378,238
  1,300      Eoptolink Technology, Inc. Ltd. Class A (Electronic Equipment, Instruments & Components)   76,161
  16,600      Foxconn Industrial Internet Co. Ltd. Class A (Electronic Equipment, Instruments & Components)   139,262
  19,000      Ganfeng Lithium Group Co. Ltd. Class H(a) (Chemicals)   89,256
  352,200      Geely Automobile Holdings Ltd. (Automobiles)   889,213
  35,400      GF Securities Co. Ltd. Class H (Capital Markets)   77,195
  85,400      Giant Network Group Co. Ltd. Class A (Entertainment)   370,947
  2,400      GigaDevice Semiconductor, Inc. Class A (Semiconductors & Semiconductor Equipment)   134,014
  276,200      Great Wall Motor Co. Ltd. Class H (Automobiles)   319,787
  54,500      Gree Electric Appliances, Inc. of Zhuhai Class A (Household Durables)   341,378
  396,620      Guotai Haitong Securities Co. Ltd. Class H(a) (Capital Markets)   755,709
  19,783      H World Group Ltd. ADR (Hotels, Restaurants & Leisure)   844,536
  364,738      Haier Smart Home Co. Ltd. Class H (Household Durables)   1,051,479
  56,300      Hangzhou First Applied Material Co. Ltd. Class A (Semiconductors & Semiconductor Equipment)   122,191
  27,900      Han’s Laser Technology Industry Group Co.Ltd.Class A (Machinery)   349,397
  65,000      Hansoh Pharmaceutical Group Co. Ltd.(a) (Pharmaceuticals)   266,142
  21,000      Harbin Electric Co. Ltd. Class H (Electrical Equipment)   42,216
  635,919      Industrial & Commercial Bank of China Ltd. Class H (Banks)   608,312
  50,500      Innovent Biologics, Inc.*(a) (Biotechnology)   557,631

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

China – (continued)

 
  67,640      JD Health International, Inc.*(a) (Consumer Staples Distribution & Retail)   $      340,379
  147,000      JD Logistics, Inc.*(a) (Air Freight & Logistics)   281,879
  79,450      JD.com, Inc. Class A (Broadline Retail)   1,306,950
  44,100      Jiangsu Hengli Hydraulic Co. Ltd. Class A (Machinery)   708,556
  35,400      Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class H (Pharmaceuticals)   258,023
  18,900      Jiangsu Zhongtian Technology Co. Ltd. Class A (Electrical Equipment)   79,513
  56,300      Jiangxi Copper Co. Ltd. Class H (Metals & Mining)   253,317
  5,227      JOYY, Inc. ADR (Interactive Media & Services)   384,550
  106,000      Kunlun Energy Co. Ltd. (Gas Utilities)   98,031
  13,219      Leader Harmonious Drive Systems Co. Ltd. Class A (Machinery)   594,786
  242,445      Lenovo Group Ltd. (Technology Hardware, Storage & Peripherals)   741,444
  2,708      Montage Technology Co. Ltd. Class A (Semiconductors & Semiconductor Equipment)   82,024
  71,700      NetEase, Inc. (Entertainment)   1,907,665
  23,100      New China Life Insurance Co. Ltd. Class H (Insurance)   142,442
  79,600      New Oriental Education & Technology Group, Inc. (Diversified Consumer Services)   466,799
  11,300      Ningbo Deye Technology Corp. Class A (Electrical Equipment)   136,977
  2,056      PDD Holdings, Inc. ADR* (Broadline Retail)   182,079
  328,610      People’s Insurance Co. Group of China Ltd. Class H (Insurance)   228,448
  171,100      Ping An Bank Co. Ltd. Class A (Banks)   294,645
  12,467      Piotech, Inc. Class A (Semiconductors & Semiconductor Equipment)   1,225,484
  7,655      Qfin Holdings, Inc. ADR (Consumer Finance)   106,251
  6,785      Raytron Technology Co. Ltd. Class A (Electronic Equipment, Instruments & Components)   141,886
  9,200      Remegen Co. Ltd. Class H*(a) (Biotechnology)   95,871
  177,600      SAIC Motor Corp. Ltd. Class A* (Automobiles)   297,681
  87,200      Sany Heavy Equipment International Holdings Co. Ltd. (Machinery)   82,598

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

China – (continued)

 
  99,100      Sany Heavy Industry Co. Ltd. Class A (Machinery)   $      301,579
  494,442      Shandong Weigao Group Medical Polymer Co. Ltd. Class H (Health Care Equipment & Supplies)   211,661
  7,578      Shanghai Allist Pharmaceuticals Co. Ltd. Class A (Pharmaceuticals)   124,825
  146,600      Shanghai Pharmaceuticals Holding Co. Ltd. Class A (Health Care Providers & Services)   366,126
  4,100      Shengyi Technology Co. Ltd. Class A (Electronic Equipment, Instruments & Components)   64,063
  657,900      Sino Biopharmaceutical Ltd. (Pharmaceuticals)   422,099
  166,100      Sinolink Securities Co. Ltd. Class A (Capital Markets)   214,944
  31,900      Sinomine Resource Group Co. Ltd. Class A (Metals & Mining)   222,045
  232,514      Sinopharm Group Co. Ltd. Class H (Health Care Providers & Services)   515,622
  64,248      Sinotruk Hong Kong Ltd. (Machinery)   332,999
  19,009      TAL Education Group ADR* (Diversified Consumer Services)   237,613
  388,700      TCL Technology Group Corp. Class A (Electronic Equipment, Instruments & Components)   271,977
  148,480      Tencent Holdings Ltd. (Interactive Media & Services)   9,072,571
  31,700      Tianshan Aluminum Group Co. Ltd. Class A (Metals & Mining)   62,041
  6,989      Trip.com Group Ltd.* (Hotels, Restaurants & Leisure)   327,438
  10,200      Universal Scientific Industrial Shanghai Co. Ltd. Class A (Electronic Equipment, Instruments & Components)   33,082
  15,713      Vipshop Holdings Ltd. ADR (Broadline Retail)   241,037
  57,389      Weibo Corp. ADR (Interactive Media & Services)   467,720
  386,251      Weichai Power Co. Ltd. Class H (Machinery)   1,614,993
  36,900      Wingtech Technology Co. Ltd. Class A* (Electronic Equipment, Instruments & Components)   90,659
  621,700      Wintime Energy Group Co. Ltd. Class A* (Independent Power and Renewable Electricity Producers)   145,267
  9,200      Wuliangye Yibin Co. Ltd. Class A (Beverages)   106,201
  57,600      WuXi AppTec Co. Ltd. Class H(a) (Life Sciences Tools & Services)   1,181,217

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

China – (continued)

 
  4,700      WuXi AppTec Co. Ltd. Class A (Life Sciences Tools & Services)   $       89,322
  12,034      Wuxi Biologics Cayman, Inc.*(a) (Life Sciences Tools & Services)   59,394
  22,000      Yangtze Optical Fibre & Cable Joint Stock Ltd. Co. Class H(a) (Communications Equipment)   266,852
  15,598      Yum China Holdings, Inc. (Hotels, Restaurants & Leisure)   739,103
  20,900      Yunnan Aluminium Co. Ltd. Class A (Metals & Mining)   82,553
  700      Zhongji Innolight Co. Ltd. Class A (Communications Equipment)   93,148
    

 

     51,491,879

 

 

 

Colombia – 0.1%

  34,200      Aris Mining Corp.* (Metals & Mining)   456,943
  4,094      Grupo Cibest SA ADR (Banks)   378,777
    

 

     835,720

 

 

 

Denmark – 0.4%

  11,216      ALK-Abello AS (Pharmaceuticals)   383,614
  1,191      Ascendis Pharma AS* (Biotechnology)   290,497
  12,527      Carlsberg AS Class B (Beverages)   1,844,659
  5,458      NKT AS* (Electrical Equipment)   744,948
  61,414      Novo Nordisk AS Class B (Pharmaceuticals)   2,904,979
  5,775      Royal Unibrew AS (Beverages)   433,218
  3,652      Zealand Pharma AS* (Biotechnology)   171,678
    

 

     6,773,593

 

 

 

Egypt – 0.0%

  252,147      Commercial International Bank - Egypt (CIB) GDR (Banks)   682,058

 

 

 

Finland – 0.1%

  10,603      Hiab OYJ (Machinery)   720,551
  30,561      Kone OYJ Class B (Machinery)   1,763,277
    

 

     2,483,828

 

 

 

France – 2.9%

  2,198      Abivax SA ADR* (Biotechnology)   274,574
  14,716      Air Liquide SA (Chemicals)   2,899,177
  191,734      Alstom SA* (Machinery)   3,552,049
  46,715      BNP Paribas SA (Banks)   5,936,010
  14,823      Capgemini SE (IT Services)   1,761,872
  57,205      Cie de Saint-Gobain SA (Building Products)   5,376,531
  25,329      Cie Generale des Etablissements Michelin SCA (Automobile Components)   1,023,810
  29,903      Edenred SE (Financial Services)   984,549

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

France – (continued)

 
  24,239      Elis SA (Commercial Services & Supplies)   $      695,269
  76,326      Engie SA (Multi-Utilities)   2,379,166
  1,149      Gaztransport Et Technigaz SA (Oil, Gas & Consumable Fuels)   259,697
  19,510      Kering SA (Textiles, Apparel & Luxury Goods)   6,439,731
  8,941      Legrand SA (Electrical Equipment)   1,359,293
  7,605      LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)   4,176,171
  14,641      Pernod Ricard SA (Beverages)   1,141,021
  16,723      Rexel SA (Trading Companies & Distributors)   693,933
  8,117      Safran SA (Aerospace & Defense)   3,189,829
  49,645      Societe Generale SA (Banks)   4,666,463
  8,219      Technip Energies NV (Energy Equipment & Services)   284,268
  40,744      TotalEnergies SE (Oil, Gas & Consumable Fuels)   3,592,010
  19,094      Worldline SA*(a) (Financial Services)   271,557
    

 

     50,956,980

 

 

 

Germany – 2.2%

  3,579      adidas AG (Textiles, Apparel & Luxury Goods)   662,197
  11,495      Beiersdorf AG (Personal Products)   1,067,783
  18,824      Daimler Truck Holding AG (Machinery)   1,064,698
  60,306      Deutsche Bank AG (Capital Markets)   2,219,621
  11,449      Deutsche Boerse AG (Capital Markets)   3,448,635
  147,790      Deutsche Lufthansa AG (Passenger Airlines)   1,550,765
  103,885      Deutsche Telekom AG (Diversified Telecommunication Services)   3,205,992
  23,234      flatexDEGIRO SE (Capital Markets)   978,270
  6,983      Fresenius SE & Co. KGaA (Health Care Providers & Services)   358,907
  23,776      Infineon Technologies AG (Semiconductors & Semiconductor Equipment)   1,706,250
  11,225      KION Group AG (Machinery)   507,959
  28,155      Lanxess AG (Chemicals)   537,804
  10,898      Merck KGaA (Pharmaceuticals)   1,801,093
  1,858      MTU Aero Engines AG (Aerospace & Defense)   779,019
  34,119      SAP SE (Software)   6,253,846
  8,523      Scout24 SE(a) (Interactive Media & Services)   730,707
  11,878      Siemens AG (Industrial Conglomerates)   3,891,784

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Germany – (continued)

 
  40,423      Siemens Energy AG (Electrical Equipment)   $    6,905,985
  35,584      TAG Immobilien AG (Real Estate Management & Development)   568,610
  69,600      thyssenkrupp AG (Metals & Mining)   976,688
    

 

     39,216,613

 

 

 

Greece – 0.1%

  155,545      Eurobank SA Class A (Banks)   803,786
  17,800      Jumbo SA (Specialty Retail)   497,396
  27,872      National Bank of Greece SA (Banks)   521,514
  43,782      Piraeus Bank SA* (Banks)   510,676
    

 

     2,333,372

 

 

 

Guatemala – 0.1%

  8,670      Millicom International Cellular SA (Wireless Telecommunication Services)   827,812

 

 

 

Hong Kong – 0.3%

  248,700      AIA Group Ltd. (Insurance)   2,507,117
  6,900      Hong Kong Exchanges & Clearing Ltd. (Capital Markets)   359,509
  183,391      Prudential PLC (Insurance)   2,756,101
    

 

     5,622,727

 

 

 

Hungary – 0.1%

  6,698      OTP Bank Nyrt (Banks)   992,254

 

 

 

India – 1.2%

  8,059      Aurobindo Pharma Ltd. (Pharmaceuticals)   133,403
  49,292      Bajaj Finance Ltd. (Consumer Finance)   589,252
  156,700      Bank of Baroda (Banks)   398,294
  294,495      Bank of India (Banks)   425,484
  215,179      Bank of Maharashtra (Banks)   178,758
  96,227      Bharat Electronics Ltd. (Aerospace & Defense)   391,107
  31,899      Bharat Forge Ltd. (Automobile Components)   734,844
  48,353      Bharat Heavy Electricals Ltd. (Electrical Equipment)   206,134
  10,054      BSE Ltd. (Capital Markets)   384,021
  510,547      Canara Bank (Banks)   668,308
  121,970      Coal India Ltd. (Oil, Gas & Consumable Fuels)   529,528
  4,448      Cummins India Ltd. (Machinery)   257,252
  73,900      Delhivery Ltd.* (Air Freight & Logistics)   373,076
  6,750      Eicher Motors Ltd. (Automobiles)   553,818
  9,100      GE Vernova T&D India Ltd. (Electrical Equipment)   412,052

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

India – (continued)

 
  136,400      HCL Technologies Ltd. (IT Services)   $    1,928,767
  101,058      HDFC Bank Ltd. (Banks)   791,467
  1,995      Hitachi Energy India Ltd. (Electrical Equipment)   672,371
  54,829      ICICI Bank Ltd. ADR (Banks)   1,644,322
  62,666      ICICI Bank Ltd. (Banks)   941,817
  39,050      Indian Bank (Banks)   342,096
  611,450      Indian Oil Corp. Ltd. (Oil, Gas & Consumable Fuels)   896,331
  110,150      ITC Ltd. (Tobacco)   324,277
  206,792      L&T Finance Ltd. (Consumer Finance)   674,361
  11,467      Larsen & Toubro Ltd. (Construction & Engineering)   472,967
  11,010      Lupin Ltd. (Pharmaceuticals)   278,668
  9,220      Mahindra & Mahindra Ltd. (Automobiles)   328,302
  50,900      National Aluminium Co. Ltd. (Metals & Mining)   187,264
  25,066      Nestle India Ltd. (Food Products)   396,408
  243,200      Oil & Natural Gas Corp. Ltd. (Oil, Gas & Consumable Fuels)   619,585
  457,500      Punjab National Bank (Banks)   540,131
  11,182      Radico Khaitan Ltd. (Beverages)   508,566
  17,374      Siemens Energy India Ltd. (Electrical Equipment)   588,189
  155,618      Steel Authority of India Ltd. (Metals & Mining)   275,876
  18,860      Sterlite Technologies Ltd.* (Communications Equipment)   110,155
  61,908      Tata Consultancy Services Ltd. (IT Services)   1,535,910
  88,665      Tata Motors Ltd./new (Machinery)   405,591
  21,015      TVS Motor Co. Ltd. (Automobiles)   949,440
  75,150      Vedanta Ltd. (Metals & Mining)   208,633
    

 

     21,856,825

 

 

 

Indonesia – 0.1%

  651,400      Astra International Tbk. PT (Industrial Conglomerates)   184,625
  2,295,500      Bank Mandiri Persero Tbk. PT (Banks)   534,093
  398,700      Indofood Sukses Makmur Tbk. PT (Food Products)   154,548
    

 

     873,266

 

 

 

Ireland – 0.2%

  214,641      AIB Group PLC (Banks)   2,552,858
  44,045      Bank of Ireland Group PLC (Banks)   924,940
    

 

     3,477,798

 

 

 

Israel – 0.3%

  43,849      Cellebrite DI Ltd.* (Software)   646,773

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Israel – (continued)

 
  12,319      Check Point Software Technologies Ltd.* (Software)   $    1,566,114
  1,092      Nova Ltd.* (Semiconductors & Semiconductor Equipment)   426,830
  9,782      OPC Energy Ltd.* (Independent Power and Renewable Electricity Producers)   306,913
  11,590      Phoenix Financial Ltd. (Insurance)   649,845
  57,756      Teva Pharmaceutical Industries Ltd. ADR* (Pharmaceuticals)   2,022,038
  2,258      Tower Semiconductor Ltd.* (Semiconductors & Semiconductor Equipment)   496,015
    

 

     6,114,528

 

 

 

Italy – 0.9%

  38,703      Banca Mediolanum SpA (Financial Services)   1,037,045
  57,731      Banca Monte dei Paschi di Siena SpA (Banks)   773,213
  8,377      De’ Longhi SpA (Household Durables)   393,211
  51,105      Enav SpA(a) (Transportation Infrastructure)   298,455
  98,822      Enel SpA (Electric Utilities)   1,116,036
  75,354      Eni SpA (Oil, Gas & Consumable Fuels)   2,096,098
  155,171      Hera SpA (Multi-Utilities)   677,352
  430,682      Intesa Sanpaolo SpA (Banks)   3,255,657
  36,345      Ryanair Holdings PLC ADR (Passenger Airlines)   2,126,546
  31,517      UniCredit SpA (Banks)   2,972,426
  33,012      Wizz Air Holdings PLC*(a) (Passenger Airlines)   477,367
    

 

     15,223,406

 

 

 

Japan – 3.8%

  15,400      Advantest Corp. (Semiconductors & Semiconductor Equipment)   3,042,762
  14,418      Allegro MicroSystems, Inc.* (Semiconductors & Semiconductor Equipment)   598,347
  14,800      Amano Corp. (Electronic Equipment, Instruments & Components)   358,513
  24,200      Anritsu Corp. (Electronic Equipment, Instruments & Components)   528,896
  18,300      Asahi Intecc Co. Ltd. (Health Care Equipment & Supplies)   412,869
  40,600      Azbil Corp. (Electronic Equipment, Instruments & Components)   420,414
  18,600      BayCurrent, Inc. (Professional Services)   838,936

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

 
  27,400      Canon Marketing Japan, Inc. (Electronic Equipment, Instruments & Components)   $      615,702
  11,000      Daikin Industries Ltd. (Building Products)   1,593,402
  97,600      Denso Corp. (Automobile Components)   1,198,421
  26,900      Food & Life Cos. Ltd. (Hotels, Restaurants & Leisure)   939,172
  53,100      FUJIFILM Holdings Corp. (Technology Hardware, Storage & Peripherals)   1,249,954
  22,600      Fuso Chemical Co. Ltd. (Chemicals)   517,327
  110,600      Hitachi Ltd. (Industrial Conglomerates)   3,624,421
  10,300      Hoya Corp. (Health Care Equipment & Supplies)   1,575,044
  1,440      Invincible Investment Corp. (Hotel & Resort REITs)   551,845
  9,400      Japan Steel Works Ltd. (Machinery)   435,528
  9,900      JINS Holdings, Inc. (Specialty Retail)   395,119
  70,000      JVCKenwood Corp. (Household Durables)   492,015
  19,900      Kamigumi Co. Ltd. (Transportation Infrastructure)   646,239
  21,600      Kandenko Co. Ltd. (Construction & Engineering)   718,460
  123,400      KDDI Corp. (Wireless Telecommunication Services)   2,273,487
  578      KDX Realty Investment Corp. (Diversified REITs)   564,910
  10,400      Kose Holdings Corp. (Personal Products)   370,142
  33,000      Kotobuki Spirits Co. Ltd. (Food Products)   526,131
  34,400      Lifedrink Co., Inc. (Beverages)   312,594
  409,800      LY Corp. (Interactive Media & Services)   1,141,802
  107,900      Mebuki Financial Group, Inc. (Banks)   999,800
  32,000      Menicon Co. Ltd. (Health Care Equipment & Supplies)   347,815
  84,500      Mitsubishi Electric Corp. (Electrical Equipment)   3,043,951
  44,639      Mitsubishi Heavy Industries Ltd. (Machinery)   1,042,871
  18,900      Monogatari Corp. (Hotels, Restaurants & Leisure)   649,280
  21,600      Nabtesco Corp. (Machinery)   620,847
  23,600      Nifco, Inc. (Automobile Components)   763,986
  38,100      Nisshinbo Holdings, Inc. (Industrial Conglomerates)   511,890

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Japan – (continued)

 
  7,300      Organo Corp. (Machinery)   $      656,790
  163,800      Renesas Electronics Corp. (Semiconductors & Semiconductor Equipment)   3,283,167
  2,600      SCREEN Holdings Co. Ltd. (Semiconductors & Semiconductor Equipment)   198,340
  161,300      Seven & i Holdings Co. Ltd. (Consumer Staples Distribution & Retail)   2,138,857
  49,200      Shin-Etsu Chemical Co. Ltd. (Chemicals)   1,753,985
  7,900      SMC Corp. (Machinery)   3,413,276
  24,500      Sojitz Corp. (Trading Companies & Distributors)   818,557
  115,000      Sompo Holdings, Inc. (Insurance)   5,105,609
  83,200      Sony Group Corp. (Household Durables)   1,944,289
  93,000      Sumitomo Mitsui Financial Group, Inc. (Banks)   3,996,108
  126,700      Suzuki Motor Corp. (Automobiles)   1,653,884
  8,700      SWCC Corp. (Electrical Equipment)   599,710
  8,600      Taiyo Yuden Co. Ltd. (Electronic Equipment, Instruments & Components)   531,834
  87,100      Terumo Corp. (Health Care Equipment & Supplies)   1,277,748
  74,200      Tohoku Electric Power Co., Inc. (Electric Utilities)   545,241
  9,900      Tokyo Ohka Kogyo Co. Ltd. (Chemicals)   536,163
  30,800      Tokyo Tatemono Co. Ltd. (Real Estate Management & Development)   649,919
  26,600      Toyo Seikan Group Holdings Ltd. (Containers & Packaging)   675,879
  11,300      Toyo Suisan Kaisha Ltd. (Food Products)   733,204
  29,700      TV Asahi Holdings Corp. (Media)   582,216
  7,100      Ulvac, Inc. (Semiconductors & Semiconductor Equipment)   374,466
  75,900      Yokohama Financial Group, Inc. (Banks)   863,954
  126,100      ZOZO, Inc. (Specialty Retail)   905,894
    

 

     67,161,982

 

 

 

Macau – 0.0%

  428,800      MGM China Holdings Ltd. (Hotels, Restaurants & Leisure)   620,660

 

 

 

Malaysia – 0.1%

  372,300      AMMB Holdings Bhd. (Banks)   616,613
  417,300      Press Metal Aluminium Holdings Bhd. (Metals & Mining)   810,079

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Malaysia – (continued)

 
  310,493      RHB Bank Bhd. (Banks)   $      649,418
    

 

     2,076,110

 

 

 

Mexico – 0.3%

  1,135,531      America Movil SAB de CV (Wireless Telecommunication Services)   1,446,992
  16,000      America Movil SAB de CV ADR (Wireless Telecommunication Services)   405,600
  8,037      Fomento Economico Mexicano SAB de CV ADR (Beverages)   1,028,656
  5,550      Gruma SAB de CV Class B (Food Products)   82,749
  23,500      Grupo Financiero Banorte SAB de CV Class O (Banks)   272,157
  32,120      Grupo Mexico SAB de CV (Metals & Mining)   385,229
  8,360      Industrias Penoles SAB de CV (Metals & Mining)   384,851
  6,310      Promotora y Operadora de Infraestructura SAB de CV (Transportation Infrastructure)   99,640
  4,880      Southern Copper Corp. (Metals & Mining)   891,625
    

 

     4,997,499

 

 

 

Netherlands – 1.0%

  537      Adyen NV*(a) (Financial Services)   546,245
  553      Argenx SE ADR* (Biotechnology)   472,163
  2,467      ASML Holding NV (Semiconductors & Semiconductor Equipment)   4,018,743
  7,587      ASR Nederland NV (Insurance)   620,289
  36,540      CTP NV(a) (Real Estate Management & Development)   660,262
  27,274      Heineken NV (Beverages)   2,469,396
  137,445      ING Groep NV (Banks)   4,830,030
  105,271      Koninklijke Philips NV (Health Care Equipment & Supplies)   2,773,663
  20,644      SBM Offshore NV (Energy Equipment & Services)   770,969
    

 

     17,161,760

 

 

 

Peru – 0.0%

  1,669      Credicorp Ltd. (Banks)   668,568

 

 

 

Philippines – 0.0%

  46,440      International Container Terminal Services, Inc. (Transportation Infrastructure)   729,272

 

 

 

Poland – 0.1%

  3,000      Bank Polska Kasa Opieki SA (Banks)   197,744

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Poland – (continued)

 
  5,010      KGHM Polska Miedz SA (Metals & Mining)   $      415,301
  32,343      ORLEN SA (Oil, Gas & Consumable Fuels)   1,283,412
  25,039      Pepco Group NV (Broadline Retail)   308,437
  59,476      PGE Polska Grupa Energetyczna SA* (Electric Utilities)   160,745
    

 

     2,365,639

 

 

 

Portugal – 0.1%

  645,400      Banco Comercial Portugues SA Class R (Banks)   795,200
  21,324      Galp Energia SGPS SA (Oil, Gas & Consumable Fuels)   484,281
    

 

     1,279,481

 

 

 

Puerto Rico – 0.0%

  4,897      EVERTEC, Inc. (Financial Services)   149,065

 

 

 

Qatar – 0.0%

 
  299,700      Barwa Real Estate Co. (Real Estate Management & Development)   191,706
  58,486      Ooredoo QPSC (Diversified Telecommunication Services)   200,863
    

 

     392,569

 

 

 

Romania – 0.0%

  25,800      NEPI Rockcastle NV (Real Estate Management & Development)   237,486

 

 

 

Russia*(b) – 0.0%

 
  61,284      Gazprom PJSC (Oil, Gas & Consumable Fuels)   0
  5,200      LUKOIL PJSC ADR (Oil, Gas & Consumable Fuels)   0
  2,390      Magnit PJSC (Consumer Staples Distribution & Retail)   0
  3,393      Novolipetsk Steel PJSC GDR (Metals & Mining)   0
  5,614      PhosAgro PJSC GDR (Chemicals)   0
  36      PhosAgro PJSC (Chemicals)   0
  19,000      Surgutneftegas PJSC ADR (Oil, Gas & Consumable Fuels)   0
  23,847      VTB Bank PJSC GDR (Banks)   0
    

 

     0

 

 

 

Singapore – 0.6%

  36,450      DBS Group Holdings Ltd. (Banks)   2,103,045
  351,800      Keppel DC REIT (Specialized REITs)   611,761
  64,407      Sea Ltd. ADR* (Broadline Retail)   6,874,803
  35,400      United Overseas Bank Ltd. (Banks)   1,197,195
    

 

     10,786,804

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

South Africa – 0.3%

 
  2,376      Capitec Bank Holdings Ltd. (Banks)   $       678,431
  14,645      Discovery Ltd. (Insurance)   232,388
  93,490      FirstRand Ltd. (Financial Services)   559,124
  11,004      Gold Fields Ltd. (Metals & Mining)   355,351
  113,877      MTN Group Ltd. (Wireless Telecommunication Services)   1,411,741
  27,703      Remgro Ltd. (Financial Services)   325,955
  5,521      Sasol Ltd.* (Chemicals)   65,426
  57,603      Standard Bank Group Ltd. (Banks)   1,146,992
    

 

     4,775,408

 

 

 

South Korea – 2.8%

  2,848      APR Corp. (Personal Products)   632,070
  1,900      DB Insurance Co. Ltd. (Insurance)   205,750
  7,310      Doosan Bobcat, Inc. (Machinery)   300,928
  5,753      Hana Financial Group, Inc. (Banks)   497,284
  455      Hanmi Pharm Co. Ltd. (Pharmaceuticals)   104,888
  2,450      HD Hyundai Co. Ltd. (Oil, Gas & Consumable Fuels)   336,421
  1,496      HD Hyundai Electric Co. Ltd. (Electrical Equipment)   691,794
  2,163      HD Hyundai Heavy Industries Co. Ltd. (Machinery)   724,206
  1,694      HD Korea Shipbuilding & Offshore Engineering Co. Ltd. (Machinery)   449,858
  197      Hyosung Heavy Industries Corp. (Electrical Equipment)   320,169
  561      Hyundai Glovis Co. Ltd. (Air Freight & Logistics)   76,939
  1,296      Hyundai Motor Co. (Automobiles)   343,384
  7,200      Industrial Bank of Korea (Banks)   103,226
  10,639      KB Financial Group, Inc. (Banks)   1,245,154
  10,821      Kia Corp. (Automobiles)   975,624
  19,846      KT Corp. ADR (Diversified Telecommunication Services)   359,014
  5,885      KT&G Corp. (Tobacco)   732,320
  5,375      LG Electronics, Inc. (Household Durables)   595,774
  1,661      NC Corp. (Entertainment)   270,057
  920      POSCO Holdings, Inc. (Metals & Mining)   198,649
  2,150      Samsung E&A Co. Ltd. (Construction & Engineering)   63,644
  172      Samsung Electro-Mechanics Co. Ltd. (Electronic Equipment, Instruments & Components)   131,433
  107,091      Samsung Electronics Co. Ltd. (Technology Hardware, Storage & Peripherals)   18,639,701
  280      Samsung Electronics Co. Ltd. GDR (Technology Hardware, Storage & Peripherals)   1,198,722
  4,459      Samsung Life Insurance Co. Ltd. (Insurance)   934,697

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

South Korea – (continued)

 
  7,106      Samsung Securities Co. Ltd. (Capital Markets)   $      481,650
  26,007      Shinhan Financial Group Co. Ltd. (Banks)   1,805,404
  12,579      SK Hynix, Inc. (Semiconductors & Semiconductor Equipment)   14,285,404
  1      SK Innovation Co. Ltd.* (Oil, Gas & Consumable Fuels)   77
  3,165      SK Square Co. Ltd. (Industrial Conglomerates)   2,176,295
  1,450      SK, Inc. (Industrial Conglomerates)   541,714
  25,605      Woori Financial Group, Inc. (Banks)   592,739
    

 

     50,014,989

 

 

 

Spain – 0.3%

  30,124      Amadeus IT Group SA (Hotels, Restaurants & Leisure)   1,859,162
  85,525      Banco Bilbao Vizcaya Argentaria SA (Banks)   2,397,427
  45,233      Merlin Properties Socimi SA (Diversified REITs)   786,155
    

 

     5,042,744

 

 

 

Sweden – 0.3%

  527,042      Electrolux AB Class B* (Household Durables)   1,543,088
  66,013      Embracer Group AB* (Entertainment)   468,053
  231,394      Hexagon AB Class B (Electronic Equipment, Instruments & Components)   2,283,990
  29,482      Securitas AB Class B (Commercial Services & Supplies)   473,609
  12,668      Trelleborg AB Class B (Machinery)   563,144
    

 

     5,331,884

 

 

 

Switzerland – 0.8%

  14,264      Cie Financiere Richemont SA Class A (Textiles, Apparel & Luxury Goods)   3,371,179
  1,113      Comet Holding AG (Electronic Equipment, Instruments & Components)   451,590
  13,530      Nestle SA (Food Products)   1,352,337
  6,837      Sika AG (Chemicals)   1,538,261
  3,621      Sonova Holding AG (Health Care Equipment & Supplies)   986,555
  96,192      UBS Group AG (Capital Markets)   5,084,481
  2,332      Zurich Insurance Group AG (Insurance)   1,776,350
    

 

     14,560,753

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Taiwan – 3.8%

 
  52,020      Accton Technology Corp. (Communications Equipment)   $    3,371,777
  7,720      AP Memory Technology Corp. (Semiconductors & Semiconductor Equipment)   154,922
  73,700      ASE Technology Holding Co. Ltd. (Semiconductors & Semiconductor Equipment)   1,257,653
  3,737      Asia Vital Components Co. Ltd. (Technology Hardware, Storage & Peripherals)   262,815
  7,017      ASPEED Technology, Inc. (Semiconductors & Semiconductor Equipment)   3,064,643
  410,684      Cathay Financial Holding Co. Ltd. (Insurance)   1,278,164
  1,088,000      Chang Hwa Commercial Bank Ltd.* (Banks)   845,851
  16,790      Chroma ATE, Inc. (Electronic Equipment, Instruments & Components)   1,054,849
  129,776      Compal Electronics, Inc. (Technology Hardware, Storage & Peripherals)   142,718
  101,790      Delta Electronics, Inc. (Electronic Equipment, Instruments & Components)   5,007,825
  9,250      Elite Material Co. Ltd. (Electronic Equipment, Instruments & Components)   1,327,861
  10,883      Elite Semiconductor Microelectronics Technology, Inc. (Semiconductors & Semiconductor Equipment)   59,002
  46,100      Evergreen Marine Corp. Taiwan Ltd. (Marine Transportation)   289,722
  167,750      Far Eastern New Century Corp. (Industrial Conglomerates)   140,569
  74,030      Formosa Chemicals & Fibre Corp. (Chemicals)   128,911
  21,000      Fubon Financial Holding Co. Ltd. (Insurance)   83,705
  95,410      Hon Hai Precision Industry Co. Ltd. (Electronic Equipment, Instruments & Components)   728,647
  4,256      Hon Precision, Inc. (Semiconductors & Semiconductor Equipment)   789,412
  97,000      Innolux Corp. (Electronic Equipment, Instruments & Components)   133,118
  8,500      International Games System Co. Ltd. Class C (Entertainment)   203,412
  277,400      KGI Financial Holding Co. Ltd. (Insurance)   262,082

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)
 

Taiwan – (continued)

 
  10,700      Kinsus Interconnect Technology Corp. (Semiconductors & Semiconductor Equipment)   $      202,884
  66,600      Macronix International Co. Ltd.* (Semiconductors & Semiconductor Equipment)   200,043
  31,891      MediaTek, Inc. (Semiconductors & Semiconductor Equipment)   3,397,274
  49,189      Nan Ya Plastics Corp. (Chemicals)   233,713
  36,500      Nanya Technology Corp. (Semiconductors & Semiconductor Equipment)   390,230
  114,650      Pegatron Corp. (Technology Hardware, Storage & Peripherals)   296,666
  5,478      Phison Electronics Corp. (Semiconductors & Semiconductor Equipment)   269,602
  538,200      Pou Chen Corp. (Textiles, Apparel & Luxury Goods)   398,182
  131,056      Powerchip Semiconductor Manufacturing Corp.* (Semiconductors & Semiconductor Equipment)   214,344
  1,416      Silicon Motion Technology Corp. ADR (Semiconductors & Semiconductor Equipment)   359,098
  1,119,756      SinoPac Financial Holdings Co. Ltd. (Banks)   1,396,492
  1,600      Syntec Technology Co. Ltd. (Machinery)   98,753
  438,307      Taiwan Semiconductor Manufacturing Co. Ltd. (Semiconductors & Semiconductor Equipment)   32,419,482
  9,282      Taiwan Semiconductor Manufacturing Co. Ltd. ADR (Semiconductors & Semiconductor Equipment)   3,752,249
  30,286      TXC Corp. (Electronic Equipment, Instruments & Components)   138,299
  31,440      Unimicron Technology Corp. (Electronic Equipment, Instruments & Components)   737,676
  251,630      United Microelectronics Corp. (Semiconductors & Semiconductor Equipment)   941,372
  69,355      Wan Hai Lines Ltd. (Marine Transportation)   180,908
  22,118      Win Semiconductors Corp. (Semiconductors & Semiconductor Equipment)   195,140
  145,260      Winbond Electronics Corp. (Semiconductors & Semiconductor Equipment)   560,251

