FUND |
CLASS
A
SHARES |
CLASS
C
SHARES |
INSTITUTIONAL
SHARES |
INVESTOR
SHARES |
CLASS
R
SHARES |
CLASS
R6
SHARES |
SERVICE
SHARES |
CLASS
P
SHARES |
GOLDMAN
SACHS
ABSOLUTE
RETURN
TRACKER
FUND |
GARTX |
GCRTX |
GJRTX |
GSRTX |
GRRTX |
GARUX |
— |
GSGPX |
GOLDMAN
SACHS
COMMODITY
STRATEGY
FUND |
GSCAX |
GSCCX |
GCCIX |
GCCTX |
GCCRX |
GCCUX |
— |
GGRPX |
GOLDMAN
SACHS
MANAGED
FUTURES
STRATEGY
FUND |
GMSAX |
GMSCX |
GMSSX |
GFIRX |
GFFRX |
GMSWX |
— |
GMQPX |
GOLDMAN
SACHS
REAL
ESTATE
SECURITIES
FUND |
GREAX |
GRECX |
GREIX |
GRETX |
GRERX |
GREUX |
GRESX |
GMJPX |
GOLDMAN
SACHS
GLOBAL
REAL
ESTATE
SECURITIES
FUND |
GARGX |
GARKX |
GARSX |
GARJX |
— |
GARVX |
— |
GGUPX |
GOLDMAN
SACHS
GLOBAL
INFRASTRUCTURE
FUND |
GGIAX |
GGICX |
GGIDX |
GGINX |
— |
GGIJX |
— |
GGWPX |
GOLDMAN
SACHS U.S.
EQUITY
DIVIDEND
AND
PREMIUM FUND |
GSPAX |
GSPQX |
GSPKX |
GVIRX |
— |
GIDWX |
— |
GSFPX |
GOLDMAN
SACHS
INTERNATIONAL
EQUITY
DIVIDEND
AND
PREMIUM FUND |
GIDAX |
GIDCX |
GIDHX |
GIRVX |
— |
GIDUX |
— |
GGHPX |
GOLDMAN
SACHS U.S.
TAX-MANAGED
EQUITY
FUND |
GCTAX |
GCTCX |
GCTIX |
GQIRX |
— |
GCTRX |
GCTSX |
GSDPX |
GOLDMAN
SACHS
INTERNATIONAL
TAX-MANAGED
EQUITY
FUND |
GATMX |
GCTMX |
GHTMX |
GITRX |
— |
GHTRX |
— |
GGCPX |
B-5 | |
B-5 | |
B-14 | |
B-69 | |
B-77 | |
B-94 | |
B-116 | |
B-137 | |
B-140 | |
B-143 | |
B-146 | |
B-155 | |
B-155 | |
B-156 | |
B-166 | |
B-171 | |
B-176 | |
B-179 | |
B-181 | |
1-A | |
1-B | |
1-C | |
1-D |
Name,
Address
and
Age1
|
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2
|
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3
|
Other
Directorships
Held
by
Trustee4
|
Gregory
G.
Weaver
Age:
72 |
Chair
of the
Board
of
Trustees |
Since
2023
(Trustee
since
2015) |
Mr.
Weaver is retired. He is Director, Verizon
Communications
Inc. (2015–Present); and was
formerly
Chairman and Chief Executive Officer,
Deloitte
& Touche LLP (a professional services firm)
(2001–2005
and 2012–2014); and Member of the
Board
of Directors, Deloitte & Touche LLP
(2006–2012).
Chair
of the Board of Trustees—Goldman Sachs
Trust;
Goldman Sachs Variable Insurance Trust;
Goldman
Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; and Goldman Sachs
Real
Estate Diversified Income Fund. |
181 |
Verizon
Communications
Inc. |
Cheryl
K.
Beebe
Age:
68 |
Trustee |
Since
2024 |
Ms.
Beebe is retired. She is Director, Packaging
Corporation
of America (2008–Present); Director, The
Mosaic
Company (2019–Present); Director,
HanesBrands
Inc. (2020–Present); and was formerly
Director,
Convergys Corporation (a global leader in
customer
experience outsourcing) (2015–2018); and
formerly
held the position of Executive Vice
President,
(2010–2014); and Chief Financial Officer,
Ingredion,
Inc. (a leading global ingredient solutions
company)
(2004–2014).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
Packaging
Corporation
of
America
(producer
of
container
board);
The
Mosaic
Company
(producer
of
phosphate
and
potash
fertilizer);
HanesBrands
Inc.
(a
multinational
clothing
company) |
Name,
Address
and
Age1 |
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2 |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3 |
Other
Directorships
Held
by
Trustee4 |
Dwight
L.
Bush
Age:
67 |
Trustee |
Since
2020 |
The
Honorable Dwight Bush is President and CEO of
D.L.