 

 

Shares      Description   Value
  Common Stocks – (continued)
 

Taiwan – (continued)

 
  3,330      Wiwynn Corp. (Technology Hardware, Storage & Peripherals)   $      542,149
  31,900      Yageo Corp. (Electronic Equipment, Instruments & Components)   480,137
  42,000      Yuanta Financial Holding Co. Ltd. (Financial Services)   87,620
    

 

     68,080,222

 

 

 

Thailand – 0.2%

  25,100      Advanced Info Service PCL NVDR (Wireless Telecommunication Services)   285,108
  53,000      Bangkok Bank PCL (Banks)   303,405
  1,733,360      Charoen Pokphand Foods PCL (Food Products)   1,163,385
  1,320      Fabrinet* (Electronic Equipment, Instruments & Components)   574,741
  6,279,948      TMBThanachart Bank PCL (Banks)   573,995
    

 

     2,900,634

 

 

 

Turkey – 0.1%

  115,647      Aselsan Elektronik Sanayi Ve Ticaret AS (Aerospace & Defense)   832,938
  21,600      Migros Ticaret AS (Consumer Staples Distribution & Retail)   284,103
    

 

     1,117,041

 

 

 

United Arab Emirates – 0.1%

  267,210      Dubai Islamic Bank PJSC (Banks)   529,563
  92,600      Emaar Development PJSC (Real Estate Management & Development)   325,874
  164,555      Emaar Properties PJSC (Real Estate Management & Development)   491,126
    

 

     1,346,563

 

 

 

United Kingdom – 4.2%

  47,784      3i Group PLC (Capital Markets)   1,839,578
  33,262      AstraZeneca PLC (Pharmaceuticals)   5,658,209
  66,949      Balfour Beatty PLC (Construction & Engineering)   780,474
  476,957      Barclays PLC (Banks)   3,278,382
  18,331      Berkeley Group Holdings PLC* (Household Durables)   865,822
  103,936      British American Tobacco PLC (Tobacco)   6,304,855
  86,500      Chemring Group PLC (Aerospace & Defense)   689,496
  73,333      Compass Group PLC (Hotels, Restaurants & Leisure)   2,328,752
  12,309      Computacenter PLC (IT Services)   762,783
  150,214      Convatec Group PLC(a) (Health Care Equipment & Supplies)   453,897
  10,594      Cranswick PLC (Food Products)   763,877

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United Kingdom – (continued)

 
  19,066      Croda International PLC (Chemicals)   $      825,416
  134,372      Diageo PLC (Beverages)   2,951,930
  40,308      Gamma Communications PLC (Diversified Telecommunication Services)   508,483
  57,905      Grafton Group PLC CDI (Trading Companies & Distributors)   757,680
  83,984      GSK PLC (Pharmaceuticals)   2,183,824
  38,157      IG Group Holdings PLC (Capital Markets)   750,821
  23,609      IMI PLC (Machinery)   938,187
  1,002,958      Lloyds Banking Group PLC (Banks)   1,550,187
  8,673      London Stock Exchange Group PLC (Capital Markets)   975,648
  285,211      Melrose Industries PLC (Aerospace & Defense)   1,754,412
  213,906      National Grid PLC (Multi-Utilities)   3,423,747
  566,248      NatWest Group PLC (Banks)   5,341,210
  56,188      Reckitt Benckiser Group PLC (Household Products)   3,965,601
  119,430      RELX PLC (Professional Services)   4,208,764
  632,105      Rolls-Royce Holdings PLC (Aerospace & Defense)   12,610,281
  23,933      Segro PLC (Industrial REITs)   312,630
  129,575      Smith & Nephew PLC (Health Care Equipment & Supplies)   2,026,937
  32,010      Smiths Group PLC (Industrial Conglomerates)   1,143,064
  38,291      SSE PLC (Electric Utilities)   1,209,744
  18,803      Standard Chartered PLC (Banks)   555,960
  344,659      Tesco PLC (Consumer Staples Distribution & Retail)   2,268,600
  139,390      WH Smith PLC (Specialty Retail)   815,765
    

 

     74,805,016

 

 

 

United States – 13.6%

 
  4,867      ABM Industries, Inc. (Commercial Services & Supplies)   233,178
  2,991      Addus HomeCare Corp.* (Health Care Providers & Services)   345,401
  20,959      Adeia, Inc. (Software)   558,557
  4,006      Advanced Energy Industries, Inc. (Electronic Equipment, Instruments & Components)   1,159,817
  1,165      Advanced Micro Devices, Inc.* (Semiconductors & Semiconductor Equipment)   554,715
  16,819      Agios Pharmaceuticals, Inc.* (Biotechnology)   504,906
  23,754      Alkami Technology, Inc.* (Software)   431,610
  10,624      Alkermes PLC* (Biotechnology)   520,470

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  25,718      Alphabet, Inc. Class A (Interactive Media & Services)   $    9,158,951
  10,409      Amazon.com, Inc.* (Broadline Retail)   2,826,876
  13,414      American Eagle Outfitters, Inc. (Specialty Retail)   230,453
  9,841      Ameris Bancorp (Banks)   858,234
  8,160      AMN Healthcare Services, Inc.* (Health Care Providers & Services)   274,421
  6,106      Amphenol Corp. Class A (Electronic Equipment, Instruments & Components)   981,234
  22,295      Amrize Ltd.* (Construction Materials)   1,090,448
  3,259      Aon PLC Class A (Insurance)   1,175,032
  2,530      Appfolio, Inc. Class A* (Software)   455,881
  16,989      Apple, Inc. (Technology Hardware, Storage & Peripherals)   5,248,072
  485      AppLovin Corp. Class A* (Software)   192,012
  21,064      Arch Capital Group Ltd.* (Insurance)   2,117,564
  25,200      Archrock, Inc. (Energy Equipment & Services)   901,152
  26,081      Arcutis Biotherapeutics, Inc.* (Biotechnology)   700,536
  1,031      Argan, Inc. (Construction & Engineering)   588,113
  6,177      Arista Networks, Inc.* (Communications Equipment)   1,114,022
  1,017      Arrow Electronics, Inc.* (Electronic Equipment, Instruments & Components)   220,252
  22,048      Artivion, Inc.* (Health Care Equipment & Supplies)   591,548
  2,309      Asbury Automotive Group, Inc.* (Specialty Retail)   534,995
  4,021      Assured Guaranty Ltd. (Insurance)   332,617
  2,766      Atkore, Inc. (Electrical Equipment)   201,807
  4,094      Atmus Filtration Technologies, Inc. (Machinery)   211,373
  17,621      AtriCure, Inc.* (Health Care Equipment & Supplies)   665,369
  28,160      Aveanna Healthcare Holdings, Inc.* (Health Care Providers & Services)   264,422
  21,876      Avient Corp. (Chemicals)   794,536
  4,625      Avnet, Inc. (Electronic Equipment, Instruments & Components)   410,885
  3,837      Axis Capital Holdings Ltd. (Insurance)   404,113
  629      Axon Enterprise, Inc.* (Aerospace & Defense)   331,961
  3,045      Axos Financial, Inc.* (Banks)   308,793
  14,168      Azenta, Inc.* (Life Sciences Tools & Services)   398,546

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  1,960      AZZ, Inc. (Building Products)   $      283,651
  4,204      Balchem Corp. (Chemicals)   704,401
  4,843      Baldwin Insurance Group, Inc.* (Insurance)   134,345
  3,201      Bar Harbor Bankshares (Banks)   127,112
  2,296      Belden, Inc. (Electronic Equipment, Instruments & Components)   284,819
  4,404      Benchmark Electronics, Inc. (Electronic Equipment, Instruments & Components)   351,307
  2,120      Berkshire Hathaway, Inc. Class B* (Financial Services)   1,084,465
  29,140      BGC Group, Inc. Class A (Capital Markets)   335,693
  60,497      BioCryst Pharmaceuticals, Inc.* (Biotechnology)   543,263
  18,067      Block, Inc.* (Financial Services)   1,467,763
  2,500      Blue Bird Corp.* (Machinery)   185,975
  9,393      Boeing Co.* (Aerospace & Defense)   2,030,203
  3,672      Booking Holdings, Inc. (Hotels, Restaurants & Leisure)   708,329
  4,065      Boot Barn Holdings, Inc.* (Specialty Retail)   605,644
  1,682      Brady Corp. Class A (Commercial Services & Supplies)   158,562
  8,510      Bridgebio Pharma, Inc.* (Biotechnology)   681,566
  1,640      Brinker International, Inc.* (Hotels, Restaurants & Leisure)   350,468
  3,906      Brink’s Co. (Commercial Services & Supplies)   462,666
  4,975      Bristow Group, Inc. (Energy Equipment & Services)   225,467
  9,153      Broadcom, Inc. (Semiconductors & Semiconductor Equipment)   3,563,080
  9,384      Byline Bancorp, Inc. (Banks)   368,510
  4,620      Cactus, Inc. Class A (Energy Equipment & Services)   300,346
  27,794      Cadre Holdings, Inc. (Aerospace & Defense)   856,889
  11,932      Cargurus, Inc.* (Interactive Media & Services)   432,416
  93,534      Carnival Corp. Ltd. (Hotels, Restaurants & Leisure)   2,601,181
  13,969      Cathay General Bancorp (Banks)   882,701
  460      Cavco Industries, Inc.* (Household Durables)   251,634
  6,256      CBIZ, Inc.* (Professional Services)   344,580
  9,196      CECO Environmental Corp.* (Machinery)   605,924
  22,530      Central Garden & Pet Co. Class A* (Household Products)   854,112
  12,838      Champion Homes, Inc.* (Household Durables)   1,022,033

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  17,100      Charles Schwab Corp. (Capital Markets)   $    1,799,604
  11,182      Chipotle Mexican Grill, Inc.* (Hotels, Restaurants & Leisure)   416,194
  4,568      Chord Energy Corp. (Oil, Gas & Consumable Fuels)   641,256
  1,938      Churchill Downs, Inc. (Hotels, Restaurants & Leisure)   163,373
  1,046      Ciena Corp.* (Communications Equipment)   394,394
  2,023      Cirrus Logic, Inc.* (Semiconductors & Semiconductor Equipment)   261,675
  8,024      Cohen & Steers, Inc. (Capital Markets)   660,135
  6,409      Columbia Banking System, Inc. (Banks)   200,409
  4,789      Commercial Metals Co. (Metals & Mining)   329,100
  4,202      Commvault Systems, Inc.* (Software)   494,996
  35,203      Compass, Inc. Class A* (Real Estate Management & Development)   400,962
  6,477      ConnectOne Bancorp, Inc. (Banks)   213,352
  7,706      Cousins Properties, Inc. (Office REITs)   243,124
  4,300      Covista, Inc.* (Diversified Consumer Services)   536,855
  3,852      CSW Industrials, Inc. (Building Products)   1,228,518
  3,300      Cummins, Inc. (Machinery)   2,092,860
  10,308      CVB Financial Corp. (Banks)   230,590
  7,672      Cytokinetics, Inc.* (Biotechnology)   591,741
  2,383      Dolby Laboratories, Inc. Class A (Software)   140,144
  3,138      DoorDash, Inc. Class A* (Hotels, Restaurants & Leisure)   615,550
  7,427      Ducommun, Inc.* (Aerospace & Defense)   1,329,582
  3,017      Eastman Chemical Co. (Chemicals)   211,039
  5,020      Eaton Corp. PLC (Electrical Equipment)   2,084,304
  4,068      Eli Lilly & Co. (Pharmaceuticals)   4,673,481
  23,909      Enerpac Tool Group Corp. (Machinery)   854,508
  1,943      EnerSys (Electrical Equipment)   361,495
  3,997      Entegris, Inc. (Semiconductors & Semiconductor Equipment)   475,843
  8,862      Envista Holdings Corp.* (Health Care Equipment & Supplies)   242,021
  1,929      ePlus, Inc. (Electronic Equipment, Instruments & Components)   178,259
  1,405      Esab Corp. (Machinery)   121,575
  4,350      Essent Group Ltd. (Financial Services)   286,926

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  7,107      Essential Properties Realty Trust, Inc. (Diversified REITs)   $      222,378
  2,162      Euronet Worldwide, Inc.* (Financial Services)   154,215
  5,490      Everforth, Inc.* (IT Services)   156,136
  44,992      Experian PLC (Professional Services)   1,697,535
  10,333      Extreme Networks, Inc.* (Communications Equipment)   311,437
  17,935      ExxonMobil Holdings Corp. (Oil, Gas & Consumable Fuels)   2,787,816
  10,807      FB Financial Corp. (Banks)   652,527
  1,981      Federal Agricultural Mortgage Corp. Class C (Financial Services)   450,876
  5,029      Federal Signal Corp. (Machinery)   628,374
  7,350      Ferguson Enterprises, Inc. (Trading Companies & Distributors)   1,722,326
  12,568      Figma, Inc. Class A* (Software)   305,654
  15,553      First Advantage Corp.* (Professional Services)   308,572
  6,265      First American Financial Corp. (Insurance)   469,812
  5,182      First Bancorp/Southern Pines NC (Banks)   325,792
  3,600      First Industrial Realty Trust, Inc. (Industrial REITs)   237,024
  5,137      First Mid Bancshares, Inc. (Banks)   267,586
  44,697      First Watch Restaurant Group, Inc.* (Hotels, Restaurants & Leisure)   574,356
  2,517      FirstCash Holdings, Inc. (Consumer Finance)   513,493
  4      Flutter Entertainment PLC* (Hotels, Restaurants & Leisure)   418
  6,383      Frontdoor, Inc.* (Diversified Consumer Services)   463,597
  679      FTI Consulting, Inc.* (Professional Services)   108,219
  19,065      Gates Industrial Corp. Ltd.* (Machinery)   533,439
  4,296      Getty Realty Corp. (Retail REITs)   146,665
  5,990      Gibraltar Industries, Inc.* (Building Products)   253,137
  12,574      Glacier Bancorp, Inc. (Banks)   619,772
  12,956      Globus Medical, Inc. Class A* (Health Care Equipment & Supplies)   1,020,803
  6,934      Grand Canyon Education, Inc.* (Diversified Consumer Services)   1,007,788
  2,808      Granite Construction, Inc. (Construction & Engineering)   339,684
  8,843      Graphic Packaging Holding Co. (Containers & Packaging)   94,885
  2,662      Green Brick Partners, Inc.* (Household Durables)   188,283

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  961      Group 1 Automotive, Inc. (Specialty Retail)   $      275,586
  5,283      Guardian Pharmacy Services, Inc. Class A* (Health Care Providers & Services)   208,837
  3,117      Gulfport Energy Corp.* (Oil, Gas & Consumable Fuels)   502,990
  4,479      Haemonetics Corp.* (Health Care Equipment & Supplies)   383,134
  15,419      Halozyme Therapeutics, Inc.* (Biotechnology)   1,272,684
  5,440      Hancock Whitney Corp. (Banks)   418,880
  11,174      HealthEquity, Inc.* (Health Care Providers & Services)   1,124,216
  585      HEICO Corp. (Aerospace & Defense)   208,471
  25,349      Helix Energy Solutions Group, Inc.* (Energy Equipment & Services)   241,069
  7,708      Heritage Financial Corp. (Banks)   229,159
  53,033      Hillman Solutions Corp.* (Machinery)   417,370
  11,114      Home BancShares, Inc. (Banks)   345,312
  6,940      Honeywell Aerospace, Inc.* (Aerospace & Defense)   1,434,776
  13,319      Horace Mann Educators Corp. (Insurance)   694,053
  6,902      Houlihan Lokey, Inc. (Capital Markets)   866,132
  3,317      Howmet Aerospace, Inc. (Aerospace & Defense)   936,256
  2,028      HubSpot, Inc.* (Software)   481,366
  2,256      Huron Consulting Group, Inc.* (Professional Services)   342,393
  1,250      ICON PLC* (Life Sciences Tools & Services)   204,456
  5,569      IDACORP, Inc. (Electric Utilities)   795,866
  6,479      Illumina, Inc.* (Life Sciences Tools & Services)   1,328,843
  31,537      Independence Realty Trust, Inc. (Residential REITs)   524,460
  8,068      Independent Bank Corp. (Banks)   676,340
  4,495      Ingersoll Rand, Inc. (Machinery)   374,793
  18,400      Intapp, Inc.* (Software)   601,496
  1,629      InterDigital, Inc. (Software)   496,560
  2,351      Intuitive Surgical, Inc.* (Health Care Equipment & Supplies)   830,679
  5,259      ITT, Inc. (Machinery)   1,030,659
  1,126      JBT Marel Corp. (Machinery)   155,917
  5,110      JPMorgan Chase & Co. (Banks)   1,797,647
  1,209      Kirby Corp.* (Marine Transportation)   158,548
  3,932      Korn Ferry (Professional Services)   323,486
  1,335      Landstar System, Inc. (Ground Transportation)   233,318

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  1,867      Lantheus Holdings, Inc.* (Health Care Equipment & Supplies)   $      186,028
  4,630      Lattice Semiconductor Corp.* (Semiconductors & Semiconductor Equipment)   575,370
  10,859      Laureate Education, Inc.* (Diversified Consumer Services)   416,008
  8,702      La-Z-Boy, Inc. (Household Durables)   342,685
  1,566      LCI Industries (Automobile Components)   160,296
  1,688      Lear Corp. (Automobile Components)   220,520
  12,098      Legence Corp. Class A* (Construction & Engineering)   773,425
  6,125      Liftoff Mobile, Inc.* (Media)   135,975
  3,278      Ligand Pharmaceuticals, Inc.* (Pharmaceuticals)   942,556
  1,491      Limbach Holdings, Inc.* (Construction & Engineering)   106,905
  3,223      Linde PLC (Chemicals)   1,541,819
  6,160      LSI Industries, Inc. (Electrical Equipment)   144,082
  3,929      MACOM Technology Solutions Holdings, Inc.* (Semiconductors & Semiconductor Equipment)   987,908
  24,709      Magnite, Inc.* (Media)   476,884
  23,688      Magnolia Oil & Gas Corp. Class A (Oil, Gas & Consumable Fuels)   609,018
  3,030      Mastercard, Inc. Class A (Financial Services)   1,736,493
  11,201      Matador Resources Co. (Oil, Gas & Consumable Fuels)   558,818
  2,177      Matson, Inc. (Marine Transportation)   441,038
  5,552      Maximus, Inc. (Professional Services)   334,508
  631      Medpace Holdings, Inc.* (Life Sciences Tools & Services)   364,156
  18,977      Medtronic PLC (Health Care Equipment & Supplies)   1,620,446
  2,085      Merit Medical Systems, Inc.* (Health Care Equipment & Supplies)   177,246
  4,870      Meta Platforms, Inc. Class A (Interactive Media & Services)   2,711,178
  285      Micron Technology, Inc. (Semiconductors & Semiconductor Equipment)   234,564
  5,490      Microsoft Corp. (Software)   2,551,313
  7,374      Minerals Technologies, Inc. (Chemicals)   562,194
  5,641      MiniMed Group, Inc.* (Health Care Equipment & Supplies)   101,820
  1,893      Moderna, Inc.* (Biotechnology)   103,774

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  1,191      MongoDB, Inc.* (IT Services)   $      401,939
  1,284      Monolithic Power Systems, Inc. (Semiconductors & Semiconductor Equipment)   1,831,023
  1,426      Moog, Inc. Class A (Aerospace & Defense)   555,926
  746      Murphy USA, Inc. (Specialty Retail)   453,389
  2,291      Natera, Inc.* (Biotechnology)   613,438
  5,230      National Energy Services Reunited Corp.* (Energy Equipment & Services)   141,001
  7,680      National Health Investors, Inc. (Health Care REITs)   588,672
  48,585      NeoGenomics, Inc.* (Health Care Providers & Services)   742,865
  7,190      Netflix, Inc.* (Entertainment)   515,595
  247      NewMarket Corp. (Chemicals)   209,990
  1,065      Nexstar Media Group, Inc. (Media)   202,914
  2,515      Nicolet Bankshares, Inc. (Banks)   429,864
  2,905      Northeast Bank (Banks)   360,714
  12,505      Northwestern Energy Group, Inc. (Multi-Utilities)   859,594
  7,422      Novanta, Inc.* (Electronic Equipment, Instruments & Components)   1,058,006
  41,727      Novartis AG (Pharmaceuticals)   6,525,759
  6,980      Nucor Corp. (Metals & Mining)   1,795,884
  65,694      NVIDIA Corp. (Semiconductors & Semiconductor Equipment)   13,188,071
  25,593      OceanFirst Financial Corp. (Banks)   494,201
  13,547      Octave Intelligence PLC SDR* (Software)   242,851
  14,194      Old Second Bancorp, Inc. (Banks)   358,966
  5,206      Omnicell, Inc.* (Health Care Equipment & Supplies)   184,136
  11,380      Option Care Health, Inc.* (Health Care Providers & Services)   262,081
  919      OSI Systems, Inc.* (Electronic Equipment, Instruments & Components)   203,457
  5,781      Oxford Industries, Inc. (Textiles, Apparel & Luxury Goods)   219,216
  7,053      Patrick Industries, Inc. (Automobile Components)   582,225
  5,068      Pegasystems, Inc. (Software)   154,827
  4,207      Penguin Solutions, Inc.* (Semiconductors & Semiconductor Equipment)   221,414
  14,753      PennyMac Mortgage Investment Trust (Mortgage Real Estate Investment Trusts (REITs))   139,121
  31,907      Perella Weinberg Partners (Capital Markets)   563,159

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  19,053      Philip Morris International, Inc. (Tobacco)   $    3,635,693
  7,293      Photronics, Inc.* (Semiconductors & Semiconductor Equipment)   220,905
  25,608      Phreesia, Inc.* (Health Care Technology)   274,774
  1,140      Praxis Precision Medicines, Inc.* (Biotechnology)   350,926
  3,324      Preferred Bank (Banks)   347,159
  1,399      PriceSmart, Inc. (Consumer Staples Distribution & Retail)   271,280
  28,211      Qiagen NV (Life Sciences Tools & Services)   1,163,515
  7,975      Qnity Electronics, Inc. (Semiconductors & Semiconductor Equipment)   1,046,161
  6,598      Range Resources Corp. (Oil, Gas & Consumable Fuels)   264,844
  802      RBC Bearings, Inc.* (Machinery)   442,151
  2,022      Red River Bancshares, Inc. (Banks)   203,312
  26,202      Redwood Trust, Inc. (Mortgage Real Estate Investment Trusts (REITs))   119,743
  8,982      Revolve Group, Inc.* (Specialty Retail)   225,538
  10,312      ROBLOX Corp. Class A* (Entertainment)   367,107
  16,604      Roche Holding AG (Pharmaceuticals)   7,257,482
  30,344      Rocket Cos., Inc. Class A* (Financial Services)   391,438
  86,944      Rosebank Industries PLC* (Electrical Equipment)   394,421
  7,465      Ross Stores, Inc. (Specialty Retail)   1,874,238
  7,229      Ryman Hospitality Properties, Inc. (Hotel & Resort REITs)   966,156
  28,475      SailPoint, Inc.* (Software)   477,526
  18,910      Samsara, Inc. Class A* (Software)   704,776
  15,196      Sanofi SA (Pharmaceuticals)   1,308,553
  12,031      Schneider Electric SE (Electrical Equipment)   4,042,239
  24,599      Seacoast Banking Corp. of Florida (Banks)   854,569
  6,131      Seagate Technology Holdings PLC (Technology Hardware, Storage & Peripherals)   5,248,933
  4,906      Semtech Corp.* (Semiconductors & Semiconductor Equipment)   578,025
  11,604      Sensata Technologies Holding PLC (Electrical Equipment)   537,149
  3,629      Shake Shack, Inc. Class A* (Hotels, Restaurants & Leisure)   227,720
  1,382      Signet Jewelers Ltd. (Specialty Retail)   128,388
  4,727      Sirius XM Holdings, Inc. (Media)   140,014

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  14,334      Skyward Specialty Insurance Group, Inc.* (Insurance)   $      859,323
  11,112      SLM Corp. (Consumer Finance)   288,856
  8,993      SM Energy Co. (Oil, Gas & Consumable Fuels)   292,452
  33,688      Smurfit Westrock PLC (Containers & Packaging)   1,548,637
  990      Snowflake, Inc.* (IT Services)   290,347
  11,650      Solaris Energy Infrastructure, Inc. (Energy Equipment & Services)   598,927
  13,835      Southern Co. (Electric Utilities)   1,307,961
  1,705      Space Exploration Technologies Corp. Class A* (Diversified Telecommunication Services)   184,771
  5,964      Spotify Technology SA* (Entertainment)   2,981,642
  9,860      Sprouts Farmers Market, Inc.* (Consumer Staples Distribution & Retail)   859,398
  4,909      SPX Technologies, Inc.* (Machinery)   1,078,115
  26,609      STAG Industrial, Inc. (Industrial REITs)   1,018,060
  37,249      Stagwell, Inc.* (Media)   314,754
  14,477      StandardAero, Inc.* (Aerospace & Defense)   424,321
  10,686      Stifel Financial Corp. (Capital Markets)   885,976
  6,407      StoneX Group, Inc.* (Capital Markets)   490,584
  1,896      Stryker Corp. (Health Care Equipment & Supplies)   617,527
  19,575      Supernus Pharmaceuticals, Inc.* (Pharmaceuticals)   873,632
  3,550      Synopsys, Inc.* (Software)   1,380,098
  21,352      Tandem Diabetes Care, Inc.* (Health Care Equipment & Supplies)   416,364
  8,812      Teradata Corp.* (Software)   273,084
  8,098      Texas Capital Bancshares, Inc. (Banks)   800,487
  4,160      Texas Roadhouse, Inc. (Hotels, Restaurants & Leisure)   854,630
  4,308      Tidewater, Inc.* (Energy Equipment & Services)   323,358
  4,348      Tradeweb Markets, Inc. Class A (Capital Markets)   436,974
  8,489      U.S. Physical Therapy, Inc. (Health Care Providers & Services)   671,140
  4,621      UFP Industries, Inc. (Building Products)   400,826
  18,476      Ultragenyx Pharmaceutical, Inc.* (Biotechnology)   460,237
  5,942      UMB Financial Corp. (Banks)   865,928

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  1,411      United Rentals, Inc. (Trading Companies & Distributors)   $    1,522,836
  1,870      UnitedHealth Group, Inc. (Health Care Providers & Services)   774,928
  3,592      Urban Outfitters, Inc.* (Specialty Retail)   266,455
  35,126      Utz Brands, Inc. (Food Products)   495,979
  6,870      Valvoline, Inc.* (Specialty Retail)   263,877
  21,924      Veracyte, Inc.* (Biotechnology)   1,015,520
  1,883      Vertiv Holdings Co. Class A (Electrical Equipment)   454,876
  16,520      Viavi Solutions, Inc.* (Communications Equipment)   610,414
  8,391      Visa, Inc. Class A (Financial Services)   3,072,197
  2,823      Visteon Corp. (Automobile Components)   295,116
  12,153      Vita Coco Co., Inc.* (Beverages)   801,369
  5,893      Vontier Corp. (Electronic Equipment, Instruments & Components)   189,342
  6,593      Waste Connections, Inc. (Commercial Services & Supplies)   1,103,536
  4,600      Weatherford International PLC (Energy Equipment & Services)   403,834
  2,323      WEX, Inc.* (Financial Services)   434,308
  2,807      Wintrust Financial Corp. (Banks)   447,829
  3,091      Wyndham Hotels & Resorts, Inc. (Hotels, Restaurants & Leisure)   231,392
    

 

     241,118,470

 

 

 
TOTAL COMMON STOCKS
(Cost $578,716,623)
  $  827,836,160

 

 

Shares     

Dividend

Rate

  Value
  Preferred Stocks – 0.2%  
 

Brazil – 0.2%

 

Banco Bradesco SA (Banks)

 
  134,000      8.440%   $     487,186
 

Itausa SA (Banks)

 
  522,271      9.471%   1,423,865
 

Petroleo Brasileiro SA - Petrobras (Oil, Gas & Consumable Fuels)

  134,300      7.625%   1,150,352
    

 

     3,061,403

 

 

 

Chile – 0.0%

 

Sociedad Quimica y Minera de Chile SA (Chemicals)

  8,655      1.475%   583,672

 

 

Shares     

Dividend

Rate

  Value
  Preferred Stocks – (continued)  
 

India – 0.0%

 

TVS Motor Co. Ltd. (Automobiles)

 
  50,336      6.000%   $        5,513

 

 

 
TOTAL PREFERRED STOCKS
(Cost $3,123,134)
  $    3,650,588

 

 

Shares      Description   Value
  Exchange Traded Funds – 45.8%  
  20,000      iShares Core MSCI Emerging Markets ETF   $    1,552,200
  25,725      iShares MSCI Saudi Arabia ETF   950,796
  8,253,275      State Street SPDR Portfolio S&P 500 ETF   725,462,785
  477,665      Vanguard Russell 1000 Value   52,743,769
  49,361      Vanguard S&P 500 ETF   33,893,731

 

 

 
TOTAL EXCHANGE TRADED FUNDS
(Cost $709,411,861)
  $  814,603,281

 

 

Shares     

Dividend

Rate

  Value
  Investment Companies(c) – 6.9%  
 

Goldman Sachs Central Government Fund — Institutional Shares

  63,058,081      3.760%   $63,058,081
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  59,289,006      3.571   59,289,006

 

 

 
TOTAL INVESTMENT COMPANIES – 6.9%
(Cost $122,347,087)
  $  122,347,087

 

 

 

TOTAL INVESTMENTS – 99.5%

(Cost $1,413,598,705)

  $1,768,437,116

 

 

 
OTHER ASSETS IN EXCESS OF
 LIABILITIES – 0.5%
  8,090,196

 

 

  NET ASSETS – 100.0%   $1,776,527,312

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(c)   Represents an affiliated issuer.

 

 

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

SECTOR ALLOCATION AS OF JULY 31, 2026

 

Sector      % of Total
Market Value
Exchange Traded Funds          46.1 %
Information Technology          10.9
Financials          9.3
Industrials          8.2
Investment Companies          6.9
Consumer Discretionary          4.4
Health Care          4.3
Communication Services          2.5
Consumer Staples          2.4
Materials          2.0
Energy          1.6
Utilities          0.8
Real Estate          0.6
           100.0 %

      

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At July 31, 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
 

 

 

BNP Paribas SA

    

AUD

     13,280,000        USD      9,259,169          08/04/26        $ 84,575  
    

CHF

     10,770,000        USD      13,165,648          08/04/26          161,850  
    

DKK

     16,010,000        USD      2,437,038          08/04/26          33,396  
    

EUR

     44,270,000        USD      50,363,588          08/04/26          694,372  
    

GBP

     15,610,000        USD      20,760,822          08/04/26          277,432  
    

ILS

     3,800,000        USD      1,242,419          08/04/26          997  
    

JPY

     5,497,000,000        USD      33,561,083          08/04/26          1,000,412  
    

NOK

     9,200,000        USD      950,038          08/04/26          20,632  
    

NZD

     450,000        USD      260,125          08/04/26          4,981  
    

SEK

     43,950,000        USD      4,519,700          08/04/26          96,809  
    

SGD

     2,730,000        USD      2,112,601          08/04/26          16,746  
    

USD

     13,336,977        CHF         10,770,000          08/04/26          9,480  
    

USD

     2,649,621        HKD      20,750,000          08/04/26          3,383  
    

USD

     2,649,337        HKD      20,750,000          09/02/26          335  
    

USD

     1,278,512        ILS      3,800,000          08/04/26          35,096  

JPMorgan Securities, Inc.

    

AUD

     5,490,000        USD      3,827,774          08/04/26          34,964  
    

CHF

     4,220,000        USD      5,158,685          08/04/26          63,417  
    

DKK

     6,010,000        USD      914,841          08/04/26          12,536  
    

EUR

     16,900,000        USD      19,226,217          08/04/26          265,076  
    

GBP

     6,480,000        USD      8,618,202          08/04/26          115,167  
    

ILS

     1,480,000        USD      483,889          08/04/26          388  
    

JPY

     2,064,000,000        USD      12,601,433          08/04/26          375,632  
    

NOK

     4,200,000        USD      433,713          08/04/26          9,419  
    

NZD

     170,000        USD      98,269          08/04/26          1,882  
    

SEK

     17,175,000        USD      1,766,231          08/04/26          37,832  
    

SGD

     1,110,000        USD      858,970          08/04/26          6,809  
    

USD

     5,225,817        CHF      4,220,000          08/04/26          3,715  
    

USD

     1,085,387        HKD      8,500,000          08/04/26          1,386  
    

USD

     1,085,271        HKD      8,500,000          09/02/26          137  
    

USD

     497,947        ILS      1,480,000          08/04/26          13,669  

 

 

TOTAL

                          $  3,382,525  

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

BNP Paribas SA

    

HKD

     20,750,000        USD      2,646,622          08/04/26        $ (385
    

USD

     9,168,950        AUD      13,280,000          08/04/26          (174,794
    

USD

     9,254,682        AUD      13,280,000          09/02/26          (83,691
    

USD

     13,207,739        CHF      10,770,000          09/02/26          (162,011
    

USD

     2,439,618        DKK      16,010,000          08/04/26          (30,815
    

USD

     2,440,908        DKK      16,010,000          09/02/26          (33,251
    

USD

        50,400,452        EUR      44,270,000          08/04/26          (657,509
    

USD

     50,425,389        EUR      44,270,000          09/02/26          (691,473
    

USD

     20,600,383        GBP      15,610,000          08/04/26          (437,871
    

USD

     20,761,615        GBP      15,610,000          09/02/26          (276,212
    

USD

     1,243,874        ILS      3,800,000          09/02/26          (654
    

USD

     34,076,265        JPY      5,497,000,000          08/04/26          (485,231
    

USD

     33,639,856        JPY      5,497,000,000          09/02/26          (998,285
    

USD

     930,614        NOK      9,200,000          08/04/26          (40,056
    

USD

     949,685        NOK      9,200,000          09/02/26          (20,568
    

USD

     254,467        NZD      450,000          08/04/26          (10,639
    

USD

     260,383        NZD      450,000          09/02/26          (4,962
    

USD

     4,520,870        SEK      43,950,000          08/04/26          (95,640
    

USD

     4,526,934        SEK      43,950,000          09/02/26          (96,622
    

USD

     2,111,980        SGD      2,730,000          08/04/26          (17,367
    

USD

     2,116,776        SGD      2,730,000          09/02/26          (16,953

JPMorgan Securities, Inc.