Bush & Associates (a financial advisory and
private
investment firm) (2002–2014 and
2017–present);
Director of MoneyLion, Inc. (an
operator
of a data-driven, digital financial platform)
(2021–present);
and was formerly U.S. Ambassador to
the
Kingdom of Morocco (2014–2017) and a Member
of
the Board of Directors of Santander Bank, N.A.
(2018–2019).
Previously, he served as an Advisory
Board
Member of Goldman Sachs Trust and Goldman
Sachs
Variable Insurance Trust (October
2019–January
2020).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
MoneyLion,
Inc.
(an
operator of a
data-driven,
digital
financial
platform) |
Kathryn
A.
Cassidy
Age:
70 |
Trustee |
Since
2015 |
Ms.
Cassidy is retired. She is Director, Vertical
Aerospace
Ltd. (an aerospace and technology
company)
(2021–present). Formerly, Ms. Cassidy was
Advisor
to the Chairman (May 2014–December
2014);
and Senior Vice President and Treasurer
(2008–2014),
General Electric Company & General
Electric
Capital Corporation (technology and financial
services
companies).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
Vertical
Aerospace
Ltd.
(an
aerospace
and
technology
company) |
John
G. Chou
Age:
67 |
Trustee |
Since
2022 |
Mr.
Chou is retired. Formerly, he was Executive Vice
President
and Special Advisor to the Chairman and
CEO
(2021–2022); Executive Vice President and
Chief
Legal Officer (2019–2021); Executive Vice
President
and Chief Legal & Business Officer
(2017–2019);
and Executive Vice President and
General
Counsel (2011–2017) of Cencora, Inc. (a
pharmaceutical
and healthcare company).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
None |
Name,
Address
and
Age1 |
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2 |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3 |
Other
Directorships
Held
by
Trustee4 |
Joaquin
Delgado
Age:
64 |
Trustee |
Since
2020 |
Dr.
Delgado is retired. He is Director, Stepan
Company
(a specialty chemical manufacturer)
(2011–present);
and was formerly Director,
Hexion
Inc. (a specialty chemical manufacturer)
(2019–2022);
Executive Vice President, Consumer
Business
Group of 3M Company (July 2016–July
2019);
and Executive Vice President, Health Care
Business
Group of 3M Company (October 2012–July
2016).
Previously, Dr. Delgado served as an Advisory
Board
Member of Goldman Sachs Trust and Goldman
Sachs
Variable Insurance Trust (October 2019–
January
2020).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
Stepan
Company
(a
specialty
chemical
manufacturer) |
Eileen
H.
Dowling
Age:
61 |
Trustee |
Since
2021 |
Ms.
Dowling is retired. Formerly, she was Senior
Advisor
(April 2021–September 2021); and Managing
Director
(2013–2021), BlackRock, Inc. (a financial
services
firm). As Managing Director, she held senior
management
positions, including Global Head of
Global
Consultant Relations (2017–2021),
Multinational
Corporations (2019–2021), the
Institutional
Product Group (2015–2019) and
Institutional
Marketing (2013–2016). Ms. Dowling
was
a member of the Global Operating Committee and
Product
Executive Committee on BlackRock.
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
None |
Lawrence
Hughes
Age:
65 |
Trustee |
Since
2024 |
Mr.
Hughes is retired. Formerly, he held senior
management
positions with BNY Mellon Wealth
Management,
a division of The Bank of New York
Mellon
Corporation (a financial services company)
(1991–2015),
most recently as Chief Executive
Officer
(2010–2015). Previously, Mr. Hughes served
as
an Advisory Board Member of Goldman Sachs
Trust
II (February 2016–April 2016).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
None |
Name,
Address
and
Age1 |
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2 |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3 |
Other
Directorships
Held
by
Trustee4 |
John
F. Killian
Age:
69 |
Trustee |
Since
2024 |
Mr.
Killian is retired. He is Director, Consolidated
Edison,
Inc. (2007–Present); and was formerly
Director,
Houghton Mifflin Harcourt Publishing
Company
(2011–2022). Previously, he held senior
management
positions with Verizon
Communications,
Inc., including Executive Vice
President
and Chief Financial Officer (2009–2010);
and
President, Verizon Business, Verizon
Communications,
Inc. (2005–2009).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
Consolidated
Edison,
Inc. (a
utility
holding
company) |
Steven
D.
Krichmar
Age:
65 |
Trustee |
Since
2024 |
Mr.
Krichmar is retired. Formerly, he held senior
management
and governance positions with Putnam
Investments,
LLC, a financial services company
(2001–2016).
He was most recently Chief of
Operations
and a member of the Operating Committee
of
Putnam Investments, LLC and Principal Financial
Officer
of The Putnam Funds. Previously, Mr.
Krichmar
served as an Audit Partner with
PricewaterhouseCoopers
LLP and its predecessor
company
(1990–2001).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
None |
Michael
Latham
Age:
58 |
Trustee |
Since
2024 |
Mr.
Latham is retired. Formerly, he held senior
management
positions with the iShares
exchange-traded
fund business owned by
BlackRock,
Inc., including Chairman (2011–2014);
Global
Head (2010–2011); U.S. Head (2007–2010);
and
Chief Operating Officer (2003–2007).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
Goldman Sachs Real Estate Diversified
Income
Fund; and Goldman Sachs Credit
Income
Fund. |
182 |
None |
Name,
Address
and
Age1 |
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2 |
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3 |
Other
Directorships
Held
by
Trustee4 |
Lawrence
W.
Stranghoener
Age:
69 |
Trustee |
Since
2024 |
Mr.
Stranghoener is retired. He is Chairman,
Kennametal,
Inc. (a global manufacturer and
distributor
of tooling and industrial materials)
(2003–Present);
and was formerly Director, Aleris
Corporation
and Aleris International, Inc. (a producer
of
aluminum rolled products) (2011–2020); Interim
Chief
Executive Officer (2014) and Executive Vice
President
and Chief Financial Officer (2004–2014),
Mosaic
Company (a fertilizer manufacturing
company).
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund.
Chair
of the Board of Trustees—Goldman Sachs
Credit
Income Fund. |
182 |
Kennametal,
Inc.
(a
global
manufacturer
and
distributor of
tooling
and
industrial
materials) |
Paul
C. Wirth
Age:
66 |
Trustee |
Since
2022 |
Mr.
Wirth is retired. He is Executive Advisor, My Next
Season
LLC (a career transition advisory firm)
(2023–present).
Formerly, he was Deputy Chief
Financial
Officer and Principal Accounting Officer
(2011–2020);
Finance Director and Principal
Accounting
Officer (2010–2011); and Managing
Director,
Global Controller, and Chief Accounting
Officer
(2005–2010) of Morgan Stanley.
Trustee—Goldman
Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II;
Goldman
Sachs ETF Trust; Goldman Sachs ETF Trust
II;
and Goldman Sachs Real Estate Diversified
Income
Fund. |
181 |
None
|
Name,
Address
and
Age1
|
Position(s)
Held
with
the
Trust |
Term
of
Office
and
Length
of
Time
Served2
|
Principal
Occupation(s)
During
Past 5 Years |
Number
of
Portfolios
in
Fund
Complex
Overseen
by
Trustee3
|
Other
Directorships
Held
by
Trustee4
|
James
A.
McNamara*
Age:
61 |
President
and
Trustee |
Since
2007 |
Advisory
Director, Goldman Sachs (January
2018–Present);
Managing Director, Goldman Sachs
(January
2000–December 2017); Director of
Institutional
Fund Sales, GSAM (April
1998–December
2000); and Senior Vice President and
Manager,
Dreyfus Institutional Service Corporation (a
financial
services firm) (January 1993–April 1998).
President
and Trustee—Goldman Sachs Trust;
Goldman
Sachs Variable Insurance Trust; Goldman
Sachs
Trust II; Goldman Sachs ETF Trust; Goldman
Sachs
ETF Trust II; Goldman Sachs Credit
Income
Fund; and Goldman Sachs Real Estate
Diversified
Income Fund. |
182 |
None |
Name,
Age
and
Address |
Position(s)
Held
with
the Trust |
Term
of Office and
Length
of Time
Served1
|
Principal
Occupation(s) During Past 5 Years |
James
A. McNamara
200
West Street
New
York, NY 10282
Age:
61 |
Trustee
and
President |
Since
2007 |
Advisory
Director, Goldman Sachs (January 2018 – Present);
Managing
Director, Goldman Sachs (January 2000 – December 2017);
Director
of Institutional Fund Sales, GSAM (April 1998 –
December 2000);
and Senior Vice President and Manager, Dreyfus
Institutional
Service Corporation (a financial services firm)
(January 1993
– April 1998).
President
and Trustee—Goldman Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II; Goldman
Sachs
ETF Trust; Goldman Sachs ETF Trust II; Goldman Sachs Credit
Income
Fund; and Goldman Sachs Real Estate Diversified
Income
Fund. |
Joseph
F. DiMaria
30
Hudson Street
Jersey
City, NJ 07302
Age:
55 |
Treasurer,
Principal
Financial
Officer
and
Principal
Accounting
Officer |
Since
2017
(Treasurer
and
Principal
Financial
Officer
since
2019) |
Managing
Director, Goldman Sachs (November 2015 – Present) and
Vice
President – Mutual Fund Administration, Columbia Management
Investment
Advisers, LLC (May 2010 – October 2015).