    

HKD

     8,500,000        USD      1,084,159          08/04/26          (158
    

USD

     3,790,477        AUD      5,490,000          08/04/26          (72,260
    

USD

     3,825,919        AUD      5,490,000          09/02/26          (34,598
    

USD

     5,175,177        CHF      4,220,000          09/02/26          (63,481
    

USD

     915,809        DKK      6,010,000          08/04/26          (11,568
    

USD

     916,294        DKK      6,010,000          09/02/26          (12,482
    

USD

     19,240,290        EUR      16,900,000          08/04/26          (251,003
    

USD

     19,249,810        EUR      16,900,000          09/02/26          (263,969
    

USD

     8,551,600        GBP      6,480,000          08/04/26          (181,769
    

USD

     8,618,531        GBP      6,480,000          09/02/26          (114,661
    

USD

     484,456        ILS      1,480,000          09/02/26          (255
    

USD

     12,794,872        JPY      2,064,000,000          08/04/26          (182,193
    

USD

     12,631,010        JPY      2,064,000,000          09/02/26          (374,834
    

USD

     424,846        NOK      4,200,000          08/04/26          (18,287
    

USD

     433,552        NOK      4,200,000          09/02/26          (9,390
    

USD

     96,132        NZD      170,000          08/04/26          (4,019
    

USD

     98,367        NZD      170,000          09/02/26          (1,874
    

USD

     1,766,688        SEK      17,175,000          08/04/26          (37,375
    

USD

     1,769,058        SEK      17,175,000          09/02/26          (37,759
    

USD

     858,717        SGD      1,110,000          08/04/26          (7,061
    

USD

     860,667        SGD      1,110,000          09/02/26          (6,893

State Street Bank and Trust

    

USD

     212,040        ZAR      3,561,819          08/03/26          (3,503

UBS AG (London)

    

USD

     34,430        ZAR      569,489          08/05/26          (28

 

 

TOTAL

                          $ (6,024,409

 

 


GOLDMAN SACHS MULTI-MANAGER GLOBAL EQUITY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

FUTURES CONTRACTS — At July 31, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                   

S&P 500 E-Mini Index

     250        09/18/26        $ 93,990,625        $ 725,779  

S&P Toronto Stock Exchange 60 Index

     163        09/17/26          48,475,015          986,259  

 

 

TOTAL FUTURES CONTRACTS

                    $ 1,712,038  

 

 

 

Currency Abbreviations:
AUD  

— Australian Dollar

CHF  

— Swiss Franc

DKK  

— Denmark Krone

EUR  

— Euro

GBP  

— British Pound

HKD  

— Hong Kong Dollar

ILS  

— Israeli Shekel

JPY  

— Japanese Yen

NOK  

— Norwegian Krone

NZD  

— New Zealand Dollar

SEK  

— Swedish Krona

SGD  

— Singapore Dollar

USD  

— U.S. Dollar

ZAR  

— South African Rand

Investment Abbreviations:
ADR  

— American Depositary Receipt

ETF  

— Exchange Traded Fund

GDR  

— Global Depositary Receipt

MSCI  

— Morgan Stanley Capital International

MTN  

— Medium Term Note

PLC  

— Public Limited Company

REIT  

— Real Estate Investment Trust

SDR  

— Special Drawing Rights

SPDR  

— Standard & Poor’s Depositary Receipt

 

    

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – 54.2%

Advertising(a)(b) – 0.3%

CMG Media Corp.

$

    2,914,025       8.875   06/18/29   $    2,118,817

Neptune Bidco U.S., Inc.

    1,538,000       9.290     04/15/29   1,567,114
    1,305,000       9.500     02/15/33   1,329,873

Summer BC Holdco B SARL

EUR

    300,000       5.875     02/15/30   292,742

(3 mo. EUR EURIBOR + 4.250%)

    400,000       6.533 (c)    02/15/30   390,941
       

 

        5,699,487

 

Aerospace & Defense(a) – 0.6%

ATI, Inc.

$

    1,200,000       7.250     08/15/30   1,238,748
    1,250,000       5.125     10/01/31   1,220,625

Bombardier, Inc.(b)

    860,000       7.250     07/01/31   896,817
    340,000       7.000     06/01/32   351,159
    1,745,000       6.750     06/15/33   1,796,966

Goat Holdco LLC(b)

    3,598,000       6.750     02/01/32   3,657,619

Rolls-Royce PLC(b)

GBP

    970,000       5.750     10/15/27   1,318,809

TransDigm, Inc.(b)

$

    300,000       6.750     08/15/28   302,340
    2,150,000       7.125     12/01/31   2,218,004
       

 

        13,001,087

 

Agriculture(a)(b) – 0.0%

MHP Lux SA

    280,000       10.500     07/28/29   290,850

 

Airlines(a) – 0.2%

Gol Finance, Inc.

    223,000       14.375     06/06/30   216,127

Latam Airlines Group SA

    259,000       7.625     01/07/31   264,504

VistaJet Malta Finance PLC/Vista Management Holding, Inc.(b)

    771,000       9.500     06/01/28   781,963
    2,587,000       6.375     02/01/30   2,444,327
       

 

        3,706,921

 

Apparel(a)(b) – 0.4%

Beach Acquisition Bidco LLC(d) (PIK 10.750%, Cash 10.000%)

    2,147,167       10.000     07/15/33   2,305,499

Birkenstock Group BV & Co. KG

EUR

    914,000       4.500     06/15/33   1,054,074

Gg12 SpA

    900,000       6.250     04/28/33   1,055,447

Under Armour, Inc.

$

    2,635,000       7.250     07/15/30   2,685,434

Wolverine World Wide, Inc.

    2,704,000       4.000     08/15/29   2,550,061
       

 

        9,650,515

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Automotive(a) – 1.4%

American Axle & Manufacturing, Inc.(b)

$

    1,905,000       6.375   10/15/32   $    1,895,056
    4,607,000       7.750     10/15/33   4,533,979

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

EUR

    1,411,000       4.750     06/15/31   1,627,534

Forvia SE(b)

    496,000       5.375     03/15/31   581,211

Gestamp Automocion SA(b)

    193,000       4.375     10/15/30   223,203

Nissan Motor Co. Ltd.(b)

$

    605,000       7.500     07/17/30   619,683
    1,510,000       7.750     07/17/32   1,559,679

EUR

    1,453,000       6.375     07/17/33   1,716,041

$

    2,610,000       8.125     07/17/35   2,749,844

Qnity Electronics, Inc.(b)

    628,000       5.750     08/15/32   624,414
    2,354,000       6.250     08/15/33   2,365,958

Stellantis NV(c)

(5 yr. EURIBOR ICE Swap + 4.239%)

EUR

    1,149,000       6.875     12/16/33   1,275,482

(5 yr. U.K. Government Bond + 4.079%)

GBP

    1,011,000       8.250     06/16/32   1,316,589

Tenneco, Inc.(b)

$

    2,490,000       8.000     11/17/28   2,496,623

ZF North America Capital, Inc.(b)

    7,321,000       7.500     03/24/31   7,360,900
       

 

        30,946,196

 

Banks(a) – 2.2%

Akbank TAS(c) (5 yr. CMT + 3.726%)

    1,210,000       7.875     09/04/35   1,206,418

Banca Transilvania SA(c) (5 yr. EURIBOR ICE Swap + 4.783%)

EUR

    1,662,000       7.125     11/27/30   1,955,786

Banco Bilbao Vizcaya Argentaria SA(c) (5 yr. EURIBOR ICE Swap + 3.246%)

    2,000,000       5.625     11/11/32   2,291,770

Banco Davivienda SA(c) (5 yr. CMT + 4.588%)

$

    480,000       8.125     07/02/35   493,920

Banco Mercantil del Norte SA(c)

(10 yr. CMT + 5.034%)

    775,000       6.625     01/24/32   734,506

(10 yr. CMT + 5.353%)

    485,000       7.625     01/10/28   483,739

(10 yr. CMT + 5.470%)

    485,000       7.500     06/27/29   481,726

(5 yr. CMT + 4.072%)

    1,898,000       8.375     05/20/31   1,925,474

Bancolombia SA(c) (5 yr. CMT + 4.320%)

    490,000       8.625     12/24/34   516,338

Barclays PLC(c)

(5 yr. GBP SONIA Linked ICE Swap + 4.881%)

GBP

    3,680,000       8.500     06/15/30   5,252,991

(5 yr. GBP SONIA Linked ICE Swap + 5.639%)

    1,348,000       9.250     09/15/28   1,925,865

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Banks(a) – (continued)

BBVA Mexico SA Institucion De Banca Multiple Grupo Financiero BBVA Mexico(c)

(5 yr. CMT + 4.214%)

$

    1,557,000       8.125 %(b)    01/08/39   $    1,638,976

(5 yr. CMT + 4.661%)

    1,569,000       8.450     06/29/38   1,683,537

CaixaBank SA(c) (-1X 5 yr. EUR Swap + 3.857%)

EUR

    1,400,000       3.625     09/14/28   1,578,086

Deutsche Bank AG(c)

(5 yr. EURIBOR ICE Swap + 4.036%)

    2,000,000       6.750     10/30/34   2,363,773

(5 yr. EURIBOR ICE Swap + 5.692%)

    1,800,000       6.750     10/30/28   2,153,507

Eurobank SA(c) (5 yr. EURIBOR ICE Swap + 3.790%)

    2,211,000       6.250     11/10/33   2,556,371

Freedom Mortgage Corp.(b)

$

    2,492,000       6.625     01/15/27   2,495,514

Metro Bank Holdings PLC(b)(c) (1 yr. U.K. Government Bond + 7.814%)

GBP

    1,070,000       12.000     04/30/29   1,581,255

NBK Tier 1 Ltd.(c) (6 yr. CMT + 2.403%)

$

    975,000       6.375     01/10/31   975,058

Riyad Sukuk Ltd.(c) (5 yr. CMT + 2.250%)

    1,489,000       6.209     07/14/35   1,489,521

SNB Sukuk Ltd.(c) (5 yr. CMT + 1.850%)

    835,000       5.938     07/18/36   831,877

Societe Generale SA(c)

(5 yr. EUR Swap + 5.228%)

EUR

    2,300,000       7.875     01/18/29   2,818,010

(5 yr. EURIBOR ICE Swap + 3.779%)

    1,300,000       6.125     03/17/32   1,518,103

Standard Chartered PLC(c) (5 yr. CMT + 3.805%)

$

    535,000       4.750     01/14/31   498,278

Turkiye Garanti Bankasi AS(c) (5 yr. CMT + 3.867%)

    734,000       7.625     04/15/36   722,050

UBS Group AG(b)(c) (5 yr. USD SOFR ICE Swap + 3.179%)

    2,920,000       7.125     08/10/34   2,919,737

UniCredit SpA(c)

(5 yr. EURIBOR ICE Swap + 3.299%)

EUR

    1,346,000       5.625     12/03/32   1,559,900

(5 yr. USD ICE Swap + 3.703%)

$

    1,570,000       5.861 (b)    06/19/32   1,575,856
       

 

        48,227,942

 

Biotechnology(a) – 0.5%

Biocon Biologics Global PLC(b)

    2,604,000       6.670     10/09/29   2,610,901

Cidron Aida Finco SARL

EUR

    2,367,000       7.000     10/27/31   2,602,201

GBP

    1,402,000       9.125     10/27/31   1,811,206

Genmab AS/Genmab Finance LLC(b)

$

    2,080,000       6.250     12/15/32   2,098,075
    1,360,000       7.250     12/15/33   1,403,085
       

 

        10,525,468

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Building Materials(a)(b) – 1.0%

Ameritex Holdco Intermediate LLC

$

    2,280,000       7.625   08/15/33   $    2,348,560

Builders FirstSource, Inc.

    2,478,000       6.375     03/01/34   2,433,891

CP Atlas Buyer, Inc.

    2,756,000       9.750     07/15/30   2,480,069

(PIK 5.750%, Cash 7.000%)

    1,468,266       12.750 (d)    01/15/31   1,008,288

EMRLD Borrower LP/Emerald Co-Issuer, Inc.

    2,767,000       6.625     12/15/30   2,814,316

JH North America Holdings, Inc.

    1,162,000       6.125     07/31/32   1,164,858

Quikrete Holdings, Inc.

    1,380,000       6.375     03/01/32   1,396,712
    725,000       6.750     03/01/33   734,541

Smyrna Ready Mix Concrete LLC

    1,525,000       8.875     11/15/31   1,597,193

Standard Building Solutions, Inc.

    800,000       6.500     08/15/32   802,720
    830,000       6.250     08/01/33   821,011

Standard Industries, Inc.

    2,058,000       4.375     07/15/30   1,944,769

Wilsonart LLC

    3,119,000       11.000     08/15/32   2,401,256
       

 

        21,948,184

 

Chemicals(a) – 1.9%

Alpek SAB de CV

    204,000       4.250     09/18/29   190,740
    366,000       3.250     02/25/31   317,642

ASP Unifrax Holdings, Inc.(b)(d)(e) (PIK 1.250%, Cash 5.850%)

    2,486,552       7.100     09/30/29   1,169

Avient Corp.(b)

    1,759,000       6.250     11/01/31   1,773,213

Axalta Coating Systems Dutch Holding B BV(b)

    2,095,000       7.250     02/15/31   2,173,101

Axalta Coating Systems LLC(b)

    5,000       3.375     02/15/29   4,758

Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding BBV(b)

    2,671,000       4.750     06/15/27   2,666,940

Bond U.S. Bidco 1, Inc./Bidco 2/Bidco 3/German Bidco 1 GmbH/German Bidco 2(b)

EUR

    300,000       6.500     06/15/33   347,249

Celanese U.S. Holdings LLC

$

    500,000       6.750     04/15/33   510,145

Cerdia Finanz GmbH(b)

    1,855,000       9.375     10/03/31   1,649,466

Chemours Co.(b)

    540,000       4.625     11/15/29   510,079
    2,644,000       7.875     03/15/34   2,572,718

Cornerstone Chemical Co. LLC(b)(d)(f)

    3,093,487       10.000     05/07/29   3,093,487

Dangote Fertiliser Ltd.(b)

    538,000       7.750     05/05/31   540,517

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Chemicals(a) – (continued)

FMC Corp.

$

    2,848,000       3.450   10/01/29   $    2,623,777
    887,000       8.000 (b)    06/01/31   916,315

(5 yr. CMT + 4.366%)

    2,348,000       8.450 (c)    11/01/55   1,763,395

GC Treasury Center Co. Ltd.(c) (5 yr. CMT + 2.815%)

    213,000       6.500     09/10/30   208,783

INEOS Finance PLC(b)

    1,040,000       7.500     04/15/29   1,023,422

EUR

    720,000       5.625     08/15/30   774,881
    140,000       7.250     03/31/31   151,767
    1,000,000       7.875     11/15/31   1,098,906

INEOS Quattro Finance 2 PLC(b)

    430,000       8.500     03/15/29   426,762

Innophos Holdings, Inc.(b)

$

    1,246,500       11.500     06/15/29   1,174,240

Itelyum Regeneration SpA(b)

EUR

    996,000       5.750     04/15/30   1,167,833

OCP SA(b)(c) (5 yr. CMT + 3.215%)

$

    1,535,000       7.368     04/22/36   1,502,857

Rain Carbon, Inc.(b)

    1,005,000       12.250     09/01/29   1,069,631

Sasol Financing USA LLC

    1,369,000       5.500     03/18/31   1,274,977
    406,000       8.750 (b)    04/10/33   422,033

SCIH Salt Holdings, Inc.(b)

    318,000       6.625     05/01/29   317,962

SoftBank Group Corp.

EUR

    1,585,000       6.375     04/22/30   1,846,641

TDC Brands AS(b)

    350,000       8.000     04/30/31   401,056

Tronox, Inc.(b)

$

    2,896,000       4.625     03/15/29   1,788,454
    1,075,000       9.125     09/30/30   1,073,753

WR Grace Holdings LLC(b)

    3,270,000       5.625     08/15/29   3,002,808
    783,000       6.625     08/15/32   745,463
       

 

        41,126,940

 

Commercial Services – 1.9%

Aegis Lux 1a SARL(a)(d)

EUR

    1,000,000       5.625 (b)    10/29/31   1,168,256
    738,000       5.625     10/29/31   862,173

Albion Financing 1 SARL/Aggreko Holdings, Inc.(a)(b)

    1,587,000       5.375     05/21/30   1,878,435

Allied Universal Holdco LLC(a)(b)

$

    2,783,000       7.875     02/15/31   2,891,871

Amber Finco PLC(a)(b)

EUR

    1,235,000       6.625     07/15/29   1,470,154

Belron U.K. Finance PLC(a)(b)

    2,370,000       4.625     10/15/29   2,776,501

Boels Topholding BV(a)(b)

    1,228,000       5.750     05/15/30   1,442,832

DP World Ltd.

$

    200,000       6.850     07/02/37   207,232

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Commercial Services – (continued)

Garda World Security Corp.(a)(b)

$

    1,832,000       8.375   11/15/32   $    1,860,854

ION Platform Finance SARL(a)(b)

EUR

    300,000       7.875     05/01/29   323,853
    700,000       6.500     09/30/30   690,168

Kapla Holding SAS(a)(b)

    1,500,000       5.000     04/30/31   1,734,239

Korn Ferry(a)(b)

$

    1,420,000       4.625     12/15/27   1,411,977

Loxam SAS(a)(b)

EUR

    1,255,000       4.250     02/15/31   1,431,255

Multiversity SpA(a)(b)

    500,000       7.125     05/17/31   591,900

Paysafe Finance PLC/Paysafe Holdings U.S. Corp.(a)

    500,000       3.000 (b)    06/15/29   532,969
    256,000       3.000     06/15/29   272,880

Q-Park Holding I BV(a)(b)

    969,000       4.250     09/01/30   1,123,649
    539,000       3.875     09/01/31   610,571

Raven Acquisition Holdings LLC(a)(b)

$

    2,563,000       6.875     11/15/31   2,493,543

Sabre Financial Borrower LLC(a)(b)

    2,685,000       11.125     06/15/29   2,825,560

Service Corp. International(a)

    1,900,000       5.750     10/15/32   1,886,434

Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc.(a)(b)

    1,612,000       6.750     08/15/32   1,613,741

EUR

    1,756,000       5.500     05/15/33   1,983,521

Synergy Infrastructure Holdings LLC(a)(b)

$

    1,370,000       7.000     07/15/34   1,381,700

Techem Verwaltungsgesellschaft 675 GmbH(a)(b)

EUR

    987,000       5.375     07/15/29   1,163,494
    895,000       4.625     07/15/32   1,031,109

United Rentals North America, Inc.(a)

$

    750,000       4.875     01/15/28   747,053
    595,000       4.000     07/15/30   564,857

Verisure Holding AB(a)(b)

EUR

    2,453,000       5.500     05/15/30   2,905,560

Wand NewCo 3, Inc.(a)(b)

$

    250,000       7.625     01/30/32   256,920

WEX, Inc.(a)(b)

    265,000       6.500     03/15/33   263,900
       

 

        42,399,161

 

Computers(a)(b) – 0.1%

Science Applications International Corp.

    1,920,000       4.875     04/01/28   1,894,061

 

Cosmetics & Personal Care(a) – 0.3%

Opal Bidco SAS(b)

EUR

    3,005,000       5.500     03/31/32   3,536,876

$

    2,175,000       6.500     03/31/32   2,189,485

Perrigo Finance Unlimited Co.

    700,000       6.125     09/30/32   664,972

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Cosmetics & Personal Care(a) – (continued)

Prestige Brands, Inc.(b)

$

    940,000       6.250   07/15/34   $      942,350
       

 

        7,333,683

 

Distribution & Wholesale(a)(b) – 0.2%

ADI Escrow Issuer LLC

    1,368,000       7.125     07/15/34   1,397,987

American Builders & Contractors Supply Co., Inc.

    3,267,000       4.000     01/15/28   3,217,407
       

 

        4,615,394

 

Diversified Financial Services – 3.3%

Ally Financial, Inc.(a)(c) (5 yr. CMT + 3.148%)

    4,367,000       7.100     08/15/31   4,385,560

Arabian Centres Sukuk IV Ltd.(a)

    766,000       8.875     12/04/30   759,060

Bach Bidco SpA(a)(b)(c) (3 mo. EUR EURIBOR + 4.250%)

EUR

    250,000       6.681     10/15/28   284,935

Bread Financial Holdings, Inc.(a)(b)(c) (5 yr. CMT + 4.300%)

$

    1,536,000       8.375     06/15/35   1,587,533

CI Financial Corp.(a)(b)

    2,050,000       7.500     05/30/29   2,138,847

CI Financial Holdings Ltd.(a)(b)(c) (5 yr. CMT + 3.252%)

    3,200,000       7.625     07/23/56   3,217,024

Coinbase Global, Inc.(a)(b)

    2,763,000       3.375     10/01/28   2,624,546

CrossCountry Intermediate HoldCo LLC(a)(b)

    3,411,000       6.500     10/01/30   3,299,256
    2,987,000       6.750     12/01/32   2,851,719

Encore Capital Group, Inc.(a)(b)

    1,704,000       6.625     04/15/31   1,710,100

Finance of America Funding LLC(b)

    796,399       8.875     11/30/27   786,460
    775,000       10.000     11/30/29   854,314

First Eagle Holdings, Inc.(a)(b)

    1,839,000       7.250     08/15/32   1,860,590

Focus Financial Partners LLC(a)(b)

    3,370,000       6.750     09/15/31   3,349,477

Freedom Funding Center LLC(a)(b)(d) (PIK 13.000%, Cash 12.000%)

    550,000       12.000     10/01/37   570,531

Freedom Mortgage Holdings LLC(a)(b)

    1,669,000       9.250     02/01/29   1,722,809
    1,085,000       8.375     04/01/32   1,089,893
    3,341,000       7.875     04/01/33   3,225,168

IIFL Finance Ltd.(b)

    729,000       7.600     09/10/29   731,551
    398,000       7.600     07/10/30   394,221

Jefferies Finance LLC/JFIN Co-Issuer Corp.(a)(b)

    5,646,000       5.000     08/15/28   5,464,199
    1,070,000       6.625     10/15/31   1,050,216

Jerrold Finco PLC(a)

GBP

    1,195,000       7.500     06/15/31   1,632,836
    575,000       7.500 (b)    06/15/31   785,674

Kane Bidco Ltd.(a)(b)

    1,072,000       7.750     07/15/31   1,459,092

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Diversified Financial Services – (continued)

Midcap Financial Issuer Trust(a)(b)

$

    2,498,000       6.500   05/01/28   $    2,497,725
    1,510,000       5.625     01/15/30   1,484,421

Muangthai Capital PCL

    480,000       7.550     07/21/30   484,618

Navient Corp.

    350,000       5.500 (a)    03/15/29   335,849
    1,065,000       9.375 (a)    10/15/31   1,063,743
    800,000       5.625     08/01/33   660,872

OneMain Finance Corp.(a)

    1,452,000       3.500     01/15/27   1,440,544
    1,490,000       3.875     09/15/28   1,439,891
    1,565,000       5.375     11/15/29   1,529,099
    715,000       4.000     09/15/30   656,034
    650,000       7.125     11/15/31   658,859
    400,000       7.125     09/15/32   404,496
    89,000       6.750     09/15/33   87,630

Osaic Holdings, Inc.(a)(b)

    2,598,000       8.000     08/01/33   2,633,541

PennyMac Financial Services, Inc.(a)(b)

    555,000       4.250     02/15/29   525,036
    845,000       5.750     09/15/31   784,329

Planet Financial Group LLC(a)(b)

    3,442,000       10.500     12/15/29   3,357,189

PRA Group, Inc.(a)(b)

    2,545,000       8.875     01/31/30   2,621,604

Rocket Cos., Inc.(a)(b)

    250,000       6.125     08/01/30   251,990
    250,000       6.375     08/01/33   251,657

SLM Corp.(a)(c) (Secured Overnight Financing Rate + 2.710%)

    3,233,000       6.495     05/15/32   3,224,756
       

 

        74,229,494

 

Electrical – 3.2%

Adani Electricity Mumbai Ltd.

    1,224,000       3.949     02/12/30   1,148,088

AES Espana BV(a)(b)

    2,340,000       7.750     08/03/33   2,348,564

Alpha Generation LLC(a)(b)

    2,873,000       6.750     10/15/32   2,898,139
    423,000       6.250     01/15/34   413,753

Buffalo Energy Mexico Holdings/Buffalo Energy Infrastructure/Buffalo Energy(a)

    2,119,484       7.875 (b)    02/15/39   2,200,289
    460,973       7.875     02/15/39   478,548

CGE Treasury Ifsc Pvt Ltd.(a)(b)

    621,000       7.875     07/28/31   619,882

Clearway Energy Operating LLC(a)(b)

    2,211,000       3.750     02/15/31   2,028,504

Constellation Energy Generation LLC(a)

    755,000       4.625     02/01/29   748,854

Continuum Green Energy India Pvt/Co-Issuers(a)

    497,799       7.500     06/26/33   506,575

ContourGlobal Power Holdings SA(a)(b)

EUR

    675,000       4.375     07/31/31   756,885

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Electrical – (continued)

COX Asset Mexico SA de CV(a)(b)

$

    1,450,000       7.125   01/08/32   $    1,441,140
    1,609,000       7.750     05/08/36   1,609,086

EnfraGen Energia Sur SA/EnfraGen Spain SA/Prime Energia SpA(a)(b)

    1,396,595       5.375     12/30/30   1,306,152

EnfraGen Energia Sur SAU/EnfraGen Chile SpA/EnfraGen Spain
SAU(a)(b)

    1,429,000       8.499     06/30/32   1,482,245

FIEMEX Energia - Banco Actinver SA Institucion de Banca Multiple(a)

    938,274       7.250     01/31/41   931,189

Limak Yenilenebilir Enerji AS(a)

    990,000       9.625     08/12/30   978,031

Neoen Finco PLC(a)(b)

EUR

    1,842,000       5.500     06/15/31   2,162,633

NRG Energy, Inc.(a)

$

    1,000,000       5.750     01/15/28   1,000,550
    5,265,000       3.625 (b)    02/15/31   4,855,278
    1,790,000       6.250 (b)    11/01/34   1,784,863
    1,750,000       6.000 (b)    01/15/36   1,711,832

PacifiCorp(a)(c) (5 yr. CMT + 3.292%)

    3,318,000       7.125     08/15/56   3,271,216

Pattern Energy Operations LP/Pattern Energy Operations, Inc.(a)(b)

    2,175,000       4.500     08/15/28   2,124,583

PG&E Corp.(a)(c)

(5 yr. CMT + 3.225%)

    1,798,000       6.850     09/15/56   1,774,770

(5 yr. CMT + 3.883%)

    2,767,000       7.375     03/15/55   2,806,015

Puget Energy, Inc.(a)(c) (5 yr. CMT + 2.961%)

    2,463,000       7.000     09/15/56   2,471,202

Saavi Energia SARL(a)

    2,050,000       8.875 (b)    02/10/35   2,222,405
    695,000       8.875     02/10/35   753,450

SAEL/SPREPL/SSSPL/JGPEPL/SKREPL/UBEPL(a)

    905,008       7.800     07/31/31   916,321

Talen Energy Supply LLC(a)(b)

    2,187,000       6.375     05/01/33   2,155,988
    1,350,000       6.250     02/01/34   1,324,080

Threelands Energy Ltd. SARL(a)

    765,000       7.450     10/20/35   774,715

TXNM Energy, Inc.(a)(b)(c) (5 yr. CMT + 3.254%)

    2,245,000       7.000     07/31/56   2,256,719

Vistra Corp.(a)(b)(c) (5 yr. CMT + 5.740%)

    1,995,000       7.000     12/15/26   2,004,037

Vistra Operations Co. LLC(a)(b)

    2,990,000       5.000     07/31/27   2,990,329
    2,145,000       4.375     05/01/29   2,094,550
    800,000       7.750     10/15/31   834,184
    1,355,000       6.875     04/15/32   1,399,241

VoltaGrid LLC(a)(b)

    3,356,000       7.375     11/01/30   3,373,116

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Electrical – (continued)

XPLR Infrastructure Operating Partners LP(a)(b)

$

    1,487,000       8.625   03/15/33   $    1,588,488
       

 

        70,546,489

 

Electrical Components & Equipment(a)(b) – 0.2%

Belden, Inc.

EUR

    950,000       4.250     02/01/33   1,062,628

WESCO Distribution, Inc.

$

    2,820,000       5.500     04/15/34   2,745,749
       

 

        3,808,377

 

Electronics(a)(b) – 0.0%

Coherent Corp.

    675,000       5.000     12/15/29   660,467

 

Energy-Alternate Sources(a) – 0.2%

Cullinan Holdco SCSp(b)

EUR

    1,314,497       8.500     10/15/29   1,500,912

FS Luxembourg SARL(b)

$

    1,741,000       8.625     06/25/33   1,651,338

Greenko Wind Projects Mauritius Ltd.

    226,550       7.250     09/27/28   228,377
       

 

        3,380,627

 

Engineering & Construction(a)(b) – 0.2%

AECOM

    1,230,000       6.000     08/01/33   1,223,247

Artera Services LLC

    360,000       8.500     02/15/31   327,957

Assemblin Caverion Group AB

EUR

    944,000       6.250     07/01/30   1,122,972

(3 mo. EUR EURIBOR + 3.500%)

    246,000       5.835 (c)    07/01/31   286,157

Egis SA

    329,000       5.125     05/15/31   384,770
       

 

        3,345,103

 

Entertainment(a) – 1.9%

Allwyn Entertainment Financing U.K. PLC(b)

    2,078,000       4.125     02/15/31   2,322,354

AMC Entertainment Holdings, Inc.(b)

$

    800,000       7.500     02/15/29   773,208

Banijay Gaming SAS(b)

EUR

    1,500,000       5.125     12/10/31   1,749,668

Boyne USA, Inc.(b)

$

    2,831,000       4.750     05/15/29   2,762,150

Caesars Entertainment, Inc.(b)

    1,010,000       6.500     02/15/32   966,338
    886,000       6.000     10/15/32   777,926

Churchill Downs, Inc.(b)

    3,884,000       4.750     01/15/28   3,847,180

Cirsa Finance International SARL(b)

EUR

    1,266,000       6.500     03/15/29   1,505,859
    1,711,000       4.875     10/15/31   1,998,038

Flutter Treasury DAC(b)

GBP

    805,000       6.125     06/04/31   1,074,643

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Entertainment(a) – (continued)

GENM Capital Labuan Ltd.

$

    443,000       3.882   04/19/31   $      397,371

Jacobs Entertainment, Inc.(b)

    150,000       6.750     02/15/29   146,790

LHMC Finco 2 SARL(b)(d) (PIK 9.375%, Cash 8.625%)

EUR

    1,013,083       8.625     05/15/30   1,203,938

Light & Wonder International, Inc.(b)

$

    3,229,000       6.250     10/01/33   3,172,396

Live Nation Entertainment, Inc.(b)

    2,175,000       4.750     10/15/27   2,164,495

Lottomatica Group SpA(b)

EUR

    1,135,000       4.875     01/31/31   1,331,049

Muvico LLC(b)(d)

$

    618,000       15.000     02/19/29   677,118

Ontario Gaming GTA LP/OTG Co-Issuer, Inc.(b)

    2,318,000       8.000     08/01/30   2,318,046

Pinewood Finco PLC(b)

GBP

    400,000       6.000     03/27/30   538,006

Resorts World Las Vegas LLC/RWLV Capital, Inc.

$

    2,190,000       4.625 (b)    04/16/29   1,968,087
    2,900,000       4.625     04/16/29   2,606,143
    300,000       8.450 (b)    07/27/30   296,031
    500,000       4.625 (b)    04/06/31   418,175

Rivers Enterprise Borrower LLC/Rivers Enterprise Finance Corp.(b)

    2,387,000       6.625     02/01/33   2,400,916

Six Flags Entertainment Corp.(b)

    2,533,000       7.250     05/15/31   2,483,049

Voyager Parent LLC(b)

    1,690,000       9.250     07/01/32   1,795,997

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.(b)

    350,000       7.125     02/15/31   366,681
    500,000       6.250     03/15/33   495,620
       

 

  42,557,272

 

Environmental(a)(b) – 0.4%

Ambipar Lux SARL(e)

    614,000       10.875     02/05/33   211,830

Clean Harbors, Inc.

    991,000       5.750     10/15/33   985,589

GFL Environmental Holdings U.S., Inc.

    1,647,000       5.500     02/01/34   1,523,557

GFL Environmental, Inc.

    450,000       3.500     09/01/28   437,760
    700,000       4.375     08/15/29   673,393

Madison IAQ LLC

    3,677,000       4.125     06/30/28   3,601,291

Waste Pro USA, Inc.

    382,000       7.000     02/01/33   388,563
       

 

  7,821,983

 

Food & Drug Retailing – 1.5%

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons
LLC(a)(b)

    3,029,000       3.500     03/15/29   2,851,410
    805,000       4.875     02/15/30   768,171

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Food & Drug Retailing – (continued)

$

    750,000       5.625   03/31/32   $     713,453

Bellis Acquisition Co. PLC(a)(b)

GBP

    750,000       8.125     05/14/30   944,524

C&S Group Enterprises LLC(a)(b)

$

    2,948,000       5.000     12/15/28   2,712,661

Chobani LLC/Chobani Finance Corp., Inc.(a)(b)

    1,906,000       4.625     11/15/28   1,883,490

Darling Global Finance BV(a)(b)

EUR

    1,200,000       4.500     07/15/32   1,393,964

Flora Food Management BV(a)(b)

    585,000       6.875     07/02/29   650,537

Froneri Lux FinCo SARL(a)(b)

    1,554,000       4.750     08/01/32   1,737,034

Iceland Bondco PLC(a)(b)

GBP

    439,000       4.375     05/15/28   584,503

EUR

    670,000       6.625     08/15/33   772,116

(3 mo. EUR EURIBOR + 5.500%)

    200,000       7.783 (c)    12/15/27   230,704

Industrial F&B Investments III, Inc.(a)(b)

$

    2,618,000       7.750     02/11/33   2,656,066

Lamb Weston Holdings, Inc.(a)(b)

    1,330,000       4.125     01/31/30   1,267,144

Minerva Luxembourg SA (a)(b)

    2,772,000       7.500     04/22/36   2,644,349

New Albertsons LP

    1,050,000       8.700     05/01/30   1,118,187
    543,000       8.000     05/01/31   569,830

Performance Food Group, Inc.(a)(b)

    1,290,000       4.250     08/01/29   1,247,159
    1,745,000       6.125     09/15/32   1,751,596

Picard Groupe SAS(a)(b)

EUR

    980,000       6.375     07/01/29   1,163,888

Post Holdings, Inc.(a)(b)

$

    3,621,000       6.250     10/15/34   3,520,083

Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed(a)(b)

    1,750,000       4.625     03/01/29   1,691,165

Tyson Foods, Inc.(a)

    1,724,000       5.100     09/28/48   1,483,623
       

 

  34,355,657

 

Forest Products & Paper(a)(b) – 0.1%

Ahlstrom Holding 3 OYJ

EUR

    1,259,000       3.625     02/04/28   1,446,009

WEPA Hygieneprodukte GmbH

    783,000       5.625     01/15/31   914,690
       

 

  2,360,699

 

Gaming(a)(b) – 0.0%

Studio City Co. Ltd.

$

    790,000       6.125     05/15/31   780,591

 

Gas(a)(b) – 0.2%

AmeriGas Partners LP/AmeriGas Finance Corp.

    3,660,000       9.500     06/01/30   3,923,813

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Hand/Machine Tools(a)(b) – 0.1%

Dynamo Newco II GmbH

EUR

    1,553,000       6.250   10/15/31   $    1,675,798

IMA Industria Macchine Automatiche SpA

    850,000       3.750     01/15/28   978,687
       

 

  2,654,485

 

Healthcare Providers & Services – 3.3%

Akumin, Inc.(a)(b)

$

    2,885,000       9.750     08/31/31   2,753,963

Avantor Funding, Inc.(a)(b)

EUR

    753,000       3.875     07/15/28   867,497

CAB SELAS(a)

    1,710,000       7.750     08/09/31   2,007,341
    500,000       7.750 (b)    08/09/31   586,942

Centene Corp.(a)

$

    5,102,000       4.625     12/15/29   4,942,409
    1,550,000       2.625     08/01/31   1,343,819

Cerba Healthcare SACA(a)

EUR

    2,719,000       3.500     05/31/28   2,202,785

Charles River Laboratories International, Inc.(a)(b)

$

    2,290,000       4.000     03/15/31   2,137,509

CHS/Community Health Systems, Inc.(a)(b)

    1,443,000       6.875     04/15/29   1,391,009
    2,216,000       5.250     05/15/30   2,050,066
    1,763,000       10.875     01/15/32   1,859,683
    1,865,000       9.750     01/15/34   1,889,431

Embecta Corp.(a)(b)

    1,720,000       5.000     02/15/30   1,329,698
    680,000       6.750     02/15/30   522,050

Fortrea Holdings, Inc.(a)(b)

    2,493,000       7.500     07/01/30   2,537,450

Global Medical Response, Inc.(a)(b)

    3,420,000       7.375     10/01/32   3,494,385

Haemonetics Corp.

    1,701,000       2.500     06/01/29   1,779,246

HCA, Inc.(a)

    1,574,000       5.250     06/15/49   1,346,352

HomeVi SASU(a)(b)

EUR

    750,000       6.625     10/31/31   873,425

Humana, Inc.(a)(c) (5 yr. CMT + 2.891%)

$

    1,080,000       6.625     09/15/56   1,062,493

Integer Holdings Corp.

    3,075,000       1.875     03/15/30   3,235,515

IQVIA, Inc.(a)(b)

EUR

    1,024,000       2.250     03/15/29   1,140,748

Kedrion SpA(a)(b)

$

    2,490,000       6.500     09/01/29   2,457,281

Lantheus Holdings, Inc.

    1,450,000       2.625     12/15/27   1,898,775

LifePoint Health, Inc.(a)(b)

    6,052,000       9.875     08/15/30   6,358,655
    1,613,000       8.375     02/15/32   1,623,114
    1,488,000       10.000     06/01/32   1,429,105

Medline Borrower LP(a)(b)

    300,000       5.250     10/01/29   297,309

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Healthcare Providers & Services – (continued)

Mehilainen Yhtiot OYJ(a)(b)

EUR

    1,244,000       5.125   06/30/32   $    1,440,615

Molina Healthcare, Inc.(a)(b)

$

    950,000       3.875     11/15/30   877,610

Radiology Partners, Inc.(a)(b)

    676,257       9.781 (d)    02/15/30   674,668
    3,900,000       8.500     07/15/32   4,098,315

RAY Financing LLC(a)(b)

EUR

    600,000       6.500     07/15/31   700,663

Surgery Center Holdings, Inc.(a)(b)

$

    1,079,000       7.250     04/15/32   1,081,816

Team Health Holdings, Inc.(a)(b)

    2,090,000       8.375     06/30/28   2,088,746

(PIK 4.500%, Cash 9.000%)

    3,528,321       13.500 (d)    06/30/28   3,602,345

Tenet Healthcare Corp.(a)

    1,800,000       6.750     05/15/31   1,836,612
    550,000       5.500 (b)    11/15/32   541,723
       

 

  72,361,168

 

Holding Companies-Diversified(a)(b) – 0.0%

Clue Opco LLC

    600,000       9.500     10/15/31   589,182

 

Home Builders(a)(b) – 0.1%

K Hovnanian Enterprises, Inc.

    1,766,000       8.000     04/01/31   1,802,062

Maison Finco PLC

GBP

    200,000       7.250     04/30/32   255,620
       

 

  2,057,682

 

Home Furnishings(a) – 0.1%

Flos B&b Italia SpA(b)

EUR

    1,144,800       10.000     11/15/28   1,373,538

Whirlpool Corp.

$

    422,000       4.750     02/26/29   394,262
    127,000       7.500 (b)    07/01/31   126,206
    791,000       6.500     06/15/33   670,128
       

 

  2,564,134

 

Household Products(a) – 0.0%

Central Garden & Pet Co.

    650,000       4.125     10/15/30   614,985

 

Housewares(a) – 0.1%

Newell Brands, Inc.

    1,315,000       6.375     05/15/30   1,328,558

 

Insurance – 1.9%

Acrisure LLC/Acrisure Finance, Inc.(a)(b)

    1,372,000       4.250     02/15/29   1,277,661
    245,000       8.500     06/15/29   233,735
    272,000       7.500     11/06/30   263,201

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer(a)(b)

    1,259,000       4.250     10/15/27   1,244,496
    2,528,000       7.000     01/15/31   2,566,679

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Insurance – (continued)

American National Group, Inc.(a)(c) (5 yr. CMT + 3.183%)

$

    2,771,000       7.000   12/01/55   $    2,665,397

APH Somerset Investor 2 LLC/APH2 Somerset Investor 2 LLC/APH3 Somerset Investor 2 LLC(a)(b)

    2,933,000       7.875     11/01/29   2,971,921

Ardonagh Finco Ltd.(a)(b)

    1,536,000       7.750     02/15/31   1,558,779

Arthur J Gallagher & Co.(a)

    2,587,000       5.550     02/15/55   2,328,041

Asurion LLC/Asurion Co-Issuer, Inc.(a)(b)

    4,135,000       8.000     12/31/32   4,181,188
    5,237,000       8.375     02/01/34   4,772,688

Athora Holding Ltd.(a)

EUR

    2,059,000       5.875     09/10/34   2,478,355

BNP Paribas Cardif SA(a)(c) (5 yr. EURIBOR ICE Swap + 3.370%)

    1,400,000       6.000     11/07/35   1,606,854

F&G Annuities & Life, Inc.(a)

$

    2,057,000       6.250     10/04/34   1,988,296

Genworth Holdings, Inc.

    2,590,000       6.500     06/15/34   2,589,612

(3 mo. USD Term SOFR + 2.264%)

    1,400,000       5.915 (a)(c)    11/15/66   1,155,966

Global Atlantic Fin Co.(a)(b)

    1,555,000       7.950     06/15/33   1,680,442

(5 yr. CMT + 3.550%)

    778,000       7.250 (c)    03/01/56   745,386

Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance LLC(a)(b)

    954,000       7.250     02/15/31   945,137

Ryan Specialty LLC(a)(b)

    1,090,000       5.875     08/01/32   1,075,143

SBL Holdings, Inc.(a)(b)

    1,852,000       7.200     10/30/34   1,704,359

Unipol Assicurazioni SpA(a)(c) (5 yr. EURIBOR ICE Swap + 3.241%)

EUR

    2,252,000       6.000     07/21/35   2,613,825
       

 

  42,647,161

 

Internet – 1.1%

Cerved Group SpA(a)(b)

    484,000       6.000     02/15/29   377,633

(3 mo. EUR EURIBOR + 5.250%)

    200,000       7.651 (c)    02/15/29   156,699

Engineering - Ingegneria Informatica - SpA(a)(b)

    700,000       8.625     02/15/30   844,853

Go Daddy Operating Co. LLC/GD Finance Co., Inc.(a)(b)

$

    2,573,000       3.500     03/01/29   2,416,793

GrubHub Holdings, Inc.(a)(b)(d) (PIK 7.000%, Cash 6.000%)

    1,883,264       13.000     07/31/30   1,598,646

Prosus NV(a)

    715,000       4.027     08/03/50   482,539
    620,000       4.987     01/19/52   474,796

Rakuten Group, Inc.

    2,824,000       9.750 (b)    04/15/29   3,065,311
    1,902,000       9.750     04/15/29   2,064,526

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Internet – (continued)

Snap, Inc.(a)(b)

$

    5,190,000       6.875   03/01/33   $    5,072,446

United Group BV(a)

EUR

    2,226,000       5.250 (b)    02/01/30   2,564,101
    2,160,000       6.250     01/31/32   2,501,664

(3 mo. EUR EURIBOR + 3.250%)

    2,246,000       5.533 (b)(c)    01/31/33   2,578,112
       

 

  24,198,119

 

Investment Companies(a) – 0.3%

Apollo Debt Solutions BDC

$

    1,960,000       6.900     04/13/29   2,004,061

HA Sustainable Infrastructure Capital, Inc.(c) (5 yr. CMT + 4.301%)

    1,906,000       8.000     06/01/56   1,997,640

Icahn Enterprises LP/Icahn Enterprises Finance Corp.

    925,000       5.250     05/15/27   918,534
    400,000       10.000 (b)    11/15/29   400,420

MDGH GMTN RSC Ltd.

    201,000       5.084     05/22/53   169,743
       

 

  5,490,398

 

Iron/Steel – 0.6%

Baffinland Iron Mines Corp./Baffinland Iron Mines LP(a)(b)(e)

    735,000       8.750     07/15/26   388,881

CAP SA(a)

    605,000       3.900     04/27/31   511,013

CSN Inova Ventures(a)

    200,000       6.750     01/28/28   166,840

CSN Resources SA(a)

    1,459,000       8.875     12/05/30   1,030,900

Mineral Resources Ltd.(a)(b)

    5,000,000       6.250     05/01/34   4,863,800

Samarco Mineracao SA(a)(d) (PIK 9.049%, Cash 9.000%)

    5,799,430       9.500     06/30/31   5,825,528

Tacora Resources, Inc.(f)

    27,984       13.000     09/18/31   27,984
    50,038       13.000     09/19/31   50,038

Vale Overseas Ltd.(a)(c) (5 yr. CMT + 2.431%)

    443,000       6.000     02/25/56   440,874
       

 

  13,305,858

 

Leisure Time(a)(b) – 0.8%

A&K Travel Group Holdings Ltd.

    5,115,000       7.500     05/15/33   5,091,522

Carnival Corp. Ltd.

    2,700,000       4.000     08/01/28   2,644,542
    1,000,000       5.750     08/01/32   992,180
    1,852,000       6.125     02/15/33   1,852,482

Carnival U.K. Ltd.

EUR

    628,000       4.125     07/15/31   717,554

Deuce Finco PLC

GBP

    2,170,000       7.000     11/20/31   2,969,658

NCL Corp. Ltd.

$

    550,000       6.750     02/01/32   539,072
    1,000,000       6.250     09/15/33   950,290

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Leisure Time(a)(b) – (continued)

Pinnacle Bidco PLC

GBP

    350,000       10.000   10/11/28   $      487,812

Sabre GLBL, Inc.

$

    1,037,000       10.750     11/15/29   998,112
    393,000       10.750     03/15/30   376,404

TUI Cruises GmbH

EUR

    600,000       5.000     05/15/30   699,604
       

 

  18,319,232

 

Lodging(a) – 0.9%

Genting New York LLC/GENNY Capital, Inc.(b)

$

    2,665,000       7.250     10/01/29   2,723,763

Gohl Capital Holdings Ltd.(c) (5 yr. CMT + 4.261%)

    1,600,000       8.300     04/29/36   1,518,112

Hilton Domestic Operating Co., Inc.(b)

    1,215,000       4.000     05/01/31   1,139,549
    385,000       5.750     09/15/33   381,666

Melco Resorts Finance Ltd.

    1,725,000       5.375 (b)    12/04/29   1,673,405
    1,894,000       7.625 (b)    04/17/32   1,924,778
    284,000       7.625     04/17/32   289,649
    400,000       6.500 (b)    09/24/33   385,700

Station Casinos LLC(b)

    2,163,000       4.625     12/01/31   2,036,140
    1,795,000       6.625     03/15/32   1,813,578

Studio City Finance Ltd.(b)

    2,045,000       5.000     01/15/29   1,955,306

Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.(b)

    1,905,000       5.250     05/15/27   1,903,990

Wynn Macau Ltd.(b)

    275,000       5.625     08/26/28   272,602
    1,325,000       5.125     12/15/29   1,278,691
    1,450,000       6.750     02/15/34   1,422,943
       

 

  20,719,872

 

Machinery - Construction & Mining(a)(b) – 0.1%

BWX Technologies, Inc.

    1,449,000       4.125     06/30/28   1,412,775

Solaris Energy Infrastructure LLC

    1,724,000       6.375     05/15/31   1,693,209
       

 

  3,105,984

 

Machinery-Diversified(a)(b) – 0.2%

Columbus McKinnon Corp.

    2,362,000       7.125     02/01/33   2,381,392

King U.S. Bidco, Inc.(c) (3 mo. EUR EURIBOR + 3.250%)

EUR

    1,750,000       5.681     12/01/32   2,037,647
       

 

  4,419,039

 

Media – 3.2%

Altice Financing SA(a)(b)

$

    625,000       9.625     07/15/27   415,625
    2,030,000       5.000     01/15/28   1,293,475
    767,000       5.750     08/15/29   485,749

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Media – (continued)

AMC Global Media, Inc.(a)(b)

$

    1,716,000       10.500   07/15/32   $    1,768,115

Beasley Mezzanine Holdings LLC(a)(b)(d)(g)

    594,952       10.000     12/31/27   363,028

CCO Holdings LLC/CCO Holdings Capital Corp.(a)(b)

    1,080,000       5.000     02/01/28   1,068,012
    2,634,000       6.375     09/01/29   2,617,880
    2,479,000       4.500     08/15/30   2,263,401
    1,155,000       4.250     02/01/31   1,022,568
    1,250,000       4.250     01/15/34   1,022,525
    2,583,000       7.375     02/01/36   2,459,713

CSC Holdings LLC(a)(b)

    383,000       5.500     04/15/27   236,935
    2,442,000       11.750     01/31/29   1,398,509
    899,000       5.750     01/15/30   193,447
    94,000       4.125     12/01/30   52,832

Directv Financing LLC(a)(b)

    2,189,000       8.875     02/01/30   2,227,855
    1,200,000       8.875     02/01/30   1,223,316

Directv Financing LLC/Directv Financing Co-Obligor, Inc.(a)(b)

    1,689,000       10.000     02/15/31   1,764,904

Discovery Communications LLC(a)

    3,811,000       5.000     09/20/37   2,837,861

Discovery Global Holdings, Inc.(a)

    300,000       4.279     03/15/32   266,166

EUR

    2,532,000       4.693     05/17/33   2,775,830

$

    4,134,000       5.050     03/15/42   2,885,449

DISH DBS Corp.(a)(b)(e)

    975,000       5.250     12/01/26   969,676
    160,000       5.750     12/01/28   154,230

EW Scripps Co.(a)(b)

    2,146,000       9.875     08/15/30   1,872,771

Fox Corp.(a)

    1,695,000       5.476     01/25/39   1,604,640
    680,000       5.576     01/25/49   608,199

Gray Media, Inc.(a)(b)

    2,464,000       10.500     07/15/29   2,598,879
    2,521,000       4.750     10/15/30   1,953,624
    665,000       5.375     11/15/31   492,007
    705,000       9.625     07/15/32   712,240
    1,333,000       7.250     08/15/33   1,317,710

Grupo Televisa SAB

    1,304,000       6.625     01/15/40   1,134,480

Nexstar Media, Inc.(a)(b)

    1,316,000       4.750     11/01/28   1,291,707
    1,705,000       6.500     09/15/33   1,697,021
    1,954,000       7.250     04/15/34   1,959,002

Paramount Global

    900,000       6.875     04/30/36   821,394
    350,000       4.850 (a)    07/01/42   226,044
    400,000       5.250 (a)    04/01/44   258,196

(3 mo. USD Term SOFR + 3.899%)

    1,397,000       6.250 (a)(c)    02/28/57   1,097,148

(5 yr. CMT + 3.999%)

    3,674,000       6.375 (a)(c)    03/30/62   3,038,912

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Media – (continued)

Scripps Escrow II, Inc.(a)(b)

$

    3,838,000       3.875   01/15/29   $    3,504,977

Sinclair Television Group, Inc.(a)(b)

    1,527,000       5.500     03/01/30   1,320,748

Sirius XM Radio LLC(a)(b)

    800,000       4.125     07/01/30   748,120
    300,000       3.875     09/01/31   270,837

Spanish Broadcasting System, Inc.(a)(b)(e)

    1,225,000       9.750     03/01/26   744,567

Summer BidCo BV(a)(b)(d)

EUR

    1,399,241       8.875     01/31/31   1,652,776

Sunrise FinCo I BV(a)(b)

$

    830,000       4.875     07/15/31   778,864

EUR

    1,004,000       4.625     05/15/32   1,140,674

Telenet Finance Luxembourg Notes SARL(a)(b)

    300,000       3.500     03/01/28   342,828

$

    1,600,000       5.500     03/01/28   1,580,288

Urban One, Inc.(a)(b)

    594,000       10.500     04/01/30   587,318
    741,000       7.625     04/01/31   269,909

Virgin Media Finance PLC(a)(b)

    500,000       5.000     07/15/30   307,605

Virgin Media O2 Vendor Financing Notes VI DAC(a)(b)

    863,000       8.500     03/15/33   553,960

Virgin Media O2 Vendor Financing Notes VII DAC(a)(b)

EUR

    854,000       7.500     07/15/33   670,839

Virgin Media Secured Finance PLC(a)(b)

$

    872,000       4.500     08/15/30   716,435

VZ Vendor Financing II BV(a)(b)

EUR

    1,835,000       2.875     01/15/29   1,994,443
       

 

  71,636,263

 

Mining(a) – 1.8%

Aris Mining Corp.(b)

$

    3,045,000       8.000     10/31/29   3,143,963

Corp. Nacional del Cobre de Chile

    200,000       6.780     01/13/55   205,078

Eldorado Gold Corp.(b)

    2,000,000       6.250     09/01/29   1,991,940

Endeavour Mining PLC(b)

    1,351,000       7.000     05/28/30   1,372,332

First Quantum Minerals Ltd.(b)

    1,370,000       8.625     06/01/31   1,421,375
    1,150,000       8.000     03/01/33   1,192,470
    2,041,000       7.250     02/15/34   2,074,804

Fortescue Treasury Pty. Ltd.(b)

    879,000       4.500     09/15/27   871,493
    620,000       4.375     04/01/31   583,817

Freeport-McMoRan, Inc.

    795,000       5.400     11/14/34   792,520

Mountain Province Diamonds, Inc.(b)(f)

    2,861,000       9.000     12/15/27   1,691,995

Nexa Resources SA

    475,000       6.600     04/08/37   483,431

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Mining(a) – (continued)

Nickel Industries Ltd.

$

    500,000       9.000   09/30/30   $      508,810

Northwest Acquisitions ULC/Dominion Finco, Inc.(b)(e)

    1,260,000       7.125     11/01/22   13

Novelis Corp.(b)

    525,000       4.750     01/30/30   504,179
    2,470,000       6.375     08/15/33   2,464,121

Novelis Sheet Ingot GmbH(b)

EUR

    700,000       3.375     04/15/29   788,663

Skeena Resources Ltd.(b)

$

    1,724,000       8.500     04/01/31   1,799,632

Vedanta Resources Finance II PLC

    200,000       9.475     07/24/30   200,628
    3,639,000       7.000 (b)    07/13/32   3,635,361
    200,000       9.125     10/15/32   200,528
    4,810,000       7.375 (b)    07/13/34   4,793,261
    5,085,000       7.750 (b)    07/13/37   5,085,000

Volcan Cia Minera SAA(b)

    3,265,000       8.500     10/28/32   3,369,121

WE Soda Investments Holding PLC

    350,000       9.500     10/06/28   350,000
    653,000       9.375     02/14/31   634,285
       

 

  40,158,820

 

Miscellaneous Manufacturing(a)(b) – 0.3%

Amsted Industries, Inc.

    2,022,000       4.625     05/15/30   1,951,695
    2,690,000       6.375     03/15/33   2,709,072

Axon Enterprise, Inc.

    1,905,000       6.250     03/15/33   1,932,851
       

 

  6,593,618

 

Oil Field Services – 3.6%

Archrock Partners LP/Archrock Partners Finance Corp.(a)(b)

    1,241,000       6.625     09/01/32   1,258,734

Archrock Services LP/Archrock Partners Finance Corp.(a)(b)

    552,000       6.000     02/01/34   540,358

Ascent Resources Utica Holdings LLC/ARU Finance Corp.(a)(b)

    873,000       6.625     10/15/32   878,404

Azule Energy Finance PLC(a)

    400,000       8.250     01/22/31   405,700
    448,000       8.625 (b)    01/22/33   457,632

Breakwater Energy Holdings SARL(a)(b)

    2,448,000       9.250     11/15/30   2,586,606

Chesapeake Energy Corp.(f)(g)

    195,000       0.000     10/01/24   0
    935,000       0.000     10/01/26   0

CNX Resources Corp.(a)(b)

    1,325,000       7.250     03/01/32   1,361,716

Comstock Resources, Inc.(a)(b)

    1,897,000       6.750     03/01/29   1,868,374
    3,209,000       6.750     03/01/29   3,154,736

CVR Energy, Inc.(a)(b)

    1,632,000       7.500     02/15/31   1,653,036
    2,002,000       7.875     02/15/34   2,033,251

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

Energean Israel Finance Ltd.(a)

$

    568,142       5.875   03/30/31   $      542,602

Guara Norte SARL

    468,213       5.198     06/15/34   448,888

Infinity Natural Resources LLC(a)(b)

    2,639,000       7.625     04/01/31   2,637,021

Kodiak Gas Services LLC(a)(b)

    2,132,000       6.750     10/01/35   2,148,288

Kosmos Energy Ltd.(a)

    499,000       7.750     05/01/27   499,259

Kraken Oil & Gas Partners LLC(a)(b)

    1,910,000       7.125     05/15/31   1,881,999

Long Ridge Energy LLC(a)(b)

    3,735,000       8.750     02/15/32   3,864,306

MM Mirage Bluewater II Ltd.(a)

    995,000       8.750     06/29/29   985,239

Moss Creek Resources Holdings, Inc.(a)(b)

    3,347,000       8.250     09/01/31   3,353,359

Nabors Industries, Inc.(a)(b)

    1,016,000       9.125     01/31/30   1,063,335
    258,000       8.875     08/15/31   265,647
    734,000       7.625     11/15/32   748,460

Northern Oil & Gas, Inc.(a)(b)

    1,656,000       7.875     10/15/33   1,657,159

Par Petroleum LLC(a)(b)

    1,391,000       7.375     06/01/34   1,439,435

Parex Resources, Inc.(a)(b)

    1,351,000       8.500     05/11/31   1,367,887

Petroleos Mexicanos

    310,000       6.840 (a)    01/23/30   314,914
    930,000       5.950 (a)    01/28/31   912,377
    4,057,000       6.750     09/21/47   3,328,566

Petroquimica Comodoro Rivadavia SA/Luz de Tres Picos SA(a)(b)

    285,000       8.500     07/28/34   282,045

Saudi Arabian Oil Co.(a)

    530,000       5.750     07/17/54   473,587

Seadrill Finance Ltd.(a)(b)

    1,699,000       6.750     07/15/34   1,628,810

SM Energy Co.(a)(b)

    1,386,000       9.625     06/15/33   1,524,558

Sonangol Finance Ltd.(a)

    332,000       10.000     01/29/31   337,823

Sunoco LP(a)(b)

    1,850,000       7.250     05/01/32   1,909,940
    3,683,000       6.250     07/01/33   3,691,802
    650,000       5.875     03/15/34   636,565
    154,000       5.625     07/15/34   149,023

(5 yr. CMT + 4.230%)

    5,700,000       7.875 (c)    09/18/30   5,843,241

TGNR Intermediate Holdings LLC(a)(b)

    4,152,000       5.500     10/15/29   4,068,130

Transocean International Ltd.

    1,517,000       8.250 (a)(b)    05/15/29   1,562,343
    525,000       8.750 (a)(b)    02/15/30   544,756
    1,600,000       8.500 (a)(b)    05/15/31   1,669,040

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Corporate Obligations – (continued)

Oil Field Services – (continued)

$

    2,764,000       6.800   03/15/38   $   2,587,242

Trident Energy Finance PLC(a)

    465,000       12.500     11/30/29   490,919

Uzbekneftegaz JSC

    460,000       8.750     05/07/30   491,202

Valaris Ltd.(a)(b)

    4,440,000       8.375     04/30/30   4,597,442

Var Energi ASA(a)(c) (5 yr. EURIBOR ICE Swap + 4.765%)

EUR

    1,679,000       7.862     11/15/83   2,091,030

Wintershall Dea Finance 2 BV(a)(c) (-1X 5 yr. EUR Swap + 3.319%)

    1,100,000       3.000     07/20/28   1,230,462

Yinson Boronia Production BV(a)

$

    657,682       8.947     07/31/42   723,319
       

 

  80,190,567

 

Packaging(a) – 0.8%

ARD Finance SA(b)(d) (PIK 5.750%, Cash 5.000%)

EUR

    1       5.000     06/30/27   0

Ardagh Group SA(b)(d)

(PIK 4.500%, Cash 7.500%)

    1,145,375       11.000     12/01/30   1,231,636

(PIK 6.500%, Cash 5.500%)

$

    2,583,260       11.000     12/01/30   2,392,073

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC(b)

EUR

    1,024,000       5.000     01/30/31   1,186,694

Ball Corp.

$

    2,769,000       2.875     08/15/30   2,508,105

Crown Americas LLC

    2,990,000       5.875     06/01/33   2,983,272

Fedrigoni SpA(b)

EUR

    969,000       6.125     06/15/31   1,110,988

(3 mo. EUR EURIBOR + 4.000%)

    250,000       6.291 (c)    01/15/30   288,910

Toucan FinCo Ltd./Toucan FinCo Can, Inc./Toucan FinCo U.S. LLC(b)

$

    2,887,000       9.500     05/15/30   2,608,347

Trident TPI Holdings, Inc.(b)

    1,295,000       12.750     12/31/28   1,269,657

Trivium Packaging Finance BV(b)

EUR

    1,506,000       6.625     07/15/30   1,804,564
       

 

  17,384,246

 

Pharmaceuticals – 1.3%

1261229 BC Ltd.(a)(b)

$

    5,487,000       10.000     04/15/32   5,608,537

Bausch Health Cos., Inc.(b)

    1,428,000       4.875 (a)    06/01/28   1,337,608
    1,042,000       11.000     09/30/28   1,066,018

Cheplapharm Arzneimittel GmbH(a)

EUR

    675,000       7.125 (b)    06/15/31   791,468
    2,114,000       7.125     06/15/31   2,478,762
    700,000       6.750 (b)    02/15/32   811,249

Dolcetto Holdco SpA(a)(b)

    1,498,000       5.625     07/14/32   1,734,000

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pharmaceuticals – (continued)

Endo Finance Holdings LP(a)(b)

$

    350,000       8.500   04/15/31   $      368,477

Grifols SA(a)(b)

EUR

    1,515,000       3.875     10/15/28   1,736,103

$

    1,898,000       4.750     10/15/28   1,852,619

EUR

    2,719,000       7.125     05/01/30   3,262,117

Nidda Healthcare Holding GmbH(a)(b)

    110,000       5.625     02/21/30   127,704
    2,623,000       5.375     10/23/30   3,020,961

(3 mo. EUR EURIBOR + 3.250%)

    810,000       5.533 (c)    10/15/32   934,350

Option Care Health, Inc.(a)(b)

$

    2,935,000       4.375     10/31/29   2,817,629

Prestige Brands, Inc.(a)(b)

    668,000       3.750     04/01/31   612,910

Teva Pharmaceutical Finance Netherlands III BV

    700,000       3.150     10/01/26   697,592
       

 

        29,258,104

 

Pipelines – 1.9%

Antero Midstream Partners LP/Antero Midstream Finance Corp.(a)(b)

    1,115,000       5.750     01/15/28   1,114,855
    1,850,000       5.375     06/15/29   1,844,357
    1,300,000       6.625     02/01/32   1,322,841

CNX Midstream Partners LP(a)(b)

    2,050,000       4.750     04/15/30   1,964,269

Delek Logistics Partners LP/Delek Logistics Finance Corp.(a)(b)

    3,331,000       7.375     06/30/33   3,409,112
    1,556,000       6.875     06/01/34   1,562,520

Genesis Energy LP/Genesis Energy Finance Corp.(a)

    625,000       7.875     05/15/32   645,194

ITT Holdings LLC(a)(b)

    3,458,000       6.500     08/01/29   3,420,654

NFE Brazil Financing Ltd.(b)(d)

    464,063       12.000     06/19/29   421,207

NFE Financing LLC(a)(b)(e)

    800,000       12.000     11/15/29   260,320

ONEOK, Inc.(a)

    71,000       5.600     04/01/44   64,520
    2,178,000       5.450     06/01/47   1,908,146

Summit Midstream Holdings LLC(a)(b)

    1,940,000       8.625     10/31/29   2,013,526

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.(a)(b)

    2,916,000       6.000     12/31/30   2,895,296

TransMontaigne Partners LLC(a)(b)

    1,237,000       8.500     06/15/30   1,263,212

Venture Global Calcasieu Pass LLC(a)(b)

    700,000       3.875     08/15/29   666,435
    750,000       4.125     08/15/31   695,617
    1,415,000       3.875     11/01/33   1,242,427

Venture Global LNG, Inc.(a)(b)

    200,000       9.500     02/01/29   214,374
    4,607,000       8.375     06/01/31   4,760,874
    1,250,000       9.875     02/01/32   1,331,050
    750,000       6.625     06/15/36   735,165

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Pipelines – (continued)

(5 yr. CMT + 5.440%)

$

    2,686,000       9.000 %(c)    09/30/29   $    2,668,057

Venture Global Plaquemines LNG LLC(a)(b)

    1,345,000       7.500     05/01/33   1,459,917
    800,000       6.500     01/15/34   825,736
    500,000       7.750     05/01/35   553,540
    1,450,000       6.750     01/15/36   1,518,077

Western Midstream Operating LP(a)

    3,006,000       5.250     02/01/50   2,498,437
       

 

        43,279,735

 

Real Estate – 0.7%

Adler Financing SARL(a)(d)

EUR

    26,919       8.250     12/31/28   35,148

Aldar Properties PJSC(a)(c) (5 yr. CMT + 2.042%)

$

    705,000       6.623     04/15/55   678,950

Binghatti Sukuk 2 SPV Ltd.

    520,000       7.750     07/02/29   463,674

CoreLogic, Inc.(a)(b)

    4,200,000       9.000     08/01/31   4,139,058

Kennedy-Wilson, Inc.(a)(b)

    815,000       7.000     06/01/31   830,289
    2,069,000       7.250     06/01/33   2,094,490

Neinor Homes SA(a)(b)

EUR

    543,000       5.875     02/15/30   646,342

Samhallsbyggnadsbolaget I Norden Holding AB(a)

    5,148,000       2.250     07/12/27   5,746,094

Via Celere Desarrollos Inmobiliarios SA(a)(b)

    1,086,000       4.875     04/15/31   1,224,569
       

 

        15,858,614

 

Real Estate Investment Trust(a) – 1.5%

Arbor Realty SR, Inc.(b)

$

    1,300,000       8.500     12/15/28   1,252,108
    1,385,000       7.875     07/15/30   1,259,976

Blackstone Mortgage Trust, Inc.(b)

    1,779,000       7.750     12/01/29   1,839,628

Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LLC(b)

    3,303,000       4.500     04/01/27   3,259,665

Diversified Healthcare Trust

    4,105,000       4.375     03/01/31   3,752,996

EF Holdco/EF Cayman Holdings/Ellington Financial REIT Cayman/TRS/EF Cayman Non-MTM(b)

    700,000       7.375     09/30/30   696,325

Iron Mountain, Inc.(b)

    1,000,000       4.875     09/15/27   997,200
    2,105,000       4.875     09/15/29   2,054,480
    1,280,000       4.500     02/15/31   1,212,877
    940,000       6.250     01/15/33   943,779

EUR

    850,000       4.750     01/15/34   953,399

MPT Operating Partnership LP/MPT Finance Corp.

$

    1,705,000       5.000     10/15/27   1,653,850
    775,000       8.500 (b)    02/15/32   787,873

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Real Estate Investment Trust(a) – (continued)

Rithm Capital Corp.(b)

$

    1,239,000       8.000   04/01/29   $    1,246,892

RLJ Lodging Trust LP(b)

    1,339,000       4.000     09/15/29   1,276,321

Service Properties Trust

    350,000       3.950     01/15/28   339,350
    1,185,000       4.375     02/15/30   1,071,998

Trust 2401

    690,000       7.375     02/13/34   727,260

Trust Fibra Uno

    272,000       6.390     01/15/50   241,996

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC(b)

    1,110,000       6.000     01/15/30   1,061,204

Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC(b)

    2,844,000       6.500     02/15/29   2,805,777
    2,695,000       8.625     06/15/32   2,752,269
       

 

        32,187,223

 

Retailing – 1.7%

 

   

1011778 BC ULC/New Red Finance, Inc.(a)(b)

    1,175,000       4.375     01/15/28   1,159,784
    1,501,000       5.625     09/15/29   1,498,478

Academy Ltd.(a)(b)

    525,000       5.875     05/15/31   519,409

Advance Auto Parts, Inc.(a)(b)

    2,499,000       7.375     08/01/33   2,578,893

Asbury Automotive Group, Inc.(a)

    3,027,000       4.500     03/01/28   2,994,187
    678,000       4.625 (b)    11/15/29   658,724

Bath & Body Works, Inc.