Treasurer,
Principal Financial Officer and Principal Accounting
Officer—Goldman
Sachs Trust (previously Assistant Treasurer
(2016));
Goldman Sachs Variable Insurance Trust (previously Assistant
Treasurer
(2016)); Goldman Sachs Trust II (previously Assistant
Treasurer
(2017)); Goldman Sachs ETF Trust (previously Assistant
Treasurer
(2017)); Goldman Sachs ETF Trust II; Goldman Sachs
Credit
Income Fund; and Goldman Sachs Real Estate Diversified
Income
Fund. |
Jessica
Moran
200
West Street
New
York, NY 10282
Age:
39 |
Chief
Compliance
Officer |
Since
2013 |
Vice
President, Goldman Sachs (April 2017 – Present).
Chief
Compliance Officer—Goldman Sachs Trust; Goldman Sachs
Variable
Insurance Trust; Goldman Sachs Trust II; Goldman
Sachs
ETF Trust; Goldman Sachs ETF Trust II; and Goldman Sachs
Real
Estate Diversified Income Fund. |
Peter
W. Fortner
30
Hudson Street
Jersey
City, NJ 07302
Age:
66 |
Assistant
Treasurer |
Since
2000 |
Vice
President, Goldman Sachs (July 2000 – Present); Principal
Accounting
Officer and Treasurer, Commerce Bank Mutual Fund
Complex
(2008 – Present); Treasurer of Goldman Sachs
Philanthropy
Fund (2019 – Present); and Treasurer of Ayco Charitable
Foundation
(2020 – Present).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; Goldman Sachs Credit Income Fund;
and
Goldman Sachs Real Estate Diversified Income
Fund. |
Name,
Age
and
Address |
Position(s)
Held
with
the Trust |
Term
of Office and
Length
of Time
Served1 |
Principal
Occupation(s) During Past 5 Years |
Allison
Fracchiolla
30
Hudson Street
Jersey
City, NJ 07302
Age:
40 |
Assistant
Treasurer |
Since
2014 |
Vice
President, Goldman Sachs (January 2013 – Present).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; and Goldman Sachs Real Estate
Diversified
Income Fund. |
Kirsten
Frivold Imohiosen
200
West Street
New
York, NY 10282
Age:
54 |
Assistant
Treasurer |
Since
2019 |
Managing
Director, Goldman Sachs (January 2018 – Present); and
Vice
President, Goldman Sachs (May 1999 – December 2017).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.;
Goldman
Sachs Private Middle Market Credit LLC; Goldman Sachs
Private
Middle Market Credit II LLC; Goldman Sachs Middle Market
Lending
Corp.; Goldman Sachs ETF Trust; Goldman Sachs ETF Trust
II;
Goldman Sachs Credit Income Fund; and Goldman Sachs Real
Estate
Diversified Income Fund. |
Steven
Z. Indich
30
Hudson Street
Jersey
City, NJ 07302
Age:
54 |
Assistant
Treasurer |
Since
2019 |
Vice
President, Goldman Sachs (February 2010 – Present).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.;
Goldman
Sachs Private Middle Market Credit LLC; Goldman Sachs
Private
Middle Market Credit II LLC; Goldman Sachs Middle Market
Lending
Corp.; Goldman Sachs ETF Trust; Goldman Sachs ETF Trust
II;
Goldman Sachs Credit Income Fund; and Goldman Sachs Real
Estate
Diversified Income Fund. |
Elaine
Leung
30
Hudson Street
Jersey
City, NJ
07302
Age:
49 |
Assistant
Treasurer |
Since
2023 |
Vice
President, Goldman Sachs (January 2021 – Present); and
Associate,
Goldman Sachs (March 2014 – December 2020).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; and Goldman Sachs Real Estate
Diversified
Income Fund. |
Carol
Liu
30
Hudson Street
Jersey
City, NJ 07302
Age:
49 |
Assistant
Treasurer |
Since
2019 |
Vice
President, Goldman Sachs (October 2017 – Present); Tax
Director,
The Raine Group LLC (August 2015 – October 2017); and
Tax
Director, Icon Investments LLC (January 2012 – August 2015).
Assistant
Treasurer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs BDC, Inc.;
Goldman
Sachs Private Middle Market Credit LLC; Goldman Sachs
Private
Middle Market Credit II LLC; Goldman Sachs Middle Market
Lending
Corp.; Goldman Sachs ETF Trust; Goldman Sachs ETF Trust
II;
Goldman Sachs Credit Income Fund; and Goldman Sachs Real
Estate
Diversified Income Fund. |
Christopher
Bradford
200
West Street
New
York, NY 10282
Age:
42 |
Vice
President |
Since
2020 |
Vice
President, Goldman Sachs (January 2014 – Present).
Vice
President—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; Goldman Sachs Real Estate Diversified
Income
Fund; and Goldman Sachs Credit Income
Fund. |
Name,
Age
and
Address |
Position(s)
Held
with
the Trust |
Term
of Office and
Length
of Time
Served1 |
Principal
Occupation(s) During Past 5 Years |
Kenneth
Cawley
71
South Wacker Drive
Chicago,
IL 60606
Age:
54 |
Vice
President |
Since
2021 |
Managing
Director, Goldman Sachs (2017 – Present), Vice President
(December
1999 – 2017); Associate (December 1996 – December
1999);
Associate, Discover Financial (August 1994 – December 1996).
Vice
President—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; and Goldman Sachs Trust II. |
Anney
Chi
200
West Street
New
York, NY 10282
Age:
41 |
Vice
President |
Since
2022 |
Vice
President, Goldman Sachs (2014 – Present).
Vice
President—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; and Goldman Sachs Real Estate
Diversified
Income Fund. |
TP
Enders
200
West Street
New
York, NY 10282
Age:
55 |
Vice
President |
Since
2021 |
Managing
Director, Goldman Sachs (January 2012 – Present); Vice
President,
Goldman Sachs (April 2004 – December 2011).
Vice
President—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; Goldman Sachs Credit Income Fund;
and
Goldman Sachs Real Estate Diversified Income
Fund. |
Frank
Murphy
200
West Street
New
York, NY 10282
Age:
49 |
Vice
President |
Since
2019 |
Managing
Director, Goldman Sachs (2015 – Present); Vice President,
Goldman
Sachs (2003 – 2014); Associate, Goldman Sachs (2001 –
2002);
and Analyst, Goldman Sachs (1999 – 2001).
Vice
President—Goldman Sachs Trust; and Goldman Sachs Variable
Insurance
Trust. |
Caroline
L. Kraus
200
West Street
New
York, NY 10282
Age:
47 |
Chief
Legal
Officer |
Since
2012 |
Managing
Director, Goldman Sachs (January 2016 – Present); Vice
President,
Goldman Sachs (August 2006 – December 2015); Senior
Counsel,
Goldman Sachs (January 2020 – Present); Associate General
Counsel,
Goldman Sachs (2012 – December 2019); Assistant General
Counsel,
Goldman Sachs (August 2006 – December 2011); and
Associate,
Weil, Gotshal & Manges, LLP (2002 – 2006).
Chief
Legal Officer—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; Goldman Sachs Real Estate Diversified
Income
Fund; Goldman Sachs BDC, Inc.; Goldman Sachs Private
Middle
Market Credit LLC; Goldman Sachs Private Middle Market
Credit
II LLC; Goldman Sachs Private Credit Corp.; Phillip Street
Middle
Market Lending Fund LLC; and Goldman Sachs Middle
Market
Lending Corp. II.
Secretary—Goldman
Sachs BDC, Inc.; Goldman Sachs Private Middle
Market
Credit LLC; Goldman Sachs Private Middle Market Credit II
LLC;
Goldman Sachs Private Credit Corp.; Phillip Street Middle
Market
Lending Fund LLC; Goldman Sachs Middle Market Lending
Corp.
II; and Goldman Sachs Credit Income
Fund. |
Name,
Age
and
Address |
Position(s)
Held
with
the Trust |
Term
of Office and
Length
of Time
Served1 |
Principal
Occupation(s) During Past 5 Years |
Robert
Griffith
200
West Street
New
York, NY 10282
Age:
49 |
Secretary |
Since
2022 |
Managing
Director, Goldman Sachs (September 2022 – Present);
General
Counsel, Exchange Traded Concepts, LLC (October 2021 –
September
2022); Vice President, Goldman Sachs (August 2011 –
October
2021); Associate General Counsel, Goldman Sachs
(December
2014 – Present); Assistant General Counsel, Goldman
Sachs
(August 2011 – December 2014); Vice President and Counsel,
Nomura
Holding America, Inc. (2010 – 2011); and Associate, Simpson
Thacher
& Bartlett LLP (2005 – 2010).
Secretary—Goldman
Sachs Trust (previously Assistant Secretary
(2022));
Goldman Sachs Variable Insurance Trust (previously Assistant
Secretary
(2022)); Goldman Sachs Trust II (previously Assistant
Secretary
(2022)); Goldman Sachs ETF Trust (previously Assistant
Secretary
(2022)); Goldman Sachs ETF Trust II (previously Assistant
Secretary
(2022)); and Goldman Sachs Real Estate Diversified
Income
Fund (previously Assistant Secretary (2022)). |
Shaun
Cullinan
200
West Street
New
York, NY 10282
Age:
44 |
Assistant
Secretary |
Since
2018 |
Managing
Director, Goldman Sachs (2018 – Present); Vice President,
Goldman
Sachs (2009 – 2017); Associate, Goldman Sachs (2006 –
2008);
Analyst, Goldman Sachs (2004 – 2005).