    2,560,000       6.875     11/01/35   2,587,674
    485,000       6.750     07/01/36   479,272

Boots Group Finco LP(a)(b)

EUR

    2,571,000       5.375     08/31/32   3,024,962

Carvana Co.(a)(b)(d)

$

    1,000,000       9.000     06/01/31   1,100,440

(PIK 13.000%, Cash 11.000%)

    461,000       9.000     06/01/30   475,678

CD&R Firefly Bidco PLC(a)(b)

GBP

    697,000       8.625     04/30/29   968,738

Cougar JV Subsidiary LLC(a)(b)

$

    1,936,000       8.000     05/15/32   2,025,540

Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.(a)(b)

    1,700,000       4.625     01/15/29   1,651,057
    1,732,000       6.750     01/15/30   1,700,807

Gap, Inc.(a)(b)

    1,014,000       3.625     10/01/29   954,012

Goldstory SAS(a)(b)

EUR

    550,000       6.750     02/01/30   646,562

LBM Acquisition LLC(a)(b)

$

    916,000       6.250     01/15/29   590,399
    2,685,000       9.500     06/15/31   2,266,059

LCM Investments Holdings II LLC(a)(b)

    2,564,000       4.875     05/01/29   2,503,310

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Retailing – (continued)

Michaels Cos., Inc.(a)(b)

$

    2,057,000       8.500   03/15/33   $    2,038,878

Neiman Marcus Group Ltd. LLC(f)(g)

    605,000       0.000     10/15/21   0

Papa John’s International, Inc.(a)(b)

    404,000       3.875     09/15/29   380,289

PetSmart LLC/PetSmart Finance Corp.(a)(b)

    250,000       7.500     09/15/32   252,870

QXO Building Products, Inc.(a)(b)

    375,000       6.750     04/30/32   383,044
    1,625,000       6.875     07/15/34   1,627,828

Rite Aid Corp.(g)(f)

    34,147       0.000     08/30/34   0

Specialty Building Products Holdings LLC/SBP Finance Corp.(a)(b)

    1,010,000       7.750     10/15/29   959,439

Victoria’s Secret & Co.(a)(b)

    2,177,000       4.625     07/15/29   2,114,498

Yum! Brands, Inc.

    650,000       6.875     11/15/37   688,630
       

 

        38,829,461

 

Semiconductors(a)(b) – 0.4%

 

   

ams-OSRAM AG

EUR

    1,910,000       7.250     05/31/32   2,224,695

BE Semiconductor Industries NV

    1,240,000       4.500     07/15/31   1,469,986

Entegris, Inc.

$

    673,000       4.750     04/15/29   662,474
    345,000       3.625     05/01/29   327,633

MKS, Inc.

EUR

    725,000       4.250     02/15/34   809,055

ON Semiconductor Corp.

$

    1,116,000       3.875     09/01/28   1,076,661

Synaptics, Inc.

    2,241,000       4.000     06/15/29   2,200,102
       

 

        8,770,606

 

Software – 1.6%

Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc.(a)(b)

    1,708,000       8.000     06/15/29   899,672

Cloud Software Group LLC(a)(b)

    5,445,000       6.500     03/31/29   5,325,754
    7,069,000       9.000     09/30/29   6,930,165
    2,720,000       8.250     06/30/32   2,574,562

CoreWeave, Inc.(a)(b)

    2,820,000       9.250     06/01/30   2,645,611
    1,525,000       9.000     02/01/31   1,379,439
    1,603,000       9.750     10/01/31   1,455,123

Elastic NV(a)(b)

    2,249,000       4.125     07/15/29   2,142,982

Mavenir PLC(f)

    140,794       0.000     06/30/26   320,870

OAK-Eagle Acquireco, Inc.(a)(b)

    750,000       7.250     07/01/33   777,600

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Software – (continued)

$

    750,000       8.750   07/01/34   $      789,360

Pagaya U.S. Holdings Co. LLC(a)(b)

    1,461,000       8.875     08/01/30   1,303,168

PTC, Inc.(a)(b)

    1,467,000       4.000     02/15/28   1,434,007

Rocket Software, Inc.(a)(b)

    2,528,000       9.000     11/28/28   2,501,962

SS&C Technologies, Inc.(a)(b)

    3,130,000       6.500     06/01/32   3,157,982

TeamSystem SpA(a)(b)

EUR

    1,247,000       5.000     07/01/31   1,384,054
       

 

        35,022,311

 

Telecommunication Services – 3.3%

Africell Holding Ltd.(a)

$

    515,000       10.500     10/23/29   529,734

Altice France SA(a)(b)

EUR

    413,202       7.250     11/01/29   479,833
    1,964,626       4.750     10/15/30   2,201,304

$

    3,077,589       6.875     10/15/30   3,004,435
    1,765,433       6.875     07/15/32   1,714,200

APLD ComputeCo 2 LLC(a)(b)

    1,748,000       6.750     03/15/31   1,709,299

APLD ComputeCo 3 LLC(a)(b)

    1,893,000       7.000     06/15/31   1,847,852

APLD ComputeCo LLC(a)(b)

    3,781,000       9.250     12/15/30   4,018,863

C&W Senior Finance Ltd.(a)

    1,040,000       9.000 (b)    01/15/33   1,053,470
    950,000       9.000     01/15/33   962,304

Connect Finco SARL/Connect U.S. Finco LLC(a)(b)

    1,330,000       9.000     09/15/29   1,396,314

Core Scientific Finance I LLC(a)(b)

    4,579,000       7.750     05/15/31   4,485,772

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

    3,207,000       8.625 (b)    08/01/32   3,301,206
    1,218,000       8.625     08/01/32   1,253,779

ELK Grove Village Property LLC(a)(b)

    984,000       7.500     06/15/31   946,933

Eutelsat Communications SACA(a)(b)

EUR

    950,000       6.250     03/15/33   1,121,970

Flash Compute LLC(a)(b)

$

    1,931,000       7.250     12/31/30   1,950,503

Galaxy Helios Data Centers II LLC(a)(b)

    1,500,000       9.875     08/01/31   1,506,540

Iliad Holding SAS(a)(b)

EUR

    500,000       5.625     10/15/28   578,495

$

    1,540,000       7.000     10/15/28   1,543,973

Level 3 Financing, Inc.(a)(b)

    2,812,000       7.000     03/31/34   2,862,250
    600,000       8.500     01/15/36   623,892
    1,000,000       7.500     02/15/37   992,790

Liberty Costa Rica Senior Secured Finance(a)

    419,000       10.875     01/15/31   435,542

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Telecommunication Services – (continued)

Lumen Technologies, Inc.

$

    700,000       7.600   09/15/39   $      648,620

Meridian Arc Holdco LLC(a)(b)

    4,152,000       6.250     04/30/31   3,991,110

Odido Group Holding BV(a)(b)

EUR

    1,315,000       5.500     01/15/30   1,513,086

Odido Holding BV(a)(b)

    1,250,000       3.750     01/15/29   1,435,080

QTS Fayetteville I Dc1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC(a)(b)

$

    1,510,000       5.700     04/15/36   1,380,684

Road Michigan Property Owner I LLC(a)(b)

    2,681,000       7.500     03/30/45   2,589,846

SES SA(a)(c) (5 yr. EURIBOR ICE Swap + 3.586%)

EUR

    847,000       6.000     09/12/54   961,374

SoftBank Group Corp.(a)

$

    4,827,000       7.250     07/10/32   4,586,471

EUR

    1,546,000       6.375     07/10/33   1,745,973

(5 yr. EURIBOR ICE Swap + 4.460%)

    2,379,000       6.500 (c)    10/29/62   2,441,356

Telecom Argentina SA(a)

$

    317,000       9.500     07/18/31   343,145
    643,000       8.500 (b)    01/20/36   670,745
    66,336       8.500     01/20/36   69,198

Telecommunications Co. Telekom Srbija AD Belgrade(a)(b)

    494,000       7.250     05/18/31   487,825

Total Play Telecomunicaciones SA de CV(a)

    295,000       11.125     12/31/32   288,693

Turk Telekomunikasyon AS

    360,000       6.950     10/07/32   354,632

Turkcell Iletisim Hizmetleri AS(a)

    204,000       7.650     01/24/32   209,581

Veon Midco BV(a)(b)

    1,218,000       6.950     06/01/31   1,208,110

Vmed O2 U.K. Financing I PLC(a)(b)

GBP

    400,000       4.000     01/31/29   487,039

$

    1,415,000       4.250     01/31/31   1,116,223

GBP

    400,000       4.500     07/15/31   441,065

$

    700,000       4.750     07/15/31   552,874
    1,881,000       7.750     04/15/32   1,581,056

Windstream Services LLC/Windstream Escrow Finance Corp.(a)(b)

    1,000,000       8.250     10/01/31   1,039,250

Zayo Group Holdings, Inc.(a)(b)(d) (PIK 5.750%, Cash 3.500%)

    2,060,264       9.250     03/09/30   2,060,573
       

 

        72,724,862

 

Telecommunications(a) – 0.0%

 

   

Telefonica Moviles Chile SA

    999,000       3.537     11/18/31   787,961

 

Toys/Games/Hobbies(a)(b) – 0.0%

 

   

Asmodee Group AB

EUR

    875,000       4.250     12/15/31   1,008,653

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Corporate Obligations – (continued)

Transportation(a)(b) – 0.2%

First Student Bidco, Inc./First Transit Parent, Inc.

$

    1,695,000       4.000   07/31/29   $    1,627,319

Yinson Bergenia Production BV

    3,106,067       8.498     01/31/45   3,321,550
       

 

        4,948,869

 

Water(a)(b) – 0.1%

Aegea Finance SARL

    2,921,000       9.000     01/20/31   2,836,583

 

TOTAL CORPORATE OBLIGATIONS
(Cost $1,226,403,168)
  $1,204,988,814

 

       
Bank Loans(h) – 30.0%

Aerospace & Defense – 1.1%

Air Comm Corp. LLC

(3 mo. USD Term SOFR + 2.500%)

$

    261,783       6.196   12/11/31   $      261,621

BCPE Lightning Buyer, Inc.

    1,500,000       0.000 (i)    07/23/33   1,498,125

Bleriot U.S. Bidco, Inc.

(3 mo. USD Term SOFR + 2.250%)

    880,608       5.982     10/31/30   881,321

Cobham Ultra SeniorCo SARL

(6 mo. USD Term SOFR + 3.750%)

    1,203,449       7.791     08/03/29   1,207,457

Kaman Corp.

(3 mo. USD Term SOFR + 2.000%)

    3,766,198       5.671     02/26/32   3,762,845
    208,894       0.000 (i)    02/26/32   208,578

Karman Holdings LLC

(3 mo. USD Term SOFR + 2.750%)

    4,514,967       6.482     04/01/32   4,528,512

Karman Holdings, Inc.

(3 mo. USD Term SOFR + 2.250%)

    700,000       6.061 (i)    04/01/32   702,100

Propulsion (BC) Finco SARL

(3 mo. USD Term SOFR + 2.500%)

    1,251,862       6.232     12/01/32   1,256,419

TransDigm, Inc.

(1 mo. USD Term SOFR + 2.250%)

    1,742,921       5.981     03/22/30   1,743,182

(1 mo. USD Term SOFR + 2.500%)

    1,763,829       6.231     01/19/32   1,765,910
    7,077,098       6.231     08/19/32   7,086,864
    188,662       6.231     02/13/33   188,842
       

 

        25,091,776

 

Airlines – 0.1%

American Airlines, Inc.

(3 mo. USD Term SOFR + 2.250%)

    662,071       5.979     04/20/28   661,713

Spirit Airlines, Inc.(f)

    1,073,898       0.000 (i)    07/14/26   268,474

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Bank Loans(h) – (continued)

Airlines – (continued)

$

    327,380       0.000 %(e)(i)    09/30/26   $        3,274

(1 mo. USD Term SOFR + 8.000%)

    331,267       11.659     09/30/26   298,141
       

 

        1,231,602

 

Apparel – 0.1%

Beach Acquisition Bidco LLC

(1 mo. USD Term SOFR + 2.750%)

    1,645,875       6.481     09/12/32   1,650,681

Varsity Brands, Inc.

(3 mo. USD Term SOFR + 2.750%)

    690,000       6.484     08/26/31   689,890
       

 

        2,340,571

 

Auto Parts & Equipment – 0.2%

Clarios Global LP

(1 mo. USD Term SOFR + 2.500%)

    3,542,037       6.231     05/06/30   3,545,579
    776,622       6.231     01/28/32   777,592

Tenneco, Inc.

(3 mo. USD Term SOFR + 4.750%)

    964,929       8.492     11/17/28   962,951
       

 

        5,286,122

 

Banks – 0.2%

Ascensus Group Holdings, Inc.

(1 mo. USD Term SOFR + 3.000%)

    1,997,500       6.731     11/25/32   1,953,814

(3 mo. USD Term SOFR + 5.250%)

    2,670,000       8.982     11/25/33   2,683,350

Chrysaor Bidco SARL

(3 mo. USD Term SOFR + 3.000%)

    504,820       6.763     10/30/31   506,335
       

 

        5,143,499

 

Beverages – 0.2%

Naked Juice LLC

(3 mo. USD Term SOFR + 5.500%)

    2,000,000       9.232     01/24/29   2,030,320

Primo Brands Corp.

(3 mo. USD Term SOFR + 2.750%)

    1,386,525       6.482     03/31/31   1,391,392

Vital Bidco AB

    915,000       0.000 (i)    07/22/33   906,234
       

 

        4,327,946

 

Biotechnology – 0.5%

BioMarin Pharmaceutical, Inc.

(6 mo. USD Term SOFR + 1.750%)

    6,250,000       5.428     04/27/33   6,241,438

Genmab AS

(3 mo. USD Term SOFR + 2.000%)

    3,923,865       5.732     12/13/32   3,919,392

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Biotechnology – (continued)

Grifols Worldwide Operations USA, Inc.

(6 mo. USD Term SOFR + 2.500%)

$

    1,559,024       6.187   04/14/33   $    1,561,627
       

 

        11,722,457

 

Building Materials – 0.9%

Chamberlain Group, Inc.

(1 mo. USD Term SOFR + 3.000%)

    6,272,995       6.481     09/08/32   6,276,633

CP Atlas Buyer, Inc.

(1 mo. USD Term SOFR + 5.250%)

    824,758       8.981     07/08/30   713,936

EMRLD Borrower LP

(3 mo. USD Term SOFR + 2.250%)

    2,493,703       5.916     05/31/30   2,492,556
    1,187,278       6.073     08/04/31   1,186,886

Icebox Holdco III, Inc.

(3 mo. USD Term SOFR + 3.250%)

    2,383,695       6.982     12/22/31   2,393,087

(3 mo. USD Term SOFR + 6.500%)

    1,750,000       10.232     12/22/32   1,760,937

Jeld-Wen, Inc.

(1 mo. USD Term SOFR + 2.000%)

    1,178,801       5.845     07/28/28   988,719

Quikrete Holdings, Inc.

    398,987       0.000 (i)    04/14/31   399,091

(1 mo. USD Term SOFR + 2.250%)

    1,068,214       5.981     03/19/29   1,069,592
    987,500       5.981     02/10/32   987,855

Wilsonart LLC

(3 mo. USD Term SOFR + 4.250%)

    878,721       7.982     08/05/31   794,285
       

 

        19,063,577

 

Chemicals – 0.6%

Aruba Investments Holdings LLC

(3 mo. USD Term SOFR + 7.750%)

    175,344       11.516     11/24/28   131,508

Bond U.S. Bidco 1, Inc.

    735,000       0.000 (i)    06/29/33   737,889

Flexsys Holdings, Inc.

(6 mo. USD Term SOFR + 5.250%)

    1,713,519       9.341     08/01/29   171,352

(6 mo. USD Term SOFR + 6.250%)

    1,682,058       9.913     08/01/29   965,787

Ineos U.S. Finance LLC

(1 mo. USD Term SOFR + 3.250%)

    916,187       6.981     02/18/30   866,374

Lonza Group AG

(3 mo. USD Term SOFR + 3.925%)

    720,095       7.757     07/03/28   683,868

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Chemicals – (continued)

Nouryon Finance BV

(1 mo. USD Term SOFR + 3.500%) – (3 mo. USD Term SOFR + 3.500%)

$

    5,063,434       7.167–7.230   07/08/31   $    5,060,295

Paint Intermediate III LLC

(3 mo. USD Term SOFR + 3.000%)

    713,186       6.653     10/09/31   713,314

SCIH Salt Holdings, Inc.

(6 mo. USD Term SOFR + 2.750%)

    1,808,047       6.350     01/31/29   1,796,746

Tronox Finance LLC

(3 mo. USD Term SOFR + 2.250%)

    503,369       5.982     04/04/29   403,113

(1 mo. USD Term SOFR + 2.500%) – (3 mo. USD Term SOFR + 2.500%)

    1,599,304       6.231–6.232     09/30/31   1,224,043

USALCO LLC

(1 mo. USD Term SOFR + 3.500%)

    1,208,769       7.231     09/30/31   1,208,551
       

 

        13,962,840

 

Commercial Services – 2.9%

AlixPartners LLP

(1 mo. USD Term SOFR + 2.000%)

    2,326,322       5.731     08/12/32   2,317,598

Allied Universal Holdco LLC

(1 mo. USD Term SOFR + 3.250%)

    8,321,541       6.981     08/20/32   8,342,927

Amspec Parent LLC

(3 mo. USD Term SOFR + 3.000%)

    903,631       6.732     12/22/31   904,480

Anticimex International AB

(3 mo. USD Term SOFR + 2.900%)

    1,973,646       6.410     11/17/31   1,977,515

APi Group DE, Inc.

(1 mo. USD Term SOFR + 1.750%)

    3,192,000       5.481     05/16/33   3,196,916

Armorica Lux SARL

(3 mo. EUR EURIBOR + 5.000%)

EUR

    1,300,000       7.459     07/28/31   1,450,374

Belfor Holdings, Inc.

(1 mo. USD Term SOFR + 2.750%)

$

    1,488,398       6.481     11/01/30   1,489,633

Belron Finance 2019 LLC

(3 mo. USD Term SOFR + 2.000%)

    7,233,742       5.657     10/16/31   7,220,214

Boluda Towage SL

(3 mo. USD Term SOFR + 2.500%)

    684,875       6.232     06/30/33   687,875

Creative Artists Agency LLC

(1 mo. USD Term SOFR + 2.500%)

    1,383,530       6.231     10/01/31   1,381,635

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Commercial Services – (continued)

DTI Holdco, Inc.

(1 mo. USD Term SOFR + 4.000%)

$

    1,056,013       7.731   04/26/29   $      992,652

Eagle Parent Corp.

(3 mo. USD Term SOFR + 4.250%)

    1,144,614       7.982     04/02/29   1,151,058

Ensemble RCM LLC

(3 mo. USD Term SOFR + 3.000%)

    1,135,000       6.823     02/09/33   1,129,938

Fugue Finance BV

(3 mo. USD Term SOFR + 2.250%)

    1,972,257       5.916     01/09/32   1,966,833

Garda World Security Corp.

(3 mo. USD Term SOFR + 2.750%)

    2,488,433       6.513     02/01/29   2,484,700

Grant Thornton Advisors LLC

(1 mo. USD Term SOFR + 2.750%)

    920,572       6.481     06/02/31   865,430

Lernen Bidco Ltd.

(6 mo. USD Term SOFR + 3.500%)

    1,093,903       7.010     10/27/31   1,061,086

Mavis Tire Express Services Corp.

(6 mo. USD Term SOFR + 3.000%)

    5,559,064       6.669     05/04/28   5,545,167

(6 mo. USD Term SOFR + 3.250%)

    500,000       6.920     05/06/33   498,750

Mister Car Wash Holdings, Inc.

    250,000       0.000 (i)    03/27/31   250,572

(1 mo. USD Term SOFR + 3.000%)

    730,000       6.731     03/27/31   732,840

OMNIA Partners LLC

(3 mo. USD Term SOFR + 2.750%)

    814,115       6.418     12/31/32   815,019

Parexel International Corp.

(1 mo. USD Term SOFR + 2.500%)

    1,283,673       6.231     12/12/31   1,285,547

PG Investment Co. 59 SARL

(3 mo. USD Term SOFR + 2.000%)

    3,521,087       5.732     03/26/31   3,515,594

Pye-Barker Fire & Safety LLC

(3 mo. USD Term SOFR + 2.500%)

    1,603,365       6.232     12/16/32   1,607,960

Raven Acquisition Holdings LLC

(1 mo. USD Term SOFR + 3.000%)

    1,018,587       6.731     11/19/31   1,012,058

Shift4 Payments LLC

(3 mo. USD Term SOFR + 2.000%)

    1,246,875       5.732     07/03/32   1,244,543

Spring Education Group, Inc.

(3 mo. USD Term SOFR + 3.250%)

    714,536       6.982     10/04/30   712,485

United Talent Agency LLC

(1 mo. USD Term SOFR + 2.500%)

    636,824       6.168     06/10/32   637,423

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Commercial Services – (continued)

Wand NewCo 3, Inc.

(1 mo. USD Term SOFR + 2.500%)

$

    5,148,509       6.231   01/30/31   $    5,159,424

Wash Multifamily Parent, Inc.

(1 mo. USD Term SOFR + 3.000%)

    1,104,282       6.731     09/10/32   1,110,036

XPLOR T1 LLC

(3 mo. USD Term SOFR + 3.250%)

    1,428,877       6.907     12/01/32   1,325,283
       

 

        64,073,565

 

Computers – 0.2%

Ivanti Software, Inc.

(3 mo. USD Term SOFR + 5.750%)

    1,011,932       9.414     06/01/29   984,742

McAfee LLC

(1 mo. USD Term SOFR + 3.000%)

    477,882       6.731     03/01/29   430,949

Surf Holdings LLC

(1 mo. USD Term SOFR + 3.500%)

    580,000       7.345 (i)    03/05/27   546,029

Tempo Acquisition LLC

(1 mo. USD Term SOFR + 1.750%)

    2,737,158       5.481     08/31/28   2,336,164

Verifone Systems, Inc.

(3 mo. USD Term SOFR + 5.500%)

    536,655       9.584     08/18/28   507,585
       

 

        4,805,469

 

Containers & Packaging – 0.4%

Albea Beauty Holdings SA

(6 mo. EUR EURIBOR + 5.000%)

EUR

    1,000,000       7.504     12/31/27   1,036,393

Brook & Whittle Holding Corp.

(3 mo. USD Term SOFR + 4.500%)

$

    1,144,723       8.293     12/14/30   513,694

Charter NEX U.S., Inc.

(1 mo. USD Term SOFR + 2.500%)

    422,151       6.167     11/29/30   422,523

LABL, Inc.

(3 mo. USD Term SOFR + 2.375%)

    959,984       6.023     05/11/33   800,387

Pregis TopCo Corp.

(1 mo. USD Term SOFR + 3.750%)

    988,562       7.481     02/01/29   991,567

Pretium PKG Holdings, Inc.

(3 mo. USD Term SOFR + 5.750%)

    1,955,812       9.484     03/01/32   1,607,677

(3 mo. USD Term SOFR + 5.250%)

    171,915       8.984     03/02/31   169,508

Proampac PG Borrower LLC

(3 mo. USD Term SOFR + 4.000%)

    2,518,194       7.666–7.823     03/07/33   2,460,477

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Containers & Packaging – (continued)

Sword Purchaser LLC

(1 mo. USD Term SOFR + 4.000%)

$

    1,375,000       7.731   04/11/33   $    1,322,214

Trident TPI Holdings, Inc.

(3 mo. USD Term SOFR + 3.750%)

    608,739       7.482     09/15/28   570,279
       

 

        9,894,719

 

Cosmetics & Personal Care – 0.1%

ACP Tara Holdings, Inc.

(3 mo. USD Term SOFR + 2.500%)

    1,178,713       6.232     12/15/32   1,179,007

Opal Bidco SAS

(3 mo. USD Term SOFR + 2.500%)

    1,121,799       6.232     04/28/32   1,123,404

Prestige Brands, Inc.

(12 mo. USD Term SOFR + 2.200%)

    900,000       5.731 (i)    06/13/33   902,250
       

 

        3,204,661

 

Distribution & Wholesale – 0.7%

ADI Global Distribution Funding LLC

(12 mo. USD Term SOFR + 2.275%)

    890,000       6.456 (i)    06/17/33   889,448

BCPE Empire Holdings, Inc.

(1 mo. USD Term SOFR + 3.250%)

    2,886,741       6.981     12/11/30   2,847,943

(1 mo. USD Term SOFR + 3.500%)

    1,022,437       7.231     12/29/32   1,009,657

Fluid-Flow Products, Inc.

(1 mo. USD Term SOFR + 3.250%)

    5,254,610       6.981     03/04/33   5,275,944

Openlane, Inc.

(3 mo. USD Term SOFR + 2.500%)

    766,150       6.148     10/08/32   768,065

Resideo Funding, Inc.

(3 mo. USD Term SOFR + 2.000%)

    521,063       5.671     08/13/32   521,063

VSE Corp.

(1 mo. USD Term SOFR + 2.000%)

    5,250,000       5.731     05/05/33   5,276,250
       

 

        16,588,370

 

Diversified Financial Services – 0.6%

Avolon TLB Borrower 1 (U.S.) LLC

(1 mo. USD Term SOFR + 1.750%)

    484,905       5.420     06/24/30   485,211

CFC Bidco 2022 Ltd.

(3 mo. USD Term SOFR + 3.500%)

    1,277,914       7.234     07/01/32   1,219,347

Chicago U.S. Midco III LP

(1 mo. USD Term SOFR + 2.500%)

    729,551       6.231     11/01/32   728,033

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Diversified Financial Services – (continued)

Edelman Financial Center LLC

(1 mo. USD Term SOFR + 4.000%)

$

    2,175,000       7.731   12/01/31   $    2,181,656

Focus Financial Partners LLC

(1 mo. USD Term SOFR + 2.500%)

    832,809       6.231     09/15/31   821,208

GEN II Fund Services LLC

(3 mo. USD Term SOFR + 2.750%)

    475,620       6.482     11/26/31   476,014

HighTower Holdings LLC

(3 mo. USD Term SOFR + 2.750%)

    1,335,666       6.408     02/03/32   1,328,987

Jupiter Borrower, Inc.

(3 mo. USD Term SOFR + 2.750%)

    497,558       6.482     06/30/33   500,046

Mariner Wealth Advisors LLC

(3 mo. USD Term SOFR + 2.250%)

    914,222       5.982     12/31/30   914,899

Meilleurtaux

EUR

    1,000,000       0.000 (i)    07/03/31   1,140,465

OID-OL Intermediate I LLC

(3 mo. USD Term SOFR + 6.000%)

$

    304,014       9.823     02/01/29   293,246

(3 mo. USD Term SOFR + 4.250%)

    4,116,688       8.223     02/01/29   2,347,994

Orion U.S. Finco, Inc.

(3 mo. USD Term SOFR + 3.250%)

    778,050       7.013     10/08/32   780,213

Speed Midco 3 SARL

    1,038,364       0.000 (i)    10/07/32   1,038,364
       

 

        14,255,683

 

Electric – 1.0%

Alpha Generation LLC

(1 mo. USD Term SOFR + 1.750%)

    1,222,365       5.481     09/30/31   1,215,899

Calpine Construction Finance Co. LP

(1 mo. USD Term SOFR + 1.750%)

    1,200,000       5.481     07/31/30   1,199,556

Carroll County Energy LLC

(3 mo. USD Term SOFR + 2.750%)

    653,554       6.482     06/30/31   654,913

Cogentrix Finance Holdco I LLC

(1 mo. USD Term SOFR + 2.250%)

    956,748       5.981     02/26/32   956,920

CPV Fairview LLC

(3 mo. USD Term SOFR + 2.500%)

    841,811       6.232     08/14/31   841,786

CPV Three Rivers LLC

(3 mo. USD Term SOFR + 2.750%)

    990,787       6.482     04/15/33   991,203

Hamilton Projects Acquiror LLC

(1 mo. USD Term SOFR + 2.500%)

    944,355       6.231     05/30/31   945,535

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Electric – (continued)

Indeck Niles LLC

(3 mo. USD Term SOFR + 2.750%)

$

    902,494       6.482   03/09/33   $      902,494

Lackawanna Energy Center LLC

(1 mo. USD Term SOFR + 2.750%)

    1,067,044       6.425     08/05/32   1,067,716

NRG Energy, Inc.

(1 mo. USD Term SOFR + 1.750%)

    7,319,694       5.481     04/28/33   7,303,664

Pathfinder Power LLC

    1,750,000       0.000 (i)    06/22/33   1,745,625

Potomac Energy Center LLC

(3 mo. USD Term SOFR + 2.750%)

    1,090,178       6.573     08/05/32   1,088,816

South Field LLC

(3 mo. USD Term SOFR + 3.000%)

    991,350       6.732     08/29/31   995,067

Talen Energy Supply LLC

(3 mo. USD Term SOFR + 1.750%)

    1,496,202       5.479     12/15/31   1,489,664
    125,419       5.479     11/25/32   124,426

(3 mo. USD Term SOFR + 2.000%)

    161,340       5.823     11/26/32   159,323
       

 

        21,682,607

 

Electrical Components & Equipment(f) – 0.2%

Belden, Inc.

(1 mo. USD Term SOFR + 2.250%)

    3,800,000       5.981     07/01/33   3,814,250

 

Electronics – 0.2%

Lsf12 Crown U.S. Commercial Bidco LLC

(1 mo. USD Term SOFR + 2.500%)

    718,232       6.243     12/02/31   718,979

Pinnacle Buyer LLC

(3 mo. USD Term SOFR + 2.500%)

    1,406,994       6.234     10/01/32   1,411,876

Resilience Parent LLC

(3 mo. USD Term SOFR + 2.500%)

    1,997,849       6.232     02/28/33   1,993,693

Skyshield U.S. Bidco Ltd.

    1,325,000       0.000 (i)    06/30/33   1,324,179
       

 

        5,448,727

 

Energy-Alternate Sources – 0.2%

Bayonne Energy Center LLC

(3 mo. USD Term SOFR + 3.000%)

    856,060       6.732     10/01/32   858,791

Enviva Partners LP/Enviva Partners Finance Corp.

(3 mo. USD Term SOFR + 6.875%)

    1,662,836       10.524     12/06/29   1,675,308

Esdec Solar Group BV

(3 mo. USD Term SOFR + 5.000%)

    138,952       8.732     08/30/28   81,981

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Energy-Alternate Sources – (continued)

Jackson Generation LLC

(3 mo. USD Term SOFR + 2.500%)

$

    730,000       6.230   07/08/33   $      729,088
       

 

        3,345,168

 

Engineering & Construction – 0.8%

Artera Services LLC

(1 mo. USD Term SOFR + 4.500%)

    467,845       8.231     02/15/31   412,204

Asplundh Tree Expert LLC

(1 mo. USD Term SOFR + 1.750%)

    1,426,991       5.481     05/30/33   1,424,693

Azuria Water Solutions, Inc.

(3 mo. USD Term SOFR + 2.750%)

    702,059       6.482     04/25/33   699,075

Blackfin Pipeline LLC

(1 mo. USD Term SOFR + 3.000%)

    1,098,300       6.750     09/29/32   1,098,992

Brown Group Holding LLC

(1 mo. USD Term SOFR + 2.500%)–(3 mo. USD Term SOFR + 2.500%)

    3,981,228       6.166–6.231     07/01/31   3,989,350

(1 mo. USD Term SOFR + 2.500%)

    2,515,844       6.231     07/01/31   2,521,605

Construction Partners, Inc.

    552,250       0.000 (i)    11/03/31   552,250

DG Investment Intermediate Holdings 2, Inc.

(1 mo. USD Term SOFR + 3.250%)

    246,880       6.731     07/09/32   247,188

(1 mo. USD Term SOFR + 5.500%)

    2,000,000       9.231     07/29/33   2,020,000

Green Infrastructure Partners, Inc.

(3 mo. USD Term SOFR + 2.750%)

    939,015       6.482     09/24/32   939,015

Holding Socotec

(3 mo. USD Term SOFR + 2.750%)

    534,154       6.370     06/02/31   534,657

KKR Apple Bidco LLC

(1 mo. USD Term SOFR + 2.500%)

    873,411       6.231     09/23/31   875,342

Modern Aviation Fbo Holdings LLC

(3 mo. USD Term SOFR + 3.000%)

    2,000,000       6.732     06/30/33   2,002,500

Trilon Group LLC

(3 mo. USD Term SOFR + 3.500%)

    60,073       7.323     06/13/33   60,028
    1,156,921       7.253     06/13/33   1,155,474
       

 

        18,532,373

 

Entertainment – 1.0%

Betclic Everest Group SAS

    775,000       0.000 (i)    12/10/31   776,612

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Entertainment – (continued)

Caesars Entertainment, Inc.

(1 mo. USD Term SOFR + 2.250%)

$

    807,498       5.981   02/06/31   $      767,794

Delta 2 Lux SARL

(3 mo. USD Term SOFR + 1.750%)

    1,195,000       5.482     09/30/31   1,194,749

East Valley Tourist Development Authority

(1 mo. USD Term SOFR + 7.500%)

    916,976       11.345 (f)    11/23/26   914,225

ECL Entertainment LLC

(1 mo. USD Term SOFR + 3.000%)

    1,076,598       6.731     08/30/30   1,077,944

EOC Borrower LLC

(1 mo. USD Term SOFR + 3.750%)

    190,475       7.481     03/24/28   190,058

Herschend Entertainment Co. LLC

(1 mo. USD Term SOFR + 2.500%)

    1,229,774       6.231     05/27/32   1,232,848

Ontario Gaming GTA LP

(3 mo. USD Term SOFR + 4.250%)

    756,643       7.982     08/01/30   723,350

OVG Business Services LLC

(1 mo. USD Term SOFR + 3.000%)

    1,664,624       6.731     06/25/31   1,668,086

Pioneer Opco LLC

(1 mo. USD Term SOFR + 3.250%)

    4,130,000       6.999     05/16/33   4,152,137

Route 66 Development Authority

(1 mo. USD Term SOFR + 9.000%)

    2,000,000       12.731 (f)    01/24/31   2,040,000

TKO Worldwide Holdings LLC

(3 mo. USD Term SOFR + 1.750%)

    8,484,606       5.413     11/21/31   8,465,855
       

 

        23,203,658

 

Environmental – 0.4%

EnergySolutions Holdco, Inc.

    964,444       0.000 (i)    07/23/33   965,650

Filtration Group Corp.

(1 mo. USD Term SOFR + 2.500%)

    1,659,288       6.231     10/21/28   1,659,886

GFL Environmental, Inc.

(3 mo. USD Term SOFR + 2.500%)

    1,319,171       6.156     03/03/32   1,319,725

Heritage Environmental Services, Inc.

(3 mo. USD Term SOFR + 3.000%)

    1,325,000       6.823     04/01/33   1,329,969

Madison IAQ LLC

(6 mo. USD Term SOFR + 1.750%)

    1,616,136       5.470     05/06/32   1,613,857

WIN Waste Innovations Holdings, Inc.

(1 mo. USD Term SOFR + 2.750%)

    1,844,090       6.595     03/24/28   1,844,956
       

 

        8,734,043

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Food – 0.2%

Chobani LLC

(1 mo. USD Term SOFR + 2.250%)

$

    1,430,783       5.981   10/28/32   $    1,435,633

Froneri Lux Finco SARL

(6 mo. USD Term SOFR + 2.250%)

    597,748       6.204     09/30/31   593,988

(6 mo. USD Term SOFR + 2.500%)

    216,845       6.454     09/30/32   215,562

Labeyrie Fine Foods SAS

(6 mo. EUR EURIBOR + 5.000%)

EUR

    504,081       7.596     07/30/29   513,242

Snacking Investments Bidco Pty. Ltd.