Assistant
Secretary—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; and Goldman Sachs Trust II. |
Shane
Shannon
200
West Street
New
York, NY 10282
Age:
38 |
Assistant
Secretary |
Since
2023 |
Vice
President, Goldman Sachs (December 2021 – Present); Associate,
K&L
Gates LLP (2014 – 2021).
Assistant
Secretary—Goldman Sachs Trust; Goldman Sachs Variable
Insurance
Trust; Goldman Sachs Trust II; Goldman Sachs ETF Trust;
Goldman
Sachs ETF Trust II; and Goldman Sachs Real Estate
Diversified
Income Fund. |
Name
of Trustee |
Dollar
Range of Equity Securities in the
Funds(1)
|
Aggregate
Dollar Range of
Equity
Securities in All
Portfolios
in Fund Complex
Overseen
By Trustee |
Gregory
G. Weaver |
None |
Over
$100,000 |
Cheryl
K. Beebe(2)
|
None |
Over
$100,000 |
Dwight
L. Bush |
None |
None |
Kathryn
A. Cassidy |
Absolute
Return Tracker:
$10,001-$50,000 |
Over
$100,000 |
John
G. Chou |
None |
Over
$100,000 |
Joaquin
Delgado |
None |
Over
$100,000 |
Eileen
H. Dowling |
Commodity
Strategy:
$10,001-$50,000
Managed
Futures Strategy:
$10,001-$50,000
U.S.
Tax-Managed Equity Fund:
$10,001-$50,000 |
$10,001-$50,000 |
Lawrence
Hughes(2)
|
None |
Over
$100,000 |
John
F. Killian(2)
|
None |
None |
Steven
D. Krichmar(2)
|
None |
None |
Michael
Latham(2)
|
None |
None |
Lawrence
W. Stranghoener(2)
|
None |
None |
Paul
C. Wirth |
None |
Over
$100,000 |
James
A. McNamara |
U.S.
Equity Dividend and
Premium
Fund: Over $100,000 |
Over
$100,000 |
Name
of Trustee |
Absolute
Return
Tracker |
Commodity
Strategy |
Managed
Futures
Strategy |
Real
Estate
Securities |
Global
Real
Estate
Securities |
Global
Infrastructure |
U.S.
Equity
Dividend
and
Premium |
International
Equity
Dividend
and
Premium |
U.S.
Tax-
Managed
Equity |
International
Tax-Managed
Equity |
Gregory
G. Weaver(1)
|
$5,063 |
$4,294 |
$4,189 |
$4,116 |
$4,120 |
$4,147 |
$4,872 |
$4,126 |
$4,768 |
$4,281 |
Cheryl
K. Beebe(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Dwight
L. Bush |
$3,403 |
$2,886 |
$2,816 |
$2,766 |
$2,769 |
$2,787 |
$3,274 |
$2,773 |
$3,205 |
$2,877 |
Kathryn
A. Cassidy(3)
|
$4,002 |
$3,394 |
$3,312 |
$3,254 |
$3,257 |
$3,278 |
$3,851 |
$3,262 |
$3,769 |
$3,384 |
John
G. Chou |
$3,403 |
$2,886 |
$2,816 |
$2,766 |
$2,769 |
$2,787 |
$3,274 |
$2,773 |
$3,205 |
$2,877 |
Joaquin
Delgado |
$3,403 |
$2,886 |
$2,816 |
$2,766 |
$2,769 |
$2,787 |
$3,274 |
$2,773 |
$3,205 |
$2,877 |
Eileen
H. Dowling |
$3,403 |
$2,886 |
$2,816 |
$2,766 |
$2,769 |
$2,787 |
$3,274 |
$2,773 |
$3,205 |
$2,877 |
Lawrence
Hughes(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
John
F. Killian(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Steven
D. Krichmar(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Michael
Latham(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Lawrence
W. Stranghoener(2)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Paul
C. Wirth |
$3,403 |
$2,886 |
$2,816 |
$2,766 |
$2,769 |
$2,787 |
$3,274 |
$2,773 |
$3,205 |
$2,877 |
James
A. McNamara(4)
|
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Name
of Trustee |
Pension
or Retirement
Benefits
Accrued as
Part
of the Trust’s
Expenses |
Total
Compensation From
Fund
Complex (including the
Funds)(5)
|
Gregory
G. Weaver(1)
|
$0 |
$549,000 |
Cheryl
K. Beebe(2)
|
$0 |
$360,000 |
Dwight
L. Bush |
$0 |
$369,000 |
Kathryn
A. Cassidy(3)
|
$0 |
$434,000 |
John
G. Chou |
$0 |
$369,000 |
Joaquin
Delgado |
$0 |
$369,000 |
Eileen
H. Dowling |
$0 |
$369,000 |
Lawrence
Hughes(2)
|
$0 |
$285,000 |
John
F. Killian(2)
|
$0 |
$285,000 |
Steven
D. Krichmar(2)
|
$0 |
$285,000 |
Michael
Latham(2)
|
$0 |
$320,000 |
Lawrence
W. Stranghoener(2)
|
$0 |
$285,000 |
Paul
C. Wirth |
$0 |
$369,000 |
James
A. McNamara(4)
|
— |
— |
Fund |
Contractual
Rate |
Actual
Rate for the Fiscal Year
Ended
December 31, 2023 |
Absolute
Return Tracker Fund |
0.70%
on the first $1 billion |
0.54%* |
|
0.63%
on the next $1 billion |
|
|
0.60%
on the next $3 billion |
|
|
0.59%
on the next $3 billion |
|
|
0.53%
over $8 billion |
|
Commodity
Strategy Fund |
0.50%
on the first $1 billion |
0.40%** |
|
0.50%
on the next $1 billion |
|
|
0.45%
on the next $3 billion |
|
|
0.43%
on the next $3 billion |
|
|
0.42%
over $8 billion |
|
Managed
Futures Strategy Fund |
1.00%
on the first $1 billion |
0.88%*** |
|
0.90%
on the next $1 billion |
|
|
0.86%
on the next $3 billion |
|
|
0.84%
on the next $3 billion |
|
|
0.82%
over $8 billion |
|
Real
Estate Securities Fund |
0.87%
on the first $1 billion |
0.84% |
|
0.78%
on the next $1 billion |
|
|
0.74%
on the next $3 billion |
|
|
0.73%
on the next $3 billion |
|
|
0.71%
over $8 billion |
|
Global
Real Estate Securities Fund |
0.93%
on the first $1 billion |
0.93% |
|
0.84%
on the next $1 billion |
|
|
0.80%
on the next $3 billion |
|
|
0.78%
on the next $3 billion |
|
|
0.76%
over $8 billion |
|
Fund |
Contractual
Rate |
Actual
Rate for the Fiscal Year
Ended
December 31, 2023 |
Global
Infrastructure Fund |
0.90%
on the first $1 billion |
0.90% |
|
0.81%
on the next $1 billion |
|
|
0.77%
on the next $3 billion |
|
|
0.75%
on the next $3 billion |
|
|
0.74%
over $8 billion |
|
U.S.
Equity Dividend and Premium Fund |
0.75%
on the first $1 billion |
0.64% |
|
0.68%
on the next $1 billion |
|
|
0.65%
on the next $3 billion |
|
|
0.64%
on the next $3 billion |
|
|
0.63%
over $8 billion |
|
International
Equity Dividend and
Premium
Fund |
0.81%
on the first $1 billion |
0.81% |
|
0.73%
on the next $1 billion |
|
|
0.69%
on the next $3 billion |
|
|
0.68%
on the next $3 billion |
|
|
0.67%
over $8 billion |
|
U.S.
Tax-Managed Equity Fund |
0.70%
on the first $1 billion |
0.65% |
|
0.63%
on the next $1 billion |
|
|
0.60%
on the next $3 billion |
|
|
0.59%
on the next $3 billion |
|
|
0.58%
over $8 billion |
|
International
Tax-Managed Equity Fund |
0.85%
on the first $1 billion |
0.85% |
|
0.77%
on the next $1 billion |
|
|
0.73%
on the next $3 billion |
|
|
0.72%
on the next $3 billion |
|
|
0.71%
over $8 billion |
|
|
2023 |
2022 |
2021 | |||
Fund |
With
Fee
Limitations |
Without
Fee
Limitations |
With
Fee Limitations |
Without
Fee Limitations |
With
Fee Limitations |
Without
Fee Limitations |
Absolute
Return Tracker Fund1
|
$20,091,176 |
$23,749,470 |
$21,580,655 |
$24,464,785 |
$22,471,679 |
$23,267,444 |
Commodity
Strategy Fund2
|
$3,853,104 |
$4,681,328 |
4,789,044 |
5,840,407 |
1,830,700 |
2,242,669 |
Managed
Futures Strategy Fund3
|
$3,494,774 |
$4,288,828 |
3,359,283 |
4,154,343 |
2,650,632 |
2,926,300 |
Real
Estate Securities Fund4
|
$913,216 |
$942,518 |
1,231,650 |
1,233,253 |
1,315,703 |
1,316,617 |
Global
Real Estate Securities Fund5
|
$1,131,727 |
$1,134,756 |
1,472,350 |
1,475,082 |
1,587,047 |
1,587,948 |
Global
Infrastructure Fund6
|
$2,041,489 |
$2,045,608 |
2,481,961 |
2,488,029 |
2,142,881 |
2,146,703 |
U.S.