(3 mo. USD Term SOFR + 2.500%)

$

    1,070,124       6.323     10/29/32   1,071,686

United Natural Foods, Inc.

(1 mo. USD Term SOFR + 4.000%)

    997,500       7.731 (i)    05/01/31   1,005,919
       

 

        4,836,030

 

Food Service – 0.0%

Aramark Services, Inc.

(1 mo. USD Term SOFR + 1.750%)

    672,462       5.481     06/22/30   672,462

 

Hand/Machine Tools – 0.1%

Alliance Laundry Systems LLC

(1 mo. USD Term SOFR + 2.000%)–(3 mo. USD Term SOFR + 2.000%)

    952,332       5.731–5.823     08/19/31   952,932

Dynamo Newco II GmbH

(1 mo. USD Term SOFR + 3.250%)

    803,149       6.981     09/30/31   775,039
       

 

        1,727,971

 

Health Care Products – 1.5%

Agiliti Health, Inc.

(3 mo. USD Term SOFR + 3.000%)

    1,197,270       6.752     05/01/30   1,158,359

Argent Finco LLC

    540,000       0.000 (i)    11/12/32   541,517

Bausch & Lomb Corp.

(1 mo. USD Term SOFR + 3.750%)

    8,159,658       7.481     01/15/31   8,180,057

Carestream Health, Inc.

(3 mo. USD Term SOFR + 4.500%)

    1,084,637       8.264     03/31/31   955,837

Confluent Medical Technologies, Inc.

(3 mo. USD Term SOFR + 3.000%)

    866,681       6.732     02/16/32   868,848

Hologic, Inc.

(3 mo. USD Term SOFR + 2.250%)

    8,410,696       5.995     04/07/33   8,268,219

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Health Care Products – (continued)

Lifescan Global Corp.

(1 mo. USD Term SOFR + 5.500%)

$

    1,373,971       9.175   12/06/30   $    1,365,961

McKesson Medical-Surgical Top Holdings, Inc.

(3 mo. USD Term SOFR + 2.250%)

    2,875,000       5.982     06/09/32   2,875,000

Medline Borrower LP

(1 mo. USD Term SOFR + 1.500%)

    7,515,389       5.231     05/30/33   7,485,478

QuidelOrtho Corp.

(1 mo. USD Term SOFR + 2.500%)

    597,244       6.231     08/21/30   586,045

(1 mo. USD Term SOFR + 4.000%)

    530,988       7.731     08/20/32   525,810
       

 

        32,811,131

 

Health Care Services – 0.7%

Aveanna Healthcare LLC

(1 mo. USD Term SOFR + 3.000%)

    1,243,750       6.731     09/17/32   1,248,700

Examworks Bidco, Inc.

(1 mo. USD Term SOFR + 2.500%)

    1,719,493       6.231     02/06/33   1,724,754

Global Medical Response, Inc.

(1 mo. USD Term SOFR + 3.250%)

    1,661,506       6.917     10/01/32   1,667,571

LifePoint Health, Inc.

(3 mo. USD Term SOFR + 3.500%)

    91,113       7.250     05/19/31   86,671

(3 mo. USD Term SOFR + 3.750%)

    831,412       7.503     05/19/31   791,920

MDVIP, Inc.

(1 mo. USD Term SOFR + 2.750%)

    1,437,412       6.474     10/14/31   1,437,182

Option Care Health, Inc.

(1 mo. USD Term SOFR + 1.750%)

    725,086       5.481     09/22/32   725,543

Pluto Acquisition I, Inc.

(3 mo. USD Term SOFR + 5.500%)

    368,343       9.228     06/20/28   372,259

Precision Medicine Group LLC

(3 mo. USD Term SOFR + 3.500%)

    560,874       7.323     08/20/32   558,535

Radnet Management, Inc.

(3 mo. USD Term SOFR + 2.000%)

    1,314,478       5.661     04/18/31   1,313,019

Sotera Health Holdings LLC

(1 mo. USD Term SOFR + 2.250%)

    598,974       5.981     05/30/31   600,285

Surgery Center Holdings, Inc.

(1 mo. USD Term SOFR + 2.500%)

    1,684,213       6.231     12/19/30   1,680,980

Team Health Holdings, Inc.

(3 mo. USD Term SOFR + 4.000%)

    1,430,896       7.823     06/30/28   1,431,440

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Health Care Services – (continued)

WCG Intermediate Corp.

(1 mo. USD Term SOFR + 2.750%)

$

    794,005       6.481   02/25/32   $      789,868
       

 

        14,428,727

 

Home Furnishings – 0.2%

AI Aqua Merger Sub, Inc.

    1,700,000       0.000 (i)    07/05/33   1,700,000

Weber-Stephen Products LLC

(3 mo. USD Term SOFR + 3.750%)

    3,638,375       7.475     10/01/32   3,602,573
       

 

        5,302,573

 

Insurance – 1.4%

Acrisure LLC

(1 mo. USD Term SOFR + 3.000%)

    1,461,340       6.731     11/06/30   1,334,934

Alera Group, Inc.

(1 mo. USD Term SOFR + 5.500%)

    6,725,000       9.249     05/30/33   6,388,750

Alliant Holdings Intermediate LLC

(1 mo. USD Term SOFR + 2.500%)

    573,068       6.231     09/19/31   570,529

AmWINS Group, Inc.

(3 mo. USD Term SOFR + 2.000%)

    632,214       5.732     01/30/32   626,410

Asurion LLC

(3 mo. USD Term SOFR + 4.250%)

    954,603       8.073     09/19/30   930,903

Broadstreet Partners, Inc.

(1 mo. USD Term SOFR + 2.500%)

    1,236,954       6.231     06/13/31   1,215,790

Howden Group Holdings Ltd.

(1 mo. USD Term SOFR + 2.750%)

    1,041,687       6.481     02/15/31   998,717

HUB International Ltd.

(3 mo. USD Term SOFR + 2.250%)

    567,534       5.984     06/20/30   567,738

Hyperion Insurance Group Ltd.

(1 mo. USD Term SOFR + 2.750%)

    2,978,487       6.481     04/18/30   2,865,960

OneDigital Borrower LLC

(1 mo. USD Term SOFR + 3.000%)

    244,840       6.731     07/02/31   239,792

Ryan Specialty Group LLC

(1 mo. USD Term SOFR + 2.000%)

    480,257       5.731     09/15/31   479,657

Trucordia Insurance Holdings LLC

(3 mo. USD Term SOFR + 3.250%)

    5,979,203       6.982     06/17/32   5,291,594

Truist Insurance Holdings LLC

(3 mo. USD Term SOFR + 4.750%)

    7,750,000       8.482     05/06/32   7,433,567

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Insurance – (continued)

USI, Inc.

(3 mo. USD Term SOFR + 2.250%)

$

    1,078,311       5.982   11/21/29   $    1,076,963
       

 

        30,021,304

 

Internet – 0.8%

Bending Spoons U.S., Inc.

(3 mo. EUR EURIBOR + 5.625%)

EUR

    987,500       7.916     03/07/31   1,139,088

Chewy, Inc.

(3 mo. USD Term SOFR + 1.750%)

$

    1,000,000       5.446 (f)    06/23/33   997,500

CNT Holdings I Corp.

(3 mo. USD Term SOFR + 2.250%)

    1,827,123       6.073     11/08/32   1,830,467

Flugo BidCo AB

EUR

    1,000,000       0.000 (i)    11/02/31   1,128,103

Polaris Purchaser, Inc.

(3 mo. USD Term SOFR + 3.500%)

$

    1,085,201       7.323     03/03/31   1,065,309

Proofpoint, Inc.

(3 mo. USD Term SOFR + 3.000%)

    10,527,014       6.732     08/31/28   10,336,265

PUG LLC

(1 mo. USD Term SOFR + 4.750%)

    1,025,000       8.481     03/15/30   1,024,488
       

 

        17,521,220

 

Investment Companies – 0.0%

 

   

Shermco Intermediate Holdings, Inc.

(3 mo. USD Term SOFR + 2.500%)

    149,625       6.149     10/27/32   149,484

 

Leisure Time – 0.7%

 

   

Alterra Mountain Co.

(1 mo. USD Term SOFR + 2.500%)

    5,930,069       6.231     08/17/28   5,928,231
    3,890,098       6.231     05/31/30   3,886,869

Bulldog Purchaser, Inc.

(1 mo. USD Term SOFR + 3.250%)

    3,147,450       6.981     02/04/33   3,150,818

Life Time Fitness, Inc.

(1 mo. USD Term SOFR + 2.000%)

    1,204,372       5.667     11/05/31   1,206,179

Recess Holdings, Inc.

(3 mo. USD Term SOFR + 3.750%)

    1,081,816       7.560     02/20/30   1,079,792
       

 

        15,251,889

 

Lodging – 0.5%

 

   

Fertitta Entertainment LLC

(1 mo. USD Term SOFR + 3.250%)

    5,127,777       6.981     01/27/29   5,127,572

Four Seasons Hotels Ltd.

(12 mo. USD Term SOFR + 1.500%)

    1,060,000       5.231 (i)    09/22/32   1,060,223

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Lodging – (continued)

Station Casinos LLC

(1 mo. USD Term SOFR + 2.000%)

$

    1,205,170       5.731   03/14/31   $    1,206,086

Turquoise Topco Ltd.

(3 mo. USD Term SOFR + 3.250%)

    2,703,194       6.982     12/30/32   2,686,299
       

 

        10,080,180

 

Machinery - Construction & Mining – 0.1%

WEC U.S. Holdings Ltd.

(1 mo. USD Term SOFR + 2.000%)

    1,983,354       5.647     01/27/31   1,980,498

 

Machinery-Diversified – 1.1%

 

   

Arcline FM Holdings LLC

(6 mo. USD Term SOFR + 2.750%)

    1,384,785       6.596     06/23/30   1,388,247

Bettcher Industries, Inc.

(3 mo. USD Term SOFR + 4.000%)

    1,990,000       7.732     04/15/33   1,997,463

CD&R Hydra Buyer, Inc.

(1 mo. USD Term SOFR + 4.000%)

    2,255,284       7.831     03/25/31   2,262,185

Columbus McKinnon Corp.

(3 mo. USD Term SOFR + 3.500%)

    1,199,387       7.232     02/03/33   1,201,390

Fortna AR LLC

(3 mo. USD Term SOFR + 7.500%)

    88,876       11.238     08/31/27   88,877

INNIO Group Holding GmbH

(3 mo. USD Term SOFR + 2.000%)

    735,990       5.648     11/02/31   730,470

LSF12 Badger Bidco LLC

(1 mo. USD Term SOFR + 5.000%)

    525,000       8.731     08/30/30   528,281

Project Castle, Inc.

(3 mo. USD Term SOFR + 5.500%)

    1,400,783       9.225     06/01/29   207,778

Roper Industrial Products Investment Co. LLC

(1 mo. USD Term SOFR + 2.500%)

    4,414,631       6.231     11/22/29   4,415,205

TK Elevator Midco GmbH

(6 mo. USD Term SOFR + 2.750%)

    10,131,237       6.704     04/30/30   10,166,951

Victory Buyer LLC

(1 mo. USD Term SOFR + 3.000%)

    2,355,000       6.731     02/14/33   2,363,242
       

 

        25,350,089

 

Media – 0.7%

 

   

Century De Buyer LLC

(3 mo. USD Term SOFR + 3.000%)

    580,131       6.823     10/30/30   579,226

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Media – (continued)

Discovery Global Holdings, Inc.

(1 mo. USD Term SOFR + 2.500%)

$

    9,072,115       6.231   06/03/33   $    9,077,831

EW Scripps Co.

(1 mo. USD Term SOFR + 5.750%)

    479,203       9.532     06/30/28   477,919

Gray Television, Inc.

(1 mo. USD Term SOFR + 3.000%)

    255,052       6.761     12/01/28   255,715

iHeartCommunications, Inc.

(1 mo. USD Term SOFR + 5.775%)

    1,169,937       9.620     05/01/29   1,082,554

NEP Group, Inc.

(1 mo. USD Term SOFR + 4.500%)

    3,017,510       8.231     10/17/31   2,818,958

Spanish Broadcasting System, Inc.

(Fixed + 9.750%)

    101,784       9.750 (f)    12/31/26   100,766

Virgin Media Bristol LLC

(6 mo. USD Term SOFR + 3.175%)

    642,124       6.967     03/31/31   546,608

WideOpenWest Finance LLC

(3 mo. USD Term SOFR + 7.000%)

    774,128       11.002     12/11/28   781,064
       

 

  15,720,641

 

Metal Fabricate & Hardware – 0.1%

Tiger Acquisition LLC

(1 mo. USD Term SOFR + 2.750%)

    1,020,000       6.490     08/23/32   1,022,550

(1 mo. USD Term SOFR + 2.500%)

    424,000       6.240     08/23/32   425,179
       

 

  1,447,729

 

Mining(i) – 0.0%

Arsenal AIC Parent LLC

    380,000       0.000     08/19/30   381,045

 

Miscellaneous Manufacturing – 0.1%

CoorsTek, Inc.

(3 mo. USD Term SOFR + 2.500%)

    1,126,882       6.228     10/28/32   1,131,108

 

Oil & Gas – 0.2%

Delek U.S. Holdings, Inc.

(1 mo. USD Term SOFR + 3.000%)

    900,000       6.731     05/17/32   902,628

Pasadena Performance Products LLC

(3 mo. USD Term SOFR + 3.250%)

    2,636,191       6.982     02/27/32   2,637,509
       

 

  3,540,137

 

Pharmaceuticals – 1.3%

Alkermes, Inc.

(3 mo. USD Term SOFR + 2.750%)

    1,645,875       6.482     08/12/31   1,649,298

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Pharmaceuticals – (continued)

Covetrus, Inc.

(3 mo. USD Term SOFR + 5.000%)

$

    9,125,377       8.732   10/13/29   $    8,844,316

Curium BidCo SARL

(3 mo. USD Term SOFR + 3.000%)

    3,059,190       6.732     08/04/31   3,063,014

Gainwell Acquisition Corp.

(3 mo. USD Term SOFR + 4.000%)

    12,892,236       7.832     10/01/27   12,766,537

Sharp Services LLC

(3 mo. USD Term SOFR + 3.000%)

    1,548,821       6.732     09/29/32   1,553,343
       

 

  27,876,508

 

Pipelines – 1.1%

AL GCX Holdings LLC

(1 mo. USD Term SOFR + 2.250%)

    1,220,130       5.917     12/17/32   1,220,349

AL NGPL Holdings LLC

(3 mo. USD Term SOFR + 2.000%)

    1,168,686       5.730     12/09/30   1,167,518

BIP PipeCo Holdings LLC

(3 mo. USD Term SOFR + 2.000%)

    1,053,142       5.730     12/06/30   1,051,499

Colossus Acquireco LLC

(3 mo. USD Term SOFR + 1.750%)

    5,379,987       5.370     01/31/33   5,354,594

CPPIB OVM Member U.S. LLC

(3 mo. USD Term SOFR + 2.250%)

    1,691,254       5.982     08/20/31   1,691,559

CQP Holdco LP

(3 mo. USD Term SOFR + 1.750%)

    1,327,683       5.482     12/31/32   1,320,102

Freeport LNG Investments LLLP

(3 mo. USD Term SOFR + 3.250%)

    4,176,693       6.979     02/11/33   4,188,638

GIP Pilot Acquisition Partners LP

(3 mo. USD Term SOFR + 2.000%)

    850,310       5.641     05/19/33   848,890

ITT Holdings LLC

(1 mo. USD Term SOFR + 1.975%)

    1,341,612       5.706     10/11/30   1,341,049

M6 ETX Holdings II Midco LLC

(1 mo. USD Term SOFR + 2.500%)

    769,839       6.231     04/01/32   772,310

Pelican Pipeline LLC

(3 mo. USD Term SOFR + 2.750%)

    1,070,000       6.482     03/25/33   1,075,350

Prairie ECI Acquiror LP

(1 mo. USD Term SOFR + 3.250%)

    1,502,027       6.981     08/01/29   1,509,537

TransMontaigne Operating Co. LP

(1 mo. USD Term SOFR + 2.250%)

    752,608       5.981     03/16/30   753,082

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Pipelines – (continued)

Traverse Midstream Partners LLC

(3 mo. USD Term SOFR + 2.250%)

$

    1,230,000       6.043   07/14/33   $    1,228,462

WhiteWater Matterhorn Holdings LLC

(3 mo. USD Term SOFR + 1.750%)

    957,600       5.500     06/16/32   949,221
       

 

  24,472,160

 

Real Estate – 0.2%

CoreLogic, Inc.

(1 mo. USD Term SOFR + 4.250%)

    3,725,000       7.974     07/25/31   3,570,562

Hill Top Energy Center LLC

(3 mo. USD Term SOFR + 2.750%)

    985,301       6.482     06/26/32   986,838
       

 

  4,557,400

 

Retail – 2.0%

1011778 BC Unlimited Liability Co.

(1 mo. USD Term SOFR + 1.750%)

    5,033,710       5.481     09/20/30   5,028,475

Dominion Diamond

(Fixed + 10.500%)

    479,091       10.000 (f)    06/30/27   57,012

Great Outdoors Group LLC

(1 mo. USD Term SOFR + 3.250%)

    3,224,156       6.981     01/23/32   3,235,666

Gulfside Supply, Inc.

(3 mo. USD Term SOFR + 3.000%)

    588,732       6.732     06/17/31   510,725

IRB Holding Corp.

(1 mo. USD Term SOFR + 2.500%)

    1,108,304       6.231     12/16/30   1,110,032

Johnstone Supply LLC

(1 mo. USD Term SOFR + 2.250%)

    1,205,430       5.897     06/09/31   1,203,646

K-Mac Holdings Corp.

(1 mo. USD Term SOFR + 3.250%)

    1,110,959       6.981     07/21/28   1,113,214

LBM Acquisition LLC

(1 mo. USD Term SOFR + 3.750%)

    1,130,061       7.574     06/06/31   900,286

Pacific Bells LLC

(3 mo. USD Term SOFR + 3.500%)

    646,250       7.232     11/13/28   646,657

PetSmart, Inc.

(1 mo. USD Term SOFR + 4.000%)

    2,389,995       7.724     08/18/32   2,393,580

QXO, Inc.

(1 mo. USD Term SOFR + 2.000%)

    3,120,000       5.731     07/01/33   3,113,947

Raising Cane’s Restaurants LLC

(1 mo. USD Term SOFR + 2.000%)

    590,120       5.731     11/03/32   587,907
    1,280,000       5.664     06/06/33   1,273,600

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Retail – (continued)

Specialty Building Products Holdings LLC

(1 mo. USD Term SOFR + 3.750%)

$

    2,731,165       7.581   10/16/28   $    2,539,984

Tacala LLC

(1 mo. USD Term SOFR + 3.000%)

    2,970,013       6.731     01/31/31   2,969,656

Whatabrands LLC

    6,203,584       0.000 (i)    07/30/33   6,211,338

(1 mo. USD Term SOFR + 2.500%)

    8,339,279       6.231     08/03/28   8,338,696

White Cap Buyer LLC

(1 mo. USD Term SOFR + 3.250%)

    1,164,924       6.981     10/19/29   1,162,746

Winterfell Financing SARL

(3 mo. EUR EURIBOR + 3.425%)

EUR

    1,500,000       5.679     05/04/28   1,389,834
       

 

  43,787,001

 

Software – 3.0%

Access CIG LLC

(3 mo. USD Term SOFR + 4.000%)

$

    2,223,920       7.823     08/19/30   1,944,685

AI Silk Midco Ltd.

EUR

    1,000,000       0.000 (i)    03/04/31   1,070,746

Applied Systems, Inc.

(3 mo. USD Term SOFR + 2.250%)

$

    1,154,793       5.982     02/24/31   1,134,399

(3 mo. USD Term SOFR + 4.500%)

    2,198,000       8.232     02/23/32   2,158,854

Athenahealth Group, Inc.

(1 mo. USD Term SOFR + 3.250%)

    170,000       6.981     02/16/32   168,620

Avalara, Inc.

(3 mo. USD Term SOFR + 2.500%)

    954,064       6.232     03/26/32   897,469

Avaya, Inc.

(1 mo. USD Term SOFR + 7.500%)

    1,644,091       11.231     08/01/28   1,477,397

Bending Spoons U.S., Inc.

(1 mo. USD Term SOFR + 5.875%)

    1,097,579       9.542     03/07/31   1,100,323

BEP Intermediate Holdco LLC

(1 mo. USD Term SOFR + 2.750%)

    699,805       6.481     04/25/31   699,371

Calabrio, Inc.

(3 mo. USD Term SOFR + 4.000%)

    275,678       7.666     11/26/32   212,217

Cast & Crew Payroll LLC

(3 mo. USD Term SOFR + 3.750%)

    1,407,989       7.573     12/29/28   478,716

Central Parent, Inc.

(3 mo. USD Term SOFR + 3.250%)

    2,235,266       6.982     07/06/29   1,423,127

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Software – (continued)

Cloud Software Group, Inc.

(3 mo. USD Term SOFR + 3.250%)

$

    198,474       6.982   03/21/31   $      179,591
    1,076,274       6.982     08/13/32   961,769

ConnectWise LLC

(3 mo. USD Term SOFR + 3.500%)

    1,743,086       7.494     09/29/28   1,632,905

CoreWeave Financing DDTL V LLC

    1,806,064       0.000 (i)    09/01/31   1,808,322

(1 mo. USD Term SOFR + 4.500%)

    2,333,417       8.120–8.140     11/17/31   2,306,744

Darktrace PLC

(3 mo. USD Term SOFR + 3.250%)

    722,536       6.988     10/09/31   660,218

(3 mo. USD Term SOFR + 5.250%)

    355,000       8.988     10/09/32   312,045

Databricks, Inc.

(1 mo. USD Term SOFR + 4.500%)

    773,802       8.167     01/05/32   769,933

Dayforce, Inc.

(3 mo. USD Term SOFR + 3.000%)

    1,533,576       6.823     02/04/33   1,425,674

Disco Parent, Inc.

(3 mo. USD Term SOFR + 3.000%)

    819,715       6.666     08/06/32   806,395

Electronic Arts, Inc.

(3 mo. USD Term SOFR + 3.500%)

    6,362,940       7.251 (i)    03/24/33   6,395,582

Ellucian Holdings, Inc.

(1 mo. USD Term SOFR + 2.500%)

    955,632       6.231     10/09/29   920,274

(1 mo. USD Term SOFR + 4.750%)

    8,347,888       8.481     11/22/32   7,984,755

Entrata, Inc.

(1 mo. USD Term SOFR + 2.750%)

    682,096       6.481     09/30/32   666,748

Epicor Software Corp.

(1 mo. USD Term SOFR + 2.750%)

    1,423,682       6.481     05/30/31   1,357,239

Inmar, Inc.

(3 mo. USD Term SOFR + 4.500%)

    427,241       8.232–8.323     10/30/31   372,055

Instructure Holdings, Inc.

(3 mo. USD Term SOFR + 2.750%)

    728,912       6.446     11/13/31   680,884

Marcel LUX IV SARL

(1 mo. USD Term SOFR + 3.000%)

    635,484       6.620     11/12/30   622,774

Mermaid Bidco, Inc.

(3 mo. USD Term SOFR + 3.250%)

    514,742       6.908     07/03/31   507,020

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Software – (continued)

Motus LLC

(1 mo. USD Term SOFR + 3.750%)

$

    359,810       7.481   12/11/28   $      300,441

PointClickCare Technologies, Inc.

(3 mo. USD Term SOFR + 2.750%)

    1,612,641       6.573     11/03/31   1,602,562

Polaris Newco LLC

(3 mo. USD Term SOFR + 4.000%)

    3,413,245       8.084     06/02/28   3,036,730

Project Boost Purchaser LLC

(3 mo. USD Term SOFR + 2.750%)

    733,930       6.482     07/16/31   717,490

Project Ruby Ultimate Parent Corp.

(1 mo. USD Term SOFR + 5.250%)

    540,000       9.095     03/12/29   540,000

(1 mo. USD Term SOFR + 2.750%)

    1,612,984       6.595     03/10/28   1,610,677

PushPay USA, Inc.

(1 mo. USD Term SOFR + 3.750%)

    1,090,333       7.481     08/15/31   992,203

Quickbase, Inc.

(1 mo. USD Term SOFR + 3.250%)

    533,219       6.981     10/02/28   493,228

RealPage, Inc.

(3 mo. USD Term SOFR + 3.000%)

    3,766,642       6.994     04/24/28   3,598,424

(3 mo. USD Term SOFR + 3.750%)

    6,200,849       7.482     04/24/28   5,959,139

Skopima Merger Sub, Inc.

(1 mo. USD Term SOFR + 3.750%)

    816,736       7.481     05/12/28   713,116

team.blue Finco SARL

(3 mo. USD Term SOFR + 3.250%)

    1,168,421       6.982     07/12/32   1,122,853

VS Buyer LLC

(3 mo. USD Term SOFR + 2.250%)

    1,336,287       6.073     04/12/31   1,281,499

Waystar Technologies, Inc.

(1 mo. USD Term SOFR + 2.000%)

    1,341,000       5.731     10/22/29   1,337,648
       

 

  66,442,861

 

Telecommunications – 1.2%

Delta TopCo, Inc.

(3 mo. USD Term SOFR + 2.750%)

    807,904       6.402     11/30/29   771,734

(3 mo. USD Term SOFR + 5.250%)

    331,000       8.902     11/29/30   303,418

Ensono LP

(1 mo. USD Term SOFR + 4.000%)

    1,649,425       7.845     05/26/28   1,612,775

Iridium Satellite LLC

(1 mo. USD Term SOFR + 2.250%)

    8,000,000       5.981     09/20/30   7,998,880

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Bank Loans(h) – (continued)

Telecommunications – (continued)

Level 3 Financing, Inc.

(1 mo. USD Term SOFR + 2.750%)

$

    2,250,000       6.481   03/29/32   $    2,256,323

QTS Thunder Managing Issuer LLC

(3 mo. USD Term SOFR + 2.250%)

    4,714,000       6.025     07/22/33   4,643,290

Syniverse Holdings, Inc.

(3 mo. USD Term SOFR + 7.000%)

    982,143       10.732     05/13/27   830,529

Zayo Group Holdings, Inc.

(1 mo. USD Term SOFR + 3.000%)

    8,728,454       6.845     03/11/30   8,735,437
       

 

  27,152,386

 

Transportation – 0.2%

First Student Bidco, Inc.

(3 mo. USD Term SOFR + 2.250%)

    2,513,846       5.982     08/15/30   2,514,751

Genesee & Wyoming, Inc.

(3 mo. USD Term SOFR + 1.750%)

    1,473,128       5.482     04/10/31   1,468,900

Student Transportation of America Holdings, Inc.

(6 mo. USD Term SOFR + 2.750%)

    693,522       6.596–6.617     06/24/32   695,471
    478,909       0.000 (i)    06/24/32   480,255
       

 

  5,159,377

 

TOTAL BANK LOANS

(Cost $680,640,997)

  $  667,555,594

 

       
Sovereign Debt Obligations – 2.4%

Egyptian Pound – 0.1%

Egypt Government International Bonds

$

    2,844,000       8.500   01/31/47   $    2,667,672
    201,000       7.903     02/21/48   176,880
    392,000       8.700     03/01/49   372,702
       

 

  3,217,254

 

Euro – 0.2%

Benin Government International Bonds

EUR

    138,000       4.950     01/22/35   147,395

Colombia Government International Bonds(a)

    460,000       5.625     02/19/36   515,899
    429,000       6.500     11/26/38   507,534

Ivory Coast Government International Bonds

    591,000       5.875     10/17/31   691,952

Morocco Government International Bonds(b)

    256,000       4.750     05/26/34   294,209
    634,000       5.125     05/26/38   731,243

Senegal Government International Bonds

    1,600,666       4.750     03/13/28   1,048,419
       

 

  3,936,651

 

Principal

Amount

   

Interest

Rate

   

Maturity

Date

  Value
Sovereign Debt Obligations – (continued)

Nigerian Naira – 0.1%

Nigeria Government Bonds

NGN

    1,029,472,000       18.500   02/21/31   $      776,286
    408,383,000       22.600     01/29/35   364,157
    555,196,000       16.250     04/18/37   377,319
    600,776,000       15.450     06/21/38   394,057
       

 

  1,911,819

 

Ugandan Shilling – 0.0%

Republic of Uganda Government Bonds

UGX

    1,470,000,000       16.250     11/08/35   410,287
    1,580,000,000       15.800     06/23/39   420,612
       

 

  830,899

 

United States Dollar – 2.0%

Angola Government International Bonds

$

    1,379,000       9.375     05/08/48   1,322,033

Argentina Republic Government International Bonds(a)(j)

    595,789       0.750     07/09/30   520,422
    2,756,188       4.125     07/09/35   2,176,010
    572,935       3.500     07/09/41   423,685

Bahamas Government International Bonds

    1,055,000       8.250     06/24/36   1,165,058

Bahrain Government International Bonds

    907,000       7.375     05/14/30   897,930
    266,000       5.250     01/25/33   234,322
    268,000       5.625     05/18/34   234,988

Benin Government International Bonds

    335,000       7.960     02/13/38   346,521

Bermuda Government International Bonds(a)

    780,000       5.000     07/15/32   770,835

Brazil Government International Bonds

    1,200,000       7.250     01/12/56   1,149,450

Chile Government International Bonds(a)

    314,000       5.650     01/13/37   317,206

Colombia Government International Bonds(a)

    982,000       7.500     02/02/34   1,029,922
    1,257,000       7.750     11/07/36   1,343,054
    1,224,000       8.375     11/07/54   1,341,810

Costa Rica Government International Bonds

    250,000       6.550 (a)    04/03/34   262,220
    200,000       7.000     04/04/44   210,066
    202,000       7.158     03/12/45   215,126
    390,000       7.300 (a)    11/13/54   421,929

Dominican Republic International Bonds

    871,000       4.875     09/23/32   816,049
    744,000       5.875 (a)    10/28/35   718,191
    1,520,000       6.950 (a)    03/15/37   1,560,924
    384,000       6.850     01/27/45   378,002
    323,000       5.875     01/30/60   272,935

Ecuador Government International Bonds

    182,988       6.900 (j)    07/31/35   164,806
    280,000       9.250 (b)    01/29/39   278,692
    1,305,000       5.500 (j)    07/31/40   1,052,587

Finance Department Government of Sharjah

    580,000       4.000     07/28/50   357,785

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

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

United States Dollar – (continued)

Hungary Government International Bonds

$

    1,342,000       6.000 %(b)    09/26/35   $    1,364,693
    371,000       6.750 (b)    09/25/52   386,055
    465,000       6.750     09/25/52   483,870

Ivory Coast Government International Bonds

    612,000       8.250     01/30/37   660,434
    240,000       6.750 (b)    02/25/41   225,761

Morocco Government International Bonds

    871,000       4.000     12/15/50   598,194

Paraguay Government International Bonds(a)

    1,055,000       5.850     08/21/33   1,070,129
    1,090,000       6.000     02/09/36   1,115,615

Republic of Armenia International Bonds

    861,000       3.600     02/02/31   786,523

Republic of South Africa Government International Bonds

    2,230,000       6.300     06/22/48   1,963,470
    1,025,000       7.300     04/20/52   991,534
    1,190,000       7.950 (b)    11/19/54   1,233,732

Romania Government International Bonds

    1,118,000       6.000     05/25/34   1,090,397

Saudi Government International Bonds

    875,000       4.500     10/26/46   690,576
    303,000       5.000     04/17/49   251,911
    314,000       5.000     01/18/53   256,042
    959,000       5.750     01/16/54   877,725

Senegal Government International Bonds

    1,714,000       6.250     05/23/33   897,296
    1,002,000       6.750     03/13/48   511,020

Sri Lanka Government International Bonds(j)

    1,112,671       3.600     05/15/36   1,115,453
    1,181,547       3.600     02/15/38   1,188,932

Turkiye Government International Bonds

    678,000       7.125     02/12/32   683,444
    1,491,000       7.250     05/29/32   1,506,342
    564,000       6.300     03/14/33   540,650
    561,000       6.500     09/20/33   541,539

Ukraine Government International Bonds(j)

    348,624       4.500     02/01/29   295,407
    534,945       0.000     02/01/34   304,384
    650,000       0.000     02/01/35   389,187
    1,093,632       4.500     02/01/35   749,958
    770,064       0.000     02/01/36   459,151
    389,458       4.500     02/01/36   265,486

Venezuela Government International Bonds(e)

    1,059,000       9.250     09/15/27   526,937
       

 

        44,004,405

 

TOTAL SOVEREIGN DEBT OBLIGATIONS

(Cost $54,564,794)

  $53,901,028

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(a)(b)(c) – 1.4%

Collateralized Loan Obligations – 1.4%

AIMCO CLO 14 Ltd. Series 2021-14A, Class E1R (3 mo. USD Term SOFR + 4.800%)

$

    250,000       8.529   10/20/38   $      247,604

AIMCO CLO 28 Ltd. Series 2025-28A, Class E (3 mo. USD Term SOFR + 4.600%)

    250,000       8.393     01/16/39   249,659

Anchorage Capital CLO 18 Ltd. Series 2021-18A, Class D2R (3 mo. USD Term SOFR + 4.750%)

    250,000       8.438     07/15/39   249,624

Anchorage Capital CLO 18 Ltd. Series 2021-18A, Class ER (3 mo. USD Term SOFR + 6.500%)

    250,000       10.188     07/15/39   250,078

Anchorage Capital CLO 32 Ltd. Series 2025-32AR, Class ER (3 mo. USD Term SOFR + 6.670%)

    250,000       10.414     07/15/39   250,065

Anchorage Capital CLO 36 Ltd. Series 2026-36A, Class E (3 mo. USD Term SOFR + 6.590%)

    250,000       10.343     04/15/39   253,617

ARES Loan Funding VI Ltd. Series 2024-ALF6AR, Class A1R (3 mo. USD Term SOFR + 1.250%)

    200,000       5.000     07/15/39   200,100

Barings Loan Partners CLO Ltd. 5 Series LP-5A, Class A (3 mo. USD Term SOFR + 1.220%)

    7,000,000       4.949     01/20/35   7,004,186

BBAM European CLO VIII DAC Series 8A, Class E (3 mo. EUR EURIBOR + 5.400%)

EUR

    250,000       7.872     01/26/40   289,320

Benefit Street Partners CLO XXI Ltd. Series 2020-21A, Class ER2 (3 mo. USD Term SOFR + 4.950%)

$

    250,000       8.703     01/15/39   247,033

Benefit Street Partners CLO XXII Ltd. Series 2020-22AR, Class ER3
(-1X 3 mo. USD Term SOFR + 5.500%)

    250,000       0.000     07/20/39   250,035

Bridgepoint CLO X DAC Series 10A, Class E (3 mo. EUR EURIBOR + 5.000%)