Equity Dividend and Premium Fund7
|
$18,791,025 |
$20,296,035 |
18,406,340 |
19,582,496 |
19,187,901 |
20,379,407 |
International
Equity Dividend and Premium Fund8
|
$1,195,331 |
$1,195,651 |
1,260,285 |
1,260,622 |
1,536,886 |
1,536,989 |
U.S.
Tax-Managed Equity Fund9
|
$16,546,087 |
$16,547,244 |
15,350,252 |
15,355,494 |
14,965,098 |
14,967,449 |
International
Tax-Managed Equity Fund10
|
$6,162,287 |
$6,162,287 |
6,132,675 |
6,133,310 |
6,617,647 |
6,618,015 |
Average
Daily Net Assets |
Contractual
Management Fee Annual Rate |
First
$250 million |
0.15% |
Next
$250 million |
0.25% |
Over
$500 million |
0.20% |
Name
of Portfolio Manager |
Number
of Other Accounts Managed and Total Assets by
Account
Type†
|
Number
of Other Accounts and Total Assets for Which
Advisory
Fee is Performance Based†
| |||||||||||
Registered
Investment
Companies |
Other
Pooled
Investment
Vehicles |
Other
Accounts |
Registered
Investment
Companies |
Other
Pooled
Investment
Vehicles |
Other
Accounts | ||||||||
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed | ||
Absolute
Return Tracker Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Oliver
Bunn |
12 |
$8,269 |
8 |
$3,151 |
4 |
$185 |
0 |
$- |
0 |
$- |
0 |
$- | |
Commodity
Strategy Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
CoreCommodity
Management |
|
|
|
|
|
|
|
|
|
|
|
| |
Robert
Hyman |
2 |
$1,794 |
2 |
$146 |
0 |
$- |
0 |
$- |
0 |
$- |
0 |
$- | |
Managed
Futures Strategy Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Oliver
Bunn |
12 |
$8,269 |
8 |
$3,151 |
4 |
$185 |
0 |
$- |
0 |
$- |
0 |
$- | |
Momoko
Ono |
4 |
$1,515 |
1 |
$58 |
0 |
$- |
0 |
$- |
0 |
$- |
0 |
$- | |
Jay
Seo |
4 |
$1,515 |
1 |
$58 |
0 |
$- |
0 |
$- |
0 |
$- |
0 |
$- | |
Real
Estate Securities Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
Real
Estate Securities Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Kristin
Kuney |
6 |
$920 |
9 |
$837 |
26 |
$732 |
0 |
$- |
0 |
$- |
0 |
$- | |
Timothy
Ryan |
2 |
$460 |
1 |
$519 |
14 |
$150 |
0 |
$- |
0 |
$- |
0 |
$- | |
Abhinav
Zutshi |
5 |
$648 |
3 |
$183 |
3 |
$471 |
0 |
$- |
0 |
$- |
0 |
$- | |
Global
Real Estate Securities Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
Real
Estate Securities Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Kristin
Kuney |
6 |
$920 |
9 |
$837 |
26 |
$732 |
0 |
$- |
0 |
$- |
0 |
$- | |
Frankie
Chun Wah Lee |
1 |
$150 |
5 |
$106 |
7 |
$96 |
0 |
$- |
0 |
$- |
0 |
$- | |
Global
Infrastructure Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
Global
Infrastructure Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Kristin
Kuney |
6 |
$920 |
9 |
$837 |
26 |
$732 |
0 |
$- |
0 |
$- |
0 |
$- | |
Abhinav
Zutshi |
5 |
$648 |
3 |
$183 |
3 |
$471 |
0 |
$- |
0 |
$- |
0 |
$- | |
U.S.
Equity Dividend and Premium Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Monali
Vora |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
Aron
Kershner |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
John
Sienkiewicz |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
International
Equity Dividend and
Premium
Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Monali
Vora |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
Aron
Kershner |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
John
Sienkiewicz |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
U.S.
Tax-Managed Equity Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Osman
Ali |
41 |
$22,294 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 | |
Monali
Vora |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
John
Sienkiewicz |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
Len
Ioffe |
42 |
$27,378 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 | |
Dennis
Walsh |
41 |
$22,294 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 |
Name
of Portfolio Manager |
Number
of Other Accounts Managed and Total Assets by
Account
Type† |
Number
of Other Accounts and Total Assets for Which
Advisory
Fee is Performance Based† | |||||||||||
Registered
Investment
Companies |
Other
Pooled
Investment
Vehicles |
Other
Accounts |
Registered
Investment
Companies |
Other
Pooled
Investment
Vehicles |
Other
Accounts | ||||||||
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed |
Number
of
Accounts |
Assets
Managed | ||
International
Tax-Managed Equity Fund |
|
|
|
|
|
|
|
|
|
|
|
| |
QIS
Team |
|
|
|
|
|
|
|
|
|
|
|
| |
Osman
Ali |
41 |
$22,294 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 | |
Monali