EUR

    250,000       7.219     04/15/40   289,158

Broad River BSL Funding CLO Ltd. Series 2020-1AR, Class ER2 (3 mo. USD Term SOFR + 6.100%)

$

    250,000       9.844     07/20/39   249,992

Carlyle U.S. CLO Ltd. Series 2025-5A, Class E (3 mo. USD Term SOFR + 4.950%)

    250,000       8.703     01/15/39   250,285

Carlyle U.S. CLO Ltd. Series 2024-1A, Class ER (3 mo. USD Term SOFR + 6.840%)

    250,000       10.507     04/15/39   250,196

CIFC Funding Ltd. Series 2021-3A, Class ER (3 mo. USD Term SOFR + 4.850%)

    250,000       8.603     10/15/38   245,584

CIFC Funding Ltd. Series 2023-1A, Class ER (3 mo. USD Term SOFR + 4.700%)

    250,000       8.453     10/15/38   245,714

CIFC Funding Ltd. Series 2021-2A, Class A1R (3 mo. USD Term SOFR + 1.200%)

    5,000,000       4.953     01/15/39   5,000,670

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(a)(b)(c) – (continued)

Collateralized Loan Obligations – (continued)

CIFC Funding Ltd. Series 2025-8A, Class E (3 mo. USD Term SOFR + 4.750%)

$

    250,000       8.525   01/24/39   $      249,018

CIFC Funding Ltd. Series 2022-5A, Class ER2 (3 mo. USD Term SOFR + 6.540%)

    250,000       10.333     03/16/38   254,375

CIFC Funding Ltd. Series 2025-2A, Class A (3 mo. USD Term SOFR + 1.130%)

    2,225,000       4.883     04/15/38   2,224,951

Elmwood CLO 46 Ltd. Series 2025-9A, Class E (3 mo. USD Term SOFR + 5.000%)

    250,000       8.750     01/17/39   250,629

GoldenTree Loan Management Eur CLO 7 DAC Series 7A, Class ER
(3 mo. EUR EURIBOR + 4.500%)

EUR

    250,000       6.738     07/20/37   286,237

KKR CLO 59 Ltd. Series 2025-59A, Class E (3 mo. USD Term SOFR + 5.350%)

$

    250,000       9.103     01/15/39   250,210

Madison Park Funding LXVII Ltd. Series 2024-67AR, Class D2R (3 mo. USD Term SOFR + 5.000%)

    260,000       8.809     07/25/39   260,008

Madison Park Funding LXVII Ltd. Series 2024-67AR, Class ER (3 mo. USD Term SOFR + 6.440%)

    750,000       10.249     07/25/39   749,995

Madison Park Funding LXXIV Ltd. Series 2026-74A, Class E (3 mo. USD Term SOFR + 5.400%)

    250,000       9.103     07/23/39   250,979

Madison Park Funding LXXV Ltd. Series 2025-75A, Class E (3 mo. USD Term SOFR + 5.100%)

    250,000       8.850     01/17/39   246,345

Magnetite XXVII Ltd. Series 2020-27A, Class ERR (3 mo. USD Term SOFR + 4.750%)

    250,000       8.479     10/20/38   244,133

Magnetite XXXVII Ltd. Series 2023-37A, Class ER (3 mo. USD Term SOFR + 4.700%)

    250,000       8.510     10/25/38   245,221

Neuberger Berman Loan Advisers Euro CLO Series 2026-9A, Class E
(3 mo. EUR EURIBOR + 5.000%)

EUR

    250,000       7.488     07/15/40   288,575

OHA Credit Funding 16-R Ltd. Series 2023-16RA, Class E (3 mo. USD Term SOFR + 4.600%)

$

    250,000       8.329     10/20/38   241,293

OHA Credit Funding 18 Ltd. Series 2024-18AR, Class A1R (3 mo. USD Term SOFR + 1.200%)

    100,000       4.768     07/20/39   100,033

OHA Credit Partners XV Ltd. Series 2017-15A, Class ER2 (3 mo. USD Term SOFR + 5.650%)

    250,000       9.379     04/20/39   251,452

Palmer Square European CLO DAC Series 2026-1A, Class E (3 mo. EUR EURIBOR + 4.600%)

EUR

    250,000       6.769     04/15/39   287,014

Penta CLO 21 DAC Series 2025-21A, Class E (3 mo. EUR EURIBOR + 5.300%)

    250,000       7.362     02/16/39   288,961

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
Asset-Backed Securities(a)(b)(c) – (continued)

Collateralized Loan Obligations – (continued)

Penta CLO Atlas DAC Series 2026-22A, Class E (3 mo. EUR EURIBOR + 5.500%)

EUR

    250,000       7.897   04/15/40   $      288,586

Regatta XI Funding Ltd. Series 2018-1AR, Class AR2 (3 mo. USD Term SOFR + 1.230%)

$

    150,000       4.980     07/17/37   149,996

RR 18 Ltd. Series 2021-18A, Class DR (3 mo. USD Term SOFR + 4.900%)

    250,000       8.653     07/15/40   243,693

RR 28 Ltd. Series 2024-28RA, Class DR2 (3 mo. USD Term SOFR + 6.100%)

    525,000       9.853     04/15/41   526,132

RR 28 Ltd. Series 2024-28RA, Class C1R2 (3 mo. USD Term SOFR + 3.150%)

    250,000       6.903     04/15/41   251,103

RR 42 Ltd. Series 2025-42A, Class DR (3 mo. USD Term SOFR + 5.100%)

    460,000       8.853     10/15/40   454,509

Sixth Street CLO 31 Ltd. Series 2025-31A, Class E (3 mo. USD Term SOFR + 4.700%)

    250,000       8.450     01/17/39   250,144

Sixth Street CLO 32 Ltd. Series 2026-32A, Class E (3 mo. USD Term SOFR + 6.000%)

    250,000       9.664     04/21/39   255,460

Sixth Street CLO XXIV Ltd. Series 2024-24A, Class ER (3 mo. USD Term SOFR + 6.350%)

    250,000       10.102     04/23/37   251,677

Trestles CLO VI Ltd. Series 2023-6A, Class A1R (3 mo. USD Term
SOFR + 1.180%)

    5,000,000       4.990     04/25/38   4,990,830

Trimaran CAVU Ltd. Series 2025-3A, Class E (3 mo. USD Term SOFR + 5.750%)

    250,000       9.483     01/22/39   251,713

Voya CLO Ltd. Series 2022-3A, Class ER2 (3 mo. USD Term SOFR + 4.750%)

    271,000       8.479     10/20/36   267,018

Voya Ltd. Series 2024-3AR, Class ER (-1X 3 mo. USD Term SOFR + 5.500%)

    250,000       0.000     07/20/39   250,009
       

 

        31,423,219

 

TOTAL ASSET-BACKED SECURITIES

(Cost $31,456,657)

  $   31,423,219

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares      Description   Value
  Common Stocks – 0.3%
 

Chemicals(e)(f) – 0.1%

  80,232      Crnrch Dummy Eqt   $    1,039,807

 

 

 

Commercial Services & Supplies(e) – 0.0%

  1,848      Labels Buyer LLC   153,384

 

 

 

Containers & Packaging(e) – 0.0%

 
  31,026      Ardagh Holdings SA(f)   178,400
  13,659      Pretium PKG Holdings, Inc.   247,569
    

 

     425,969

 

 

 

Diversified Consumer Services(e) – 0.0%

 
  7,679      Premier Brands Group Holding   10,559

 

 

 

Diversified Telecommunication Services – 0.0%

 
  14,518      Uniti Group, Inc.   141,115

 

 

 

Energy Equipment & Services(e) – 0.1%

 
  73,839      Enviva, Inc.   1,384,481

 

 

 

Financial Services(e)(f) – 0.0%

 
  240      Voyager Aviation Holdings LLC   0

 

 

 

Health Care Equipment & Supplies(e) – 0.1%

 
  47,389      Envision Parent, Inc.   853,002

 

 

 

Health Care Providers & Services(e) – 0.0%

 
  4,117      Air Methods Corp.   408,849
  6,972      Lifescan Global Corp.   276,558
    

 

     685,407

 

 

 

Media(e) – 0.0%

 
  2,505      Audacy Capital LLC Class A   5,511

 

 

 

Metals & Mining(e)(f) – 0.0%

 
  627      Arctic Canadian Diamond Co. Ltd.   26,817
  1,239,530      Burgundy Diamond Mines Ltd.   0
  7,732      Tacora Restructure   5,412
    

 

     32,229

 

 

 

Passenger Airlines(e) – 0.0%

 
  32,972      Spirit Aviation Holdings, Inc.   495

 

 

 

Pharmaceuticals(e)(f) – 0.0%

 
  65,267      Lannett Seller Holdco, Inc.   196,510

 

 

 

Professional Services(e) – 0.0%

 
  55,451      Avaya Holdings Corp.(g)   790,176
  865      Skillsoft Corp.   6,142
    

 

     796,318

 

 

 

Real Estate Investment Trusts(e) – 0.0%

 
  21,767      Luxco Co. Ltd.   416,369

 

 

 

Semiconductors & Semiconductor Equipment(e)(f) – 0.0%

  18,377      Bright Bidco BV   4,594

 

 

 

Specialty Retail(e)(f) – 0.0%

 
  7,504      GTRC Reorg   658,326
  103      Guitar Center, Inc.   8,223
  343      Rite Aid Corp.(g)   0
    

 

     666,549

 

 

Shares      Description   Value
  Common Stocks – (continued)  
 

Wireless Telecommunication Services(e)(f) – 0.0%

 
  93      Windstream Holdings II LLC   $      111,144
            2,828      Windstream Holdings, Inc.   28,280
    

 

     139,424

 

 

 

TOTAL COMMON STOCKS

(Cost $7,127,216)

  $    6,951,723

 

 

Shares         Dividend
Rate
  Value
Preferred Stocks(e) – 0.0%

Financial Services(f) – 0.0%

Voyager Aviation Holdings LLC

1,441      0.000%   $             0

 

Packaging(a) – 0.0%

Labels Buyer LLC

921     12.000     732,195

 

TOTAL PREFERRED STOCKS

(Cost $904,285)

  $      732,195

 

Units         Expiration
Date
  Value
Warrants(e) – 0.0%  

Audacy, Inc.(f)

 
3,036     12/31/99     $           30

Avation PLC

       20,510     10/31/26     6,911

Guitar Center, Inc.(f)

3,972     12/31/99     111,072

Labels Buyer LLC

860     04/29/33     1,613

Mavenir PLC(f)

42     12/31/99     0

 

TOTAL WARRANTS

(Cost $186,101)

  $      119,626

 

Principal

Amount

    Interest
Rate
    Maturity
Date
  Value
U.S. Treasury Obligations – 4.4%

U.S. Treasury Bills(k)

$

    10,000,000                0.000%     08/04/26   $    9,999,003
    5,000,000         0.000       08/04/26   4,999,501
    42,100         0.000       08/13/26   42,058
    601,600         0.000       08/13/26   601,000
    926,600         0.000       08/13/26   925,675
    5,000,000         0.000       10/27/26   4,956,851
    40,000,000         0.000       11/10/26   39,593,015
    5,000,000         0.000       11/17/26   4,945,085
    6,500,000         0.000       11/17/26   6,428,610

U.S. Treasury Notes

    25,521,000         4.125       11/15/27   25,488,102

 

TOTAL U.S. TREASURY OBLIGATIONS

(Cost $97,960,425)

  $   97,978,900

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares   

Dividend

Rate

  Value
Investment Company(l) – 8.5%

Goldman Sachs Financial Square Government Fund — Institutional Shares

188,111,760

   3.571%   $  188,111,760
(Cost $188,111,760)

 

TOTAL INVESTMENTS – 101.2%

(Cost $2,287,355,403)

  $2,251,762,859

 

LIABILITIES IN EXCESS OF

 OTHER ASSETS – (1.2)%

  (26,274,229)

 

NET ASSETS – 100.0%   $2,225,488,630

 

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 July 31, 2026.
(d)   Pay-in-kind securities.
(e)   Security is currently in default and/or non-income producing.
(f)   Significant unobservable inputs were used in the valuation of this portfolio security; i.e., Level 3.
(g)   Restricted securities are not registered under the Securities Act of 1933, as amended, and are subject to legal restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are subsequently registered. Disposal of these securities may involve time consuming negotiations and prompt sale at an acceptable price may be difficult. Total market value of Restricted securities amounts to $1,153,204, which represents approximately 0.0% of the Fund’s net assets as of July 31, 2026. See additional details below:
    Restricted Security   Acquisition Date     Cost  
 

Avaya Holdings Corp.

    05/01/23     $ 719,233  
 

Beasley Mezzanine Holdings LLC

    10/08/24       438,920  
 

Chesapeake Energy Corp.

    12/06/19        
 

Chesapeake Energy Corp.

    06/21/19        
 

Neiman Marcus Group Ltd. LLC

    04/23/18       605,000  
 

Rite Aid Corp.

    09/04/24       21,981  
(h)   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 July 31, 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.
(i)   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.
(j)   Coupon changes periodically based upon a predetermined schedule. Interest rate disclosed is that which is in effect on July 31, 2026.
(k)   Issued with a zero coupon. Income is recognized through the accretion of discount.
(l)   Represents an affiliated issuer.
 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

UNFUNDED LOAN COMMITMENTS — At July 31, 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 due 12/11/31

     $ 9,139        $ 9,133        $ (6

Azuria Water Solutions, Inc. due 04/25/33

       72,941          72,631          (134

Chicago U.S. Midco III LP due 11/01/32

       108,621          108,395          23  

CoreWeave Financing DDTL V LLC due 11/17/31

       1,352,168          1,369,627          (3,433

Databricks, Inc. due 01/05/32

       467,771          465,820          (1,950

Kaman Corp. due 02/26/32

       227,953          227,881          (203

Pinnacle Buyer LLC due 10/01/32

       271,254          272,195          346  

Pye-Barker Fire & Safety LLC due 12/16/32

       175,819          177,149          588  

Raven Acquisition Holdings LLC due 11/19/31

       73,677          73,205          (697

Trilon Group LLC due 06/13/33

       42,764          42,681          (53

 

 

TOTAL

     $ 2,802,107        $ 2,818,717        $ (5,519

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At July 31, 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
 

 

 

Barclays Bank PLC

    

EUR

     64,000          USD        73,484          10/15/26        $ 542  
    

TRY

     31,000,000          USD        502,171          03/17/27          35,445  

Citibank NA

    

EGP

     57,300,000          USD        1,065,620          09/16/26          32,608  
    

EGP

     63,996,800          USD        1,065,728          03/17/27          77,907  
    

NGN

     2,627,935,117          USD        1,620,143          09/16/26          269,265  
    

TRY

     3,238,541          USD        54,207          03/17/27          1,957  

HSBC Bank PLC

    

EUR

     271,556          USD        311,306          09/16/26          2,427  
    

TRY

     14,500,000          USD        285,591          09/16/26          7,677  
    

TRY

     77,897,171          USD        1,301,734          03/17/27          49,193  
    

USD

     3,472,049          EUR        2,994,812          09/16/26          12,092  

MS & Co. Int. PLC

    

EUR

     500,000          USD        573,700          09/16/26          3,959  
    

EUR

     1,019,000          USD        1,168,258          10/15/26          10,373  
    

GBP

     120,000          USD        158,952          09/16/26          2,775  
    

USD

     102,711,875          EUR        88,392,320          09/16/26          590,703  

Standard Chartered Bank

    

EGP

     25,100,000          USD        433,132          03/17/27          15,409  
    

NGN

     2,104,374,368          USD        1,248,887          09/16/26          264,096  
    

NGN

     530,000,000          USD        356,902          03/17/27          2,889  
    

TRY

     3,979,870          USD        66,917          03/17/27          2,103  

 

 

TOTAL

                          $ 1,381,420  

 

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

 

Counterparty      Currency
Purchased
       Currency
Sold
       Settlement
Date
       Unrealized
Loss
 

 

 

Barclays Bank PLC

    

USD

     23,086,581          EUR        20,163,000          10/15/26        $ (235,073
    

USD

     4,695,770          GBP        3,510,000          10/15/26          (34,844

Citibank NA

    

USD

     96,148          EGP        5,019,864          09/16/26          (65
    

USD

     199,558          EUR        174,722          09/16/26          (2,301
    

USD

     85,261,786          EUR        74,262,474          10/22/26          (658,004
    

USD

     11,899,318          GBP        8,883,284          10/22/26          (73,254
    

USD

     1,653,454          NGN        2,627,935,117          09/16/26          (235,952

HSBC Bank PLC

    

USD

     545,024          EUR        477,608          09/16/26          (6,765

MS & Co. Int. PLC

    

USD

     3,098,439          EUR        2,700,000          09/16/26          (20,918
    

USD

     9,851,770          EUR        8,604,000          10/15/26          (100,099
    

USD

     9,711,162          GBP        7,237,691          09/16/26          (43,234

Standard Chartered Bank

    

USD

     1,341,762          EGP        76,390,000          03/17/27          (23,341
    

USD

     300,476          EUR        262,622          09/16/26          (2,937
    

USD

     1,283,938          NGN        2,104,374,368          09/16/26          (229,044

 

 

TOTAL

                          $ (1,665,831

 

 


GOLDMAN SACHS MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

SWAP CONTRACTS — At July 31, 2026, the Fund had the following swap contracts:

OVER-THE-COUNTER CREDIT DEFAULT SWAP CONTRACTS

 

Reference
Obligation/Index
   Financing Rate
Received/(Paid) by
the Fund(a)
   Credit
Spread at
July 31,
2026(b)
    Counterparty    Termination
Date
     Notional
Amount
(000s)
     Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                  

American Airlines Group, Inc., 3.750%, 03/01/25

   5.000%      2.096%     Citibank NA      06/20/28      $ 630      $ 36,233      $ (18,741   $ 54,974  

CDX.NA.IG Ind 45

   1.000       0.623      JPMorgan Securities, Inc.      12/20/30        30,000        489,777        452,890       36,887  

CDX.NA.HY Ind 45

   5.000       1.397      Merrill Lynch & Co., Inc.      12/20/30        16,000        2,395,241        1,815,907       579,334  

CDX.NA.IG Ind 45

   1.000       0.623      Merrill Lynch & Co., Inc.      12/20/30        7,000        114,281        30,361       83,920  

ICE CD ITXEX 44

   5.000       1.731      Merrill Lynch & Co., Inc.      12/20/30        2,000        321,913        223,963       97,950  

CDX.NA.HY Ind 43

   5.000       0.674      MS & Co. Int. PLC      12/20/29        20,000        2,863,028        2,605,386       257,642  

CDX.NA.IG Ind 45

   1.000       0.623      MS & Co. Int. PLC      12/20/30        177,500        2,897,850        2,320,596       577,254  

ICE CD ITXEB 44

   1.000       0.844      MS & Co. Int. PLC      12/20/30        70,000        611,984        247,430       364,554  

ICE CD ITXEX 44

   5.000       1.838      MS & Co. Int. PLC      12/20/30        48,900        7,615,673        6,608,206       1,007,467  

ICE CD ITXEX 44

   5.000       1.731      MS & Co. Int. PLC      12/20/30        1,700        273,626        232,423       41,203  

 

 

TOTAL

                 $ 17,619,606      $ 14,518,421     $ 3,101,185  

 

 

 

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

CENTRALLY CLEARED CREDIT DEFAULT SWAP CONTRACTS

 

Referenced
Obligation/Index
  

Financing Rate

Received/(Paid) by

the Fund(a)

   Credit
Spread at
July 31,
2026(b)
    Termination
Date
     Notional
Amount
(000s)
     Value      Upfront
Premiums
(Received)
Paid
    Unrealized
Appreciation/
(Depreciation)
 

 

 

Protection Sold:

                  

CDX.NA.HY Ind 46

   5.000%      3.121%       06/20/31      $ 2,850      $ 231,586      $ 224,289     $ 7,297  

CDX.NA.IG Ind 46

   1.000       0.528        06/20/31         50,000        1,089,570        1,052,529       37,041  

ICE CD ITXEX 45

   5.000       2.608        06/20/31      EUR   9,000        1,094,442        1,046,391       48,051  

 

 

TOTAL

              $ 2,415,598      $ 2,323,209     $ 92,389  

 

 

 

(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 MULTI-MANAGER NON-CORE FIXED INCOME FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION (continued)

 

 

PURCHASED OPTIONS CONTRACTS — At July 31, 2026, the Fund had the following purchased options:

OVER-THE-COUNTER INTEREST RATE SWAPTIONS

 

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

 

 

Purchased option contracts

                

Puts

                

3M IRS

   MS & Co. Int. PLC     4.000%       09/29/2026       2,500,000     $ 2,500,000     $ 21,235     $ 10,500     $ 10,735  

 

 

 

 

Currency Abbreviations:
EGP  

— Egypt Pound

EUR  

— Euro

GBP  

— British Pound

NGN  

— Nigeria Naira

TRY  

— Turkish Lira

USD  

— U.S. Dollar

Investment Abbreviations:
CLO  

— Collateralized Loan Obligation

CMT  

— Constant Maturity Treasury Indexes

CVR  

— Contingent Value Rights

EURIBOR  

— Euro Interbank Offered Rate

ICE  

— Inter-Continental Exchange

LLC  

— Limited Liability Company

LP  

— Limited Partnership

PIK  

— Payment in kind

PLC  

— Public Limited Company

REIT  

— Real Estate Investment Trust

SOFR  

— Secured Overnight Financing Rate

SONIA  

— Sterling Overnight Index Average

Abbreviations:
3M IRS  

— 3 Months Interest Rate Swaptions

CDX.NA.HY Ind 43  

— CDX North America High Yield Index 43

CDX.NA.HY Ind 45  

— CDX North America High Yield Index 45

CDX.NA.HY Ind 46  

— CDX North America High Yield Index 46

CDX.NA.IG Ind 45  

— CDX North America Investment Grade Index 45

CDX.NA.IG Ind 46  

— CDX North America Investment Grade Index 46

ICE  

— Inter-Continental Exchange

ICE CD ITXEB  

— iTraxx Europe Index

ICE CD ITXEX  

— iTraxx Europe Crossover Index

MS & Co. Int. PLC  

— Morgan Stanley & Co. International PLC

 

 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments

July 31, 2026 (Unaudited)

 

Shares

     Description   Value
  Common Stocks – 97.3%  
 

Australia – 4.1%

 
  514,618      APA Group (Gas Utilities)   $    3,681,273
  93,959      Charter Hall Group (Diversified REITs)   1,536,385
  1,321,351      Cleanaway Waste Management Ltd. (Commercial Services & Supplies)   2,169,917
  307,080      Dexus (Office REITs)   1,289,621
  241,550      DigiCo Infrastructure REIT (Specialized REITs)   430,018
  125,380      Gemlife Communities Group (Real Estate Management & Development)   389,066
  1,058,140      Goodman Group (Industrial REITs)   22,029,329
  264,350      GPT Group (Diversified REITs)   952,158
  180,230      Ingenia Communities Group (Residential REITs)   549,817
  1,422,740      Mirvac Group (Diversified REITs)   1,784,359
  641,333      NEXTDC Ltd.* (IT Services)   6,032,119
  1,930,273      Region Group (Retail REITs)   3,227,130
  1,210,360      Scentre Group (Retail REITs)   3,323,062
  1,938,295      Stockland (Diversified REITs)   5,802,033
  601,852      Transurban Group (Transportation Infrastructure)   6,250,089
    

 

     59,446,376

 

 

 

Belgium – 1.1%

 
  79,993      Aedifica SA (Health Care REITs)   6,468,574
  24,389      Elia Group SA (Electric Utilities)   3,494,571
  19,300      Shurgard Self Storage Ltd. (Specialized REITs)   563,917
  234,981      Warehouses De Pauw CVA (Industrial REITs)   6,047,226
    

 

     16,574,288

 

 

 

Brazil – 0.5%

 
  537,725      Cia de Saneamento Basico do Estado de Sao Paulo SABESP ADR (Water Utilities)   2,930,601
  1,233,908      Cia Paranaense de Energia - Copel (Electric Utilities)   3,609,847
    

 

     6,540,448

 

 

 

Canada – 7.9%

 
  32,405      Canadian Apartment Properties REIT (Residential REITs)   801,196
  20,630      Canadian National Railway Co. (Ground Transportation)   2,623,175
  424,533      Chartwell Retirement Residences (Health Care Providers & Services)   6,841,103
  548,960      Enbridge, Inc. (Oil, Gas & Consumable Fuels)   29,871,005
  109,491      Fortis, Inc. (Electric Utilities)   6,232,751
  256,984      Keyera Corp. (Oil, Gas & Consumable Fuels)   10,918,406
  133,190      Pembina Pipeline Corp. (Oil, Gas & Consumable Fuels)   6,511,997
  124,150      RioCan Real Estate Investment Trust (Retail REITs)   1,964,295

 

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

Canada – (continued)

 
  738,909      TC Energy Corp. (Oil, Gas & Consumable Fuels)   $   49,757,827
    

 

     115,521,755

 

 

 

China – 0.6%

 
  1,268,000      China Merchants Port Holdings Co. Ltd. (Transportation Infrastructure)   2,476,243
  314,600      China Tower Corp. Ltd. Class H(a) (Diversified Telecommunication Services)   402,159
  637,400      ENN Energy Holdings Ltd. (Gas Utilities)   3,814,156
  1,748,000      Kunlun Energy Co. Ltd. (Gas Utilities)   1,616,590
    

 

     8,309,148

 

 

 

France – 3.3%

 
  13,928      Aeroports de Paris SA (Transportation Infrastructure)   1,930,498
  16,230      Gecina SA (Office REITs)   1,406,052
  30,020      Klepierre SA (Retail REITs)   1,363,539
  60,690      Mercialys SA (Retail REITs)   841,285
  139,246      Unibail-Rodamco-Westfield* (Retail REITs)   16,965,515
  179,007      Vinci SA (Construction & Engineering)   25,274,488
    

 

     47,781,377

 

 

 

Germany – 2.4%

 
  1,039,105      E.ON SE (Multi-Utilities)   22,385,709
  27,958      LEG Immobilien SE (Real Estate Management & Development)   1,678,556
  38,020      RWE AG (Independent Power and Renewable Electricity Producers)   2,501,068
  396,044      TAG Immobilien AG (Real Estate Management & Development)   6,328,532
  54,940      Vonovia SE (Real Estate Management & Development)   1,332,879
    

 

     34,226,744

 

 

 

Hong Kong – 1.8%

 
  76,000      CK Asset Holdings Ltd. (Real Estate Management & Development)   462,917
  3,012,200      Hong Kong & China Gas Co. Ltd. (Gas Utilities)   2,696,632
  116,680      Hongkong Land Holdings Ltd. (Real Estate Management & Development)   946,128
  1,489,271      Link REIT (Retail REITs)   7,423,261
  570,593      Sun Hung Kai Properties Ltd. (Real Estate Management & Development)   8,955,372
  1,587,008      Swire Properties Ltd. (Real Estate Management & Development)   4,833,345

 

 

 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

Hong Kong – (continued)

 
  311,000      Wharf Real Estate Investment Co. Ltd. (Real Estate Management & Development)   $    1,051,797
    

 

     26,369,452

 

 

 

Ireland – 0.0%

 
  513,460      Irish Residential Properties REIT PLC (Residential REITs)   641,832

 

 

 

Italy – 0.5%

 
  246,890      Italgas SpA (Gas Utilities)   2,546,937
  346,736      Terna - Rete Elettrica Nazionale (Electric Utilities)   3,975,025
    

 

     6,521,962

 

 

 

Japan – 4.5%

 
  2,017      Advance Residence Investment Corp. (Residential REITs)   1,871,439
  903      Comforia Residential REIT, Inc. (Residential REITs)   578,761
  248      Daiwa Office Investment Corp. (Office REITs)   530,392
  15,300      East Japan Railway Co. (Ground Transportation)   352,031
  1,486      GLP J-Reit (Industrial REITs)   1,350,406
  1,993      Invincible Investment Corp. (Hotel & Resort REITs)   763,769
  1,453      Japan Metropolitan Fund Invest (Retail REITs)   1,073,283
  2,428      Japan Real Estate Investment Corp. (Office REITs)   1,858,026
  97,500      Kansai Electric Power Co., Inc. (Electric Utilities)   1,476,586
  1,310      KDX Realty Investment Corp. (Diversified REITs)   1,280,333
  438      LaSalle Logiport REIT (Industrial REITs)   418,985
  527,169      Mitsubishi Estate Co. Ltd. (Real Estate Management & Development)   12,798,171
  5,408      Mitsui Fudosan Accommodations Fund, Inc. (Residential REITs)   4,166,592
  1,112,833      Mitsui Fudosan Co. Ltd. (Real Estate Management & Development)   10,840,561
  11,852      Nippon Building Fund, Inc. (Office REITs)   9,997,236
  1,836      Nippon Prologis REIT, Inc. (Industrial REITs)   1,043,410
  1,883      Nomura Real Estate Master Fund, Inc. (Diversified REITs)   1,800,980
  89,200      Osaka Gas Co. Ltd. (Gas Utilities)   3,060,355
  1,207      Sekisui House Reit, Inc. (Diversified REITs)   574,051
  250,400      Sumitomo Realty & Development Co. Ltd. (Real Estate Management & Development)   5,612,547
  66,300      Tokyo Gas Co. Ltd. (Gas Utilities)   2,559,502

 

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

Japan – (continued)

 
  43,000      Tokyo Tatemono Co. Ltd. (Real Estate Management & Development)   $      907,354
    

 

     64,914,770

 

 

 

Malaysia – 0.1%

 
  432,400      Tenaga Nasional Bhd. (Electric Utilities)   1,544,735

 

 

 

Mexico – 0.5%

 
  48,520      Corp. Inmobiliaria Vesta SAB de CV ADR (Real Estate Management & Development)   1,673,455
  11,548      Grupo Aeroportuario del Pacifico SAB de CV ADR (Transportation Infrastructure)   2,509,958
  54,432      Grupo Aeroportuario del Sureste SAB de CV Class B (Transportation Infrastructure)   1,507,388
  5,416      Grupo Aeroportuario del Sureste SAB de CV ADR (Transportation Infrastructure)   1,492,758
  87,510      Prologis Property Mexico SA de CV (Industrial REITs)   392,998
    

 

     7,576,557

 

 

 

Netherlands – 0.2%

 
  45,889      CTP NV(a) (Real Estate Management & Development)   829,195
  37,716      Koninklijke Vopak NV (Oil, Gas & Consumable Fuels)   2,135,090
    

 

     2,964,285

 

 

 

Philippines – 0.4%

 
  343,220      International Container Terminal Services, Inc. (Transportation Infrastructure)   5,389,768

 

 

 

Singapore – 1.5%

 
  2,632,720      CapitaLand Ascendas REIT (Industrial REITs)   5,273,276
  1,484,830      CapitaLand Integrated Commercial Trust (Diversified REITs)   2,881,662
  940,300      CapitaLand Investment Ltd. (Real Estate Management & Development)   1,948,627
  311,400      Centurion Accommodation REIT (Residential REITs)   274,140
  739,741      City Developments Ltd. (Real Estate Management & Development)   4,524,204
  363,500      Frasers Centrepoint Trust (Retail REITs)   643,034
  249,304      Keppel DC REIT (Specialized REITs)   433,526
  111,700      Keppel Ltd. (Industrial Conglomerates)   997,588
  1,375,000      Keppel REIT (Office REITs)   986,356

 

 

 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

Singapore – (continued)

 
  506,600      NTT DC REIT* (Specialized REITs)   $      465,809
  2,985,000      UI Boustead REIT* (Industrial REITs)   1,862,061
  267,500      UOL Group Ltd. (Real Estate Management & Development)   2,064,117
    

 

     22,354,400

 

 

 

Spain – 2.9%

 
  440,999      Aena SME SA(a) (Transportation Infrastructure)   13,595,049
  391,072      Cellnex Telecom SA*(a) (Diversified Telecommunication Services)   12,148,282
  214,549      Iberdrola SA (Electric Utilities)   5,096,308
  289,405      Merlin Properties Socimi SA (Diversified REITs)   5,029,894
  42,540      Naturgy Energy Group SA (Gas Utilities)   1,419,128
  166,941      Redeia Corp. SA (Electric Utilities)   2,944,344
  478,065      Sacyr SA (Construction & Engineering)   2,598,809
    

 

     42,831,814

 

 

 

Sweden – 0.6%

 
  140,954      Castellum AB (Real Estate Management & Development)   1,978,332
  34,370      Catena AB (Real Estate Management & Development)   1,427,874
  137,690      Fabege AB (Real Estate Management & Development)   1,079,866
  721,455      Fastighets AB Balder Class B* (Real Estate Management & Development)   3,948,688
    

 

     8,434,760

 

 

 

Switzerland – 0.5%

 
  8,487      Flughafen Zurich AG (Transportation Infrastructure)   2,494,772
  19,819      PSP Swiss Property AG (Real Estate Management & Development)   3,575,662
  11,340      Swiss Prime Site AG (Real Estate Management & Development)   1,849,555
    

 

     7,919,989

 

 

 

United Arab Emirates* – 0.1%

 
  1,176,654      Abu Dhabi Ports Co. PJSC (Transportation Infrastructure)   1,568,075

 

 

 

United Kingdom – 4.4%

 
  834,892      British Land Co. PLC (Diversified REITs)   4,992,344
  208,671      Hammerson PLC (Retail REITs)   1,079,880
  1,918,569      LondonMetric Property PLC (Industrial REITs)   5,071,941
  2,270,454      National Grid PLC (Multi-Utilities)   36,340,548

 

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

United Kingdom – (continued)

 
  233,233      Pennon Group PLC (Water Utilities)   $    1,452,826
  901,603      Primary Health Properties PLC (Health Care REITs)   1,149,115
  122,504      Safestore Holdings PLC (Specialized REITs)   1,021,915
  51,360      Segro PLC (Industrial REITs)   670,901
  98,020      Severn Trent PLC (Water Utilities)   3,975,098
  3,270,100      Tritax Big Box REIT PLC (Industrial REITs)   7,518,347
  158,820      UNITE Group PLC (Residential REITs)   1,153,697
    

 

     64,426,612

 

 

 

United States – 59.4%

 
  192,348      Agree Realty Corp. (Retail REITs)   14,964,674
  42,470      Alexandria Real Estate Equities, Inc. (Health Care REITs)   2,185,082
  57,539      Alliant Energy Corp. (Electric Utilities)   4,072,610
  36,098      Ameren Corp. (Multi-Utilities)   3,956,702
  37,700      American Electric Power Co., Inc. (Electric Utilities)   4,819,945
  278,593      American Healthcare REIT, Inc. (Health Care REITs)   15,489,771
  170,046      American Homes 4 Rent Class A (Residential REITs)   5,682,937
  186,410      American Tower Corp. (Specialized REITs)   32,316,038
  703,444      Americold Realty Trust, Inc. (Industrial REITs)   9,911,526
  90,464      Atmos Energy Corp. (Gas Utilities)   15,630,370
  20,904      AvalonBay Communities, Inc. (Residential REITs)   3,879,991
  27,107      Black Hills Corp. (Multi-Utilities)   1,930,289
  44,326      Blackstone Digital Infrastructure Trust, Inc.* (Specialized REITs)   922,424
  267,667      Brixmor Property Group, Inc. (Retail REITs)   8,434,187
  53,988      Broadstone Net Lease, Inc. (Diversified REITs)   1,155,883
  121,188      BXP, Inc. (Office REITs)   8,497,703
  50,480      Camden Property Trust (Residential REITs)   5,593,689
  21,260      CareTrust REIT, Inc. (Health Care REITs)   891,644
  219,719      CenterPoint Energy, Inc. (Multi-Utilities)   9,236,987
  17,407      Cheniere Energy, Inc. (Oil, Gas & Consumable Fuels)   4,587,963
  23,093      CMS Energy Corp. (Multi-Utilities)   1,662,465
  106,981      Consolidated Edison, Inc. (Multi-Utilities)   11,644,882
  20,056      COPT Defense Properties (Office REITs)   761,326
  131,465      Cousins Properties, Inc. (Office REITs)   4,147,721

 

 

 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  118,636      Crown Castle, Inc. (Specialized REITs)   $    9,051,927
  346,040      Csquare, Inc.* (Diversified Telecommunication Services)   6,906,958
  121,955      CSX Corp. (Ground Transportation)   6,146,532
  127,132      CubeSmart (Specialized REITs)   5,270,893
  345,856      Curbline Properties Corp. (Retail REITs)   10,597,028
  131,243      DiamondRock Hospitality Co. (Hotel & Resort REITs)   1,737,657
  153,768      Digital Realty Trust, Inc. (Specialized REITs)   28,988,343
  52,500      DT Midstream, Inc. (Oil, Gas & Consumable Fuels)   7,245,000
  23,859      DTE Energy Co. (Multi-Utilities)   3,384,876
  11,920      EastGroup Properties, Inc. (Industrial REITs)   2,491,399
  61,399      Entergy Corp. (Electric Utilities)   6,607,760
  35,367      Equinix, Inc. (Specialized REITs)   36,048,876
  92,073      Equity LifeStyle Properties, Inc. (Residential REITs)   5,991,190
  131,334      Equity Residential (Residential REITs)   8,727,144
  255,742      Essential Properties Realty Trust, Inc. (Diversified REITs)   8,002,167
  12,365      Essex Property Trust, Inc. (Residential REITs)   3,513,391
  82,263      Evergy, Inc. (Electric Utilities)   6,828,652
  56,249      Eversource Energy (Electric Utilities)   4,026,866
  147,013      Exelon Corp. (Electric Utilities)   6,736,136
  134,140      Extra Space Storage, Inc. (Specialized REITs)   19,858,086
  191,594      Ferrovial NV (Construction & Engineering)   12,550,559
  210,761      First Industrial Realty Trust, Inc. (Industrial REITs)   13,876,504
  178,975      FrontView REIT, Inc. (Retail REITs)   3,640,352
  37,129      Gaming & Leisure Properties, Inc. (Specialized REITs)   1,663,008
  69,247      GFL Environmental, Inc. (Commercial Services & Supplies)   2,861,286
  25,980      H2O America (Water Utilities)   1,593,353
  99,101      Healthpeak Properties, Inc. (Health Care REITs)   2,163,375
  6,287      Hilton Worldwide Holdings, Inc. (Hotels, Restaurants & Leisure)   2,014,921
  127,620      Host Hotels & Resorts, Inc. (Hotel & Resort REITs)   3,207,091
  4,511      Hyatt Hotels Corp. Class A (Hotels, Restaurants & Leisure)   785,185
  440,573      Independence Realty Trust, Inc. (Residential REITs)   7,326,729
  168,650      Invitation Homes, Inc. (Residential REITs)   5,012,278
  122,418      Iron Mountain, Inc. (Specialized REITs)   14,974,170

 

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  291,722      Janus Living, Inc. Class A-1 (Health Care REITs)   $    8,812,922
  2,882      Jones Lang LaSalle, Inc.* (Real Estate Management & Development)   1,023,196
  50,418      Kilroy Realty Corp. (Office REITs)   1,957,227
  204,380      Kimco Realty Corp. (Retail REITs)   5,207,602
  415,261      Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels)   13,363,099
  85,284      Kinetik Holdings, Inc. (Oil, Gas & Consumable Fuels)   4,312,812
  184,850      Kite Realty Group Trust (Retail REITs)   5,290,407
  15,474      Lineage, Inc. (Industrial REITs)   655,633
  14,070      LXP Industrial Trust (Industrial REITs)   851,657
  175,800      Macerich Co. (Retail REITs)   4,542,672
  46,350      Mid-America Apartment Communities, Inc. (Residential REITs)   6,133,959
  280,927      National Healthcare Properties, Inc. (Health Care REITs)   4,295,374
  336,987      NiSource, Inc. (Multi-Utilities)   14,972,332
  6,050      Norfolk Southern Corp. (Ground Transportation)   2,029,654
  27,623      OGE Energy Corp. (Electric Utilities)   1,307,949
  83,741      ONEOK, Inc. (Oil, Gas & Consumable Fuels)   7,604,520
  1,443,461      PG&E Corp. (Electric Utilities)   25,087,352
  55,691      PPL Corp. (Electric Utilities)   1,960,880
  300,223      Prologis, Inc. (Industrial REITs)   43,415,248
  17,600      Public Storage (Specialized REITs)   5,705,392
  49,850      Realty Income Corp. (Retail REITs)   3,183,920
  113,162      Regency Centers Corp. (Retail REITs)   9,085,777
  96,706      Rexford Industrial Realty, Inc. (Industrial REITs)   3,652,586
  5,530      Ryman Hospitality Properties, Inc. (Hotel & Resort REITs)   739,085
  255,115      Sabra Health Care REIT, Inc. (Health Care REITs)   5,400,785
  78,141      SBA Communications Corp. (Specialized REITs)   14,141,958
  196,616      Sempra (Multi-Utilities)   17,410,347
  82,908      Simon Property Group, Inc. (Retail REITs)   19,016,608
  24,710      SL Green Realty Corp. (Office REITs)   1,307,900
  30,246      Southwest Gas Holdings, Inc. (Gas Utilities)   2,703,992
  3,403      Spire, Inc. (Gas Utilities)   271,764
  10,270      Sun Communities, Inc. (Residential REITs)   1,268,140
  198,048      Sunstone Hotel Investors, Inc. (Hotel & Resort REITs)   2,331,025
  128,316      Targa Resources Corp. (Oil, Gas & Consumable Fuels)   34,692,797

 

 

 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

Shares

     Description   Value
  Common Stocks – (continued)  
 

United States – (continued)

 
  14,680      Terreno Realty Corp. (Industrial REITs)   $    1,051,822
  161,829      UDR, Inc. (Residential REITs)   6,175,395
  7,601      Union Pacific Corp. (Ground Transportation)   2,220,480
  196,326      Ventas, Inc. (Health Care REITs)   18,358,444
  236,777      Venture Global, Inc. Class A (Oil, Gas & Consumable Fuels)   3,168,076
  181,540      VICI Properties, Inc. (Specialized REITs)   4,783,579
  87,301      Vornado Realty Trust (Office REITs)   3,438,786
  59,616      Waste Connections, Inc. (Commercial Services & Supplies)   9,983,605
  251,887      Welltower, Inc. (Health Care REITs)   59,052,388
  653,378      Williams Cos., Inc. (Oil, Gas & Consumable Fuels)   46,742,662
  57,416      Xcel Energy, Inc. (Electric Utilities)   4,489,931
    

 

     865,408,240

 

 

 
TOTAL COMMON STOCKS
(Cost $1,164,129,180)
  $1,417,267,387

 

 

Shares     

Dividend

Rate

  Value
  Investment Companies(b) – 2.6%  
 

Goldman Sachs Central Government Fund — Institutional Shares

  9,545,956      3.760%   $    9,545,956
 

Goldman Sachs Financial Square Government Fund — Institutional
Shares

  28,789,806      3.571    28,789,806

 

 

 
TOTAL INVESTMENT COMPANIES – 2.6%
(Cost $38,335,762)
  $   38,335,762

 

 

 
TOTAL INVESTMENTS – 99.9%
(Cost $1,202,464,942)
  $1,455,603,149

 

 

 

OTHER ASSETS IN EXCESS OF

 LIABILITIES – 0.1%

  879,534

 

 

  NET ASSETS – 100.0%   $1,456,482,683

 

 

The percentage shown for each investment category reflects the value of investments in that category as a percentage of net assets.
*   Non-income producing security.
(a)   Exempt from registration under Rule 144A of the Securities Act of 1933.
(b)   Represents an affiliated issuer.

 

SECTOR ALLOCATION AS OF JULY 31, 2026

 

 

Sector      % of Total
Market Value
Real Estate        53.8
Utilities        18.5  
Energy        15.2  
Industrials        7.5  
Investment Companies        2.6  
Communication Services        1.3  
Health Care        0.5  
Information Technology        0.4  
Consumer Discretionary        0.2  
         100.0
 


GOLDMAN SACHS MULTI-MANAGER REAL ASSETS STRATEGY FUND

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

ADDITIONAL INVESTMENT INFORMATION

 

 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS — At July 31, 2026, the Fund had the following forward foreign currency exchange contracts:

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS WITH UNREALIZED LOSS

 

Counterparty     

Currency

Purchased

      

Currency

Sold

       Settlement
Date
       Unrealized
Loss
 

 

 

State Street Bank and Trust

    

USD

     1,137,515        AUD      1,620,000          08/04/26        $ (2,309

 

 

FUTURES CONTRACTS — At July 31, 2026, the Fund had the following futures contracts:

 

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

 

 

Long position contracts:

                   

Dow Jones U.S. Real Estate Index

     741      09/18/26      $ 29,373,240        $ 358,889  

 

 

 

 

Currency Abbreviations:
AUD  

— Australian Dollar

USD  

— U.S. Dollar

Investment Abbreviations:
ADR  

— American Depositary Receipt

PLC  

— Public Limited Company

REIT  

— Real Estate Investment Trust

 

 


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS

 

 

Investment Valuation — The Funds’ valuation policy is to value investments at fair value.

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

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

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

Level 3 — Prices or valuations that require significant unobservable inputs (including GSAM’s assumptions in determining fair value measurement).

The Board of Trustees (“Trustees”) has approved valuation procedures that govern the valuation of the portfolio investments held by the Funds (“Valuation Procedures”), including investments for which market quotations are not readily available. With respect to the Funds’ investments that do not have readily available market quotations, the Trustees have designated GSAM as the valuation designee to perform fair valuations pursuant to Rule 2a-5 under the Investment Company Act of 1940 (the “Valuation Designee”). GSAM has day-to-day responsibility for implementing and maintaining internal controls and procedures related to the valuation of the Funds’ investments. To assess the continuing appropriateness of pricing sources and methodologies, GSAM regularly performs price verification procedures and issues challenges as necessary to third party pricing vendors or brokers, and any differences are reviewed in accordance with the Valuation Procedures.

Level 1 and Level 2 Fair Value Investments — The valuation techniques and significant inputs used in determining the fair values for investments classified as Level 1 and Level 2 are as follows:

Equity Securities — Equity securities traded on a United States (“U.S.”) securities exchange or the NASDAQ system, or those located on certain foreign exchanges, including but not limited to the Americas, are valued daily at their last sale price or official closing price on the principal exchange or system on which they are traded. If there is no sale or official closing price or such price is believed by GSAM to not represent fair value, equity securities will be valued at the valid closing bid price for long positions and at the valid closing ask price for short positions (i.e., where there is sufficient volume, during normal exchange trading hours). If no valid bid/ask price is available, the equity security will be valued pursuant to the Valuation Procedures and consistent with applicable regulatory guidance. To the extent these investments are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. Certain equity securities containing unique attributes may be classified as Level 2.

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


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

Underlying Funds (including Money Market Funds) — Underlying funds (“Underlying Funds”) include exchange-traded funds (“ETFs”) and other investment companies. Investments in the Underlying Funds (except ETFs) are valued at the NAV per share on the day of valuation. ETFs are valued daily at the last sale price or official closing price on the principal exchange or system on which the investment is traded. Because the Funds invest in Underlying Funds that fluctuate in value, the Funds’ shares will correspondingly fluctuate in value. Underlying Funds are generally classified as Level 1 of the fair value hierarchy. To the extent that underlying ETFs are actively traded, they are classified as Level 1 of the fair value hierarchy, otherwise they are generally classified as Level 2. For information regarding an Underlying Fund’s accounting policies and investment holdings, please see the Underlying Fund’s financial statements at SEC.gov.

Debt Securities — Debt securities for which market quotations are readily available are valued daily on the basis of quotations supplied by dealers or an independent pricing service. The pricing services may use valuation models or matrix pricing, which consider: (i) yield or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date or (ii) quotations from securities dealers to determine current value. With the exception of treasury securities of G7 countries, which are generally classified as Level 1, these investments are generally classified as Level 2 of the fair value hierarchy.

i. Bank Loans — Bank loans (“Loans”) are interests in amounts owed by corporate, governmental, or other borrowers to lenders or lending syndicates. Loans are arranged through private negotiations between the borrower and one or more financial institutions (“Lenders”). A Fund’s investments in Loans are in the form of either participations in Loans (“Participations”) or assignments of all or a portion of Loans from third parties (“Assignments”). With respect to Participations, a Fund has the right to receive payments of principal, interest and any fees to which it is entitled from the Lender selling the Participations and only upon receipt by the Lender of the payments from the borrower. A Fund generally has no right to enforce compliance by the borrower with the terms of the loan agreement with respect to Participations. Conversely, assignments result in a Fund having a direct contractual relationship with the borrower, and the Fund may be permitted to enforce compliance by the borrower with the terms of the loan agreement.

Derivative Contracts — A derivative is an instrument whose value is derived from underlying assets, indices, reference rates or a combination of these factors. A Fund enters into derivative transactions to hedge against changes in interest rates, securities prices, and/or currency exchange rates, to increase total return, or to gain access to certain markets or attain exposure to other underliers. For financial reporting purposes, cash collateral that has been pledged to cover obligations of a Fund and cash collateral received, if any, is reported separately on the Statements of Assets and Liabilities as either due to broker/receivable for collateral on certain derivative contracts. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments.

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

i. Forward Contracts — A forward contract is a contract between two parties to buy or sell an asset at a specified price on a future date. A forward contract settlement can occur on a cash or delivery basis. Forward contracts are marked-to-market daily using independent vendor prices, and the change in value, if any, is recorded as an unrealized gain or loss. Cash and certain investments may be used to collateralize forward contracts.


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

A forward foreign currency exchange contract is a forward contract in which a Fund agrees to receive or deliver a fixed quantity of one currency for another, at a pre-determined price at a future date. All forward foreign currency exchange contracts are marked to market daily by using the outright forward rates or interpolating based upon maturity dates, where available. Non-deliverable forward foreign currency exchange contracts are settled with the counterparty in cash without the delivery of foreign currency.

ii. Futures Contracts — Futures contracts are contracts to buy or sell a standardized quantity of a specified commodity or security. Upon entering into a futures contract, a Fund deposits cash or securities in an account on behalf of the broker in an amount sufficient to meet the initial margin requirement. Subsequent payments are made or received by a Fund equal to the daily change in the contract value and are recorded as variation margin receivable or payable with a corresponding offset to unrealized gains or losses.

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

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

iv. Swap Contracts — Bilateral swap contracts are agreements in which a Fund and a counterparty agree to exchange periodic payments on a specified notional amount or make a net payment upon termination. Bilateral swap transactions are privately negotiated in the OTC market and payments are settled through direct payments between a Fund and the counterparty. By contrast, certain swap transactions are subject to mandatory central clearing. These swaps are executed through a derivatives clearing member (“DCM”), acting in an agency capacity, and submitted to a central counterparty (“CCP”) (“centrally cleared swaps”), in which case all payments are settled with the CCP through the DCM. Swaps are marked-to-market daily using pricing vendor quotations, counterparty or clearinghouse prices or model prices, and the change in value, if any, is recorded as an unrealized gain or loss. Upon entering into a swap contract, a Fund is required to satisfy an initial margin requirement by delivering cash or securities to the counterparty (or in some cases, segregated in a triparty account on behalf of the counterparty), which can be adjusted by any mark-to-market gains or losses pursuant to bilateral or centrally cleared arrangements. For centrally cleared swaps the daily change in valuation, if any, is recorded as a receivable or payable for variation margin.

An interest rate swap is an agreement that obligates two parties to exchange a series of cash flows at specified intervals, based upon or calculated by reference to changes in interest rates on a specified notional principal amount. The payment flows are usually netted against each other, with the difference being paid by one party to the other.

A credit default swap is an agreement that involves one party (the buyer of protection) making a stream of payments to another party (the seller of protection) in exchange for the right to receive protection on a reference security or obligation, including a group of assets or exposure to the performance of an index. A Fund’s investment in credit default swaps may involve greater risks than if the Fund had invested in the referenced obligation directly. Credit events are contract specific but may include bankruptcy, failure to pay, restructuring and obligation acceleration. If a Fund buys protection through a credit default swap and no credit event occurs, its payments are limited to the periodic payments previously made to the counterparty. Upon the occurrence of a specified credit event, a Fund, as a buyer of credit protection, is entitled to receive an amount equal to the notional amount of the swap and deliver to the seller the defaulted reference obligation in a physically settled trade. A Fund may also receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade.


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

As a seller of protection, a Fund generally receives a payment stream throughout the term of the swap, provided that there is no credit event. In addition, if a Fund sells protection through a credit default swap, a Fund could suffer a loss because the value of the referenced obligation and the premium payments received may be less than the notional amount of the swap paid to the buyer of protection. Upon the occurrence of a specified credit event, a Fund, as a seller of credit protection, may be required to take possession of the defaulted reference obligation and pay the buyer an amount equal to the notional amount of the swap in a physically settled trade. A Fund may also pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap reduced by the recovery value of the reference obligation in a cash settled trade. Recovery values are at times established through the credit event auction process in which market participants are ensured that a transparent price has been set for the defaulted security or obligation. In addition, a Fund is entitled to a return of any assets, which have been pledged as collateral to the counterparty upon settlement.

The maximum potential amount of future payments (undiscounted) that a Fund as seller of protection could be required to make under a credit default swap would be an amount equal to the notional amount of the agreement. These potential amounts would be partially offset by any recovery values of the respective referenced obligations or net amounts received from a settlement of a credit default swap for the same reference security or obligation where a Fund bought credit protection.

Level 3 Fair Value Investments — To the extent that significant inputs to valuation models and other alternative pricing sources are unobservable, or if quotations are not readily available, or if GSAM believes that such quotations do not accurately reflect fair value, the fair value of a Fund’s investments may be determined under the Valuation Procedures. GSAM, consistent with its procedures and applicable regulatory guidance, may make an adjustment to the most recent valuation prices of either domestic or foreign securities in light of significant events to reflect what it believes to be the fair value of the securities at the time of determining a Fund’s NAV. To the extent investments are valued using single source broker quotations obtained directly from the broker or passed through from third party pricing vendors, such investments are classified as Level 3 investments.

Fair Value Hierarchy — The following is a summary of the Funds’ investments and derivatives classified in the fair value hierarchy as of July 31, 2026:

 

MULTI-MANAGER GLOBAL EQUITY FUND               
Investment Type      Level 1        Level 2        Level 3  
Assets               

Common Stock and/or Other Equity Investments(a)

                             

Africa

     $ 623,769        $ 4,833,697        $  

Asia

       25,491,654          264,577,376          0  

Australia and Oceania

                5,431,407           

Europe

       13,161,222          233,867,362           

North America

       246,792,220          22,193,184           

South America

       10,864,269                    

Preferred Stocks

                3,650,588           

Exchange Traded Funds

       814,603,281                    

Investment Companies

       122,347,087                    
Total      $ 1,233,883,502        $   534,553,614        $  
Derivative Type                              
Assets(b)               

Forward Foreign Currency Exchange Contracts

     $        $ 3,382,525        $  

Futures Contracts

       1,712,038                    
Total      $ 1,712,038        $ 3,382,525        $  


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

MULTI-MANAGER GLOBAL EQUITY FUND (continued)             
Derivative Type      Level 1        Level 2      Level 3  
Liabilities(b)                         

Forward Foreign Currency Exchange Contracts

     $           —        $    (6,024,409    $        —  

 

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

 

MULTI-MANAGER NON-CORE FIXED INCOME FUND             
Investment Type      Level 1        Level 2      Level 3  
Assets             

Fixed Income

            

Corporate Obligations

     $        $ 1,199,804,440      $ 5,184,374  

Bank Loans

                659,061,952        8,493,642  

U.S. Treasury Obligations

       97,978,900                  

Sovereign Debt Obligations

                53,901,028         

Asset-Backed Securities

                31,423,219         

Common Stock and/or Other Equity Investments(a)

            

Australia and Oceania

                       0  

Europe

                416,369        178,400  

North America

       147,752          4,130,089        2,079,113  

Preferred Stocks

                732,195        0  

Warrants

                8,524        111,102  

Unfunded Loan Commitments(b)

                957         

Investment Company

       188,111,760                  
Total      $   286,238,412        $ 1,949,478,773      $ 16,046,631  
Liabilities             

Unfunded Loan Commitments(b)

     $        $ (6,476    $  
Derivative Type                            
Assets             

Forward Foreign Currency Exchange Contracts(b)

     $        $ 1,381,420      $  

Credit Default Swap Contracts(b)

                3,193,574         

Purchased Option Contracts

                21,235         
Total      $        $ 4,596,229      $  
Liabilities(b)             

Forward Foreign Currency Exchange Contracts

     $        $ (1,665,831    $  

 

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


GOLDMAN SACHS STRATEGIC MULTI-ASSET CLASS FUNDS

 

Schedule of Investments (continued)

July 31, 2026 (Unaudited)

 

 

NOTES TO THE SCHEDULE OF INVESTMENTS (continued)

 

 

MULTI-MANAGER REAL ASSETS STRATEGY FUND             
Investment Type      Level 1        Level 2      Level 3  
Assets             

Common Stock and/or Other Equity Investments(a)

            

Asia

     $ 1,862,061        $ 128,588,287      $        —  

Australia and Oceania

       389,066          59,057,310         

Europe

       3,188,769          229,134,894         

North America

       975,955,993          12,550,559         

South America

       6,540,448                  

Investment Companies

       38,335,762                  
Total      $ 1,026,272,099        $   429,331,050      $  
Derivative Type                            
Assets(b)                         

Futures Contracts

     $ 358,889        $      $  
Liabilities(b)                         
Forward Foreign Currency Exchange Contracts      $        $ (2,309    $  

 

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

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

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

Asset Allocation Risk — The Funds’ allocations to the various asset classes may cause the Funds to underperform other funds with a similar investment objective.

Derivatives Risk — The Funds’ use of derivatives and other similar instruments (collectively referred to in this paragraph as “derivatives”) may result in loss, including due to adverse market movements. Derivatives, which may pose risks in addition to and greater than those associated with investing directly in securities, currencies or other assets and instruments, may increase market exposure and be illiquid or less liquid, volatile, difficult to price and leveraged so that small changes in the value of the underlying assets or instruments may produce disproportionate losses to the Funds. Certain derivatives are also subject to counterparty risk, which is the risk that the other party in the transaction will not, or lacks the capacity or authority to, fulfill its contractual obligations, liquidity risk, which includes the risk that the Funds will not be able to exit the derivative when it is advantageous to do so, and risks arising from margin requirements, which include the risk that the Funds will be required to pay additional margin or set aside additional collateral to maintain open derivative positions. The use of derivatives is a highly specialized activity that involves investment techniques and risks different from those associated with investments in more traditional securities and instruments. Losses from derivatives can also result from a lack of correlation between changes in the value of derivative instruments and the portfolio assets (if any) being hedged.

Floating and Variable Rate Obligations Risk — Floating rate and variable rate obligations are debt instruments issued by companies or other entities with interest rates that reset periodically (typically, daily, monthly, quarterly, or semi-annually) in response to changes in the market rate of interest on which the interest rate is based. Such market rates are generally the Secured Overnight Financing Rate (“SOFR”), a term SOFR rate published by CME Group Benchmark Administration Limited (CBA) calculated using certain derivatives markets (“Term SOFR”), the Prime Rate of a designated U.S. bank, the Federal Funds Rate, or


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another base lending rate used by commercial lenders. For floating and variable rate obligations, there may be a lag between an actual change in the underlying interest rate benchmark and the reset time for an interest payment of such an obligation, which could harm or benefit a Fund, depending on the interest rate environment or other circumstances. In a rising interest rate environment, for example, a floating or variable rate obligation that does not reset immediately would prevent a Fund from taking full advantage of rising interest rates in a timely manner. However, in a declining interest rate environment, a Fund may benefit from a lag due to an obligation’s interest rate payment not being immediately impacted by a decline in interest rates.

Foreign and Emerging Countries Risk — Investing in foreign markets may involve special risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of more or less foreign government regulation; less public information; less stringent investor protections; less stringent accounting, corporate governance, financial reporting and disclosure standards; and less economic, political and social stability in the countries in which a Fund invests. The imposition of sanctions, exchange controls (including repatriation restrictions), confiscation of assets and property, trade restrictions (including tariffs) and other government restrictions by the U.S. or other governments, or from problems in registration, settlement or custody, may also result in losses. The type and severity of sanctions and other similar measures, including counter sanctions and other retaliatory actions, that may be imposed could vary broadly in scope, and their impact is impossible to predict. For example, the imposition of sanctions and other similar measures could, among other things, cause a decline in the value and/or liquidity of securities issued by the sanctioned country or companies located in or economically tied to the sanctioned country and increase market volatility and disruption in the sanctioned country and throughout the world. Sanctions and other similar measures could limit or prevent a Fund from buying and selling securities (in the sanctioned country and other markets), significantly delay or prevent the settlement of securities transactions, and significantly impact a Fund’s liquidity and performance. Foreign risk also involves the risk of negative foreign currency exchange rate fluctuations, which may cause the value of securities denominated in such foreign currency (or other instruments through which a Fund has exposure to foreign currencies) to decline in value. Currency exchange rates may fluctuate significantly over short periods of time. To the extent that a Fund also invests in securities of issuers located in, or economically tied to, emerging markets, these risks may be more pronounced.

Geographic Risk — If a Fund focuses its investments in securities of issuers located in a particular country or geographic region, the Fund may be subjected, to a greater extent than if its investments were less focused, to the risks of volatile economic cycles and/or conditions and developments that may be particular to that country or region, such as: adverse securities markets; adverse exchange rates; adverse social, political, regulatory, economic, business, environmental or other developments; or natural disasters.

Index/Tracking Error Risk — To the extent that an index-tracking strategy or implementation of a sub-strategy by a transition manager is used with respect to a portion of a Fund’s assets, including through investment in an ETF that seeks to track an index or implementation of an index-tracking strategy, the Fund will be negatively affected by general declines in the securities and asset classes represented in the relevant index. There is no guarantee that the Fund, or relevant portion of the Fund, will achieve a high degree of correlation to the relevant index. Market disruptions and regulatory restrictions could have an adverse effect on the Fund’s ability, or the ability of an ETF in which it invests, to adjust its exposure to the required levels in order for the relevant portion of the Fund to track the relevant index. In addition, because that portion of the Fund is not “actively” managed, unless a specific security is removed from the relevant index, the Fund or an ETF in which it invests generally would not sell a security because the security’s issuer was in financial trouble. At times when an index-tracking strategy is used with respect to a portion of the Fund’s assets, the Fund’s performance could be lower than funds that may actively shift all of their portfolio assets to take advantage of market opportunities or to lessen the impact of a market decline or a decline in the value of one or more issuers.

Interest Rate Risk — When interest rates increase, fixed income securities or instruments held by a Fund will generally decline in value. Long-term fixed income securities or instruments will normally have more price volatility because of this risk than short-term fixed income securities or instruments. A wide variety of market factors can cause interest rates to rise, including central bank monetary policy, rising inflation and changes in general economic conditions. Changing interest rates may have unpredictable effects on the markets, may result in heightened market volatility and may detract from Fund performance. In addition, changes in monetary policy may exacerbate the risks associated with changing interest rates. Funds with longer average portfolio durations


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will generally be more sensitive to changes in interest rates than funds with a shorter average portfolio duration. Fluctuations in interest rates may also affect the liquidity of fixed income securities and instruments held by the Funds. A sudden or unpredictable increase in interest rates may cause volatility in the market and may decrease the liquidity of a Fund’s investments, which would make it harder for the Fund to sell its investments at an advantageous time.

Investment Style Risk — Different investment styles (e.g., “growth”, “value” or “quantitative”) tend to shift in and out of favor depending upon market and economic conditions and investor sentiment. The Funds may outperform or underperform other funds that invest in similar asset classes but employ different investment styles.

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

Leverage Risk — Leverage creates exposure to potential gains and losses in excess of the initial amount invested. Borrowing and the use of derivatives may result in leverage and may make a Fund more volatile. When a Fund uses leverage, the sum of that Fund’s investment exposure may significantly exceed the amount of assets invested in the Fund, although these exposures may vary over time. Relatively small market movements may result in large changes in the value of a leveraged investment. The use of leverage may cause a Fund to liquidate portfolio positions to satisfy its obligations when it may not be advantageous to do so. The use of leverage by a Fund can substantially increase the adverse impact to which the Fund’s investment portfolio may be subject.

Liquidity Risk — A Fund may make investments that are illiquid or that may become less liquid in response to market developments or adverse investor perceptions. Illiquid investments may be more difficult to value. Liquidity risk may also refer to the risk that a Fund will not be able to pay redemption proceeds within the allowable time period or without significant dilution to remaining investors’ interests because of unusual market conditions, declining prices of the securities sold, an unusually high volume of redemption requests, or other reasons. To meet redemption requests, a Fund may be forced to sell investments at an unfavorable time and/or under unfavorable conditions. If a Fund is forced to sell securities at an unfavorable time and/or under unfavorable conditions, such sales may adversely affect a Fund’s NAV and dilute remaining investors’ interests. Liquidity risk may be the result of, among other things, the reduced number and capacity of traditional market participants to make a market in fixed income securities or the lack of an active market. The potential for liquidity risk may be magnified by a rising interest rate environment or other circumstances where investor redemptions from fixed income funds may be higher than normal, potentially causing increased supply in the market due to selling activity. These risks may be more pronounced in connection with the Funds’ investments in securities of issuers located in emerging market countries. Redemptions by large shareholders may have a negative impact on a Fund’s liquidity.

Loan-Related Investments Risk — In addition to risks generally associated with debt investments (e.g., interest rate risk and default risk), loan-related investments such as loan participations and assignments are subject to other risks. Although a loan obligation may be fully collateralized at the time of acquisition, the collateral may decline in value, be or become illiquid or less liquid, or lose all or substantially all of its value subsequent to investment. Many loan investments are subject to legal or contractual restrictions on resale and certain loan investments may be or become illiquid or less liquid and more difficult to value, particularly in the event of a downgrade of the loan or the borrower. There is less readily available, reliable information about most loan investments than is the case for many other types of securities. Substantial increases in interest rates may cause an increase in loan obligation defaults. With respect to loan participations, a Fund may not always have direct recourse against a borrower if the


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borrower fails to pay scheduled principal and/or interest; may be subject to greater delays, expenses and risks than if a Fund had purchased a direct obligation of the borrower; and may be regarded as the creditor of the agent lender (rather than the borrower), subjecting a Fund to the creditworthiness of that lender as well. Investors in loans, such as a Fund, may not be entitled to rely on the anti-fraud protections of the federal securities laws, although they may be entitled to certain contractual remedies. The market for loan obligations may be subject to irregular trading activity, wide bid/ask spreads and extended trade settlement periods. Because transactions in many loans are subject to extended trade settlement periods, a Fund may not receive the proceeds from the sale of a loan for a period after the sale. As a result, sale proceeds related to the sale of loans may not be available to make additional investments or to meet the Fund’s redemption obligations for a period after the sale of the loans, and, as a result, a Fund may have to sell other investments or engage in borrowing transactions, such as borrowing from its credit facility, if necessary to raise cash to meet its obligations.

Senior Loans hold the most senior position in the capital structure of a business entity, and are typically secured with specific collateral, but are nevertheless usually rated below investment grade. Because Second Lien Loans are subordinated or unsecured and thus lower in priority of payment to Senior Loans, they are subject to the additional risk that the cash flow of the borrower and property securing the loan or debt, if any, may be insufficient to meet scheduled payments after giving effect to the senior secured obligations of the borrower. Second Lien Loans generally have greater price volatility than Senior Loans and may be less liquid.

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

MAS Transactions Risk — MAS, a business unit within GSAM, currently provides investment advisory services to certain client accounts in respect of which it has discretionary authority to effect investment decisions, as well as client accounts in respect of which it provides investment advice but does not have the discretion to effect investment decisions without the specific instruction of the clients. It is currently expected that certain MAS client accounts will invest in the Fund. Investments by MAS client accounts in the Fund may be made at any time and from time to time, could be substantial and could represent a substantial proportion of a Fund’s capital. As a result of GSAM’s position as Investment Adviser to a Fund and the investment advisory services provided to client accounts through MAS, GSAM may possess information relating to the Fund and MAS client accounts that it would not otherwise possess. Discretionary client accounts advised by MAS may, to the extent permitted by applicable law, purchase and redeem shares from a Fund on the basis of such knowledge, and other shareholders of a Fund, including non-discretionary client accounts advised by MAS, will not be informed of such purchases or redemptions. Redemptions by discretionary client accounts advised by MAS could have an adverse effect on a Fund and its other shareholders, including non-discretionary client accounts advised by MAS. In addition, MAS may effect subscriptions to and full or partial redemptions from a Fund for discretionary client accounts in advance of receiving directions from non-discretionary client accounts regarding such clients’ investments in a Fund, and non-discretionary client accounts may be adversely affected. See also “Large Shareholder Transactions Risk”.

Mid-Cap and Small-Cap Risk — Investments in mid-capitalization and small-capitalization companies involve greater risks than those associated with larger, more established companies. These securities may be subject to more abrupt or erratic price movements and may lack sufficient market liquidity, and these issuers often face greater business risks.


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Multi-Manager Approach Risk — The Funds’ performance depends on the ability of the Investment Adviser in selecting, overseeing, and allocating Fund assets to the Underlying Managers. The Underlying Managers’ investment styles may not always be complementary. The Funds’ multi-manager approach may result in the Fund investing a significant percentage of its assets in certain types of investments, which could be beneficial or detrimental to the Funds’ performance depending on the performance of those investments and the overall market environment. The Funds’ Underlying Managers may underperform the market generally or underperform other investment managers that could have been selected for the Funds. Because the Funds’ Underlying Managers may trade with counterparties, prime brokers, clearing brokers or futures commission merchants on terms that are different than those on which the Investment Adviser would trade, and because each Underlying Manager applies its own risk analysis in evaluating potential counterparties for the Funds, the Funds may be subject to greater counterparty risk than if they were managed directly by the Investment Adviser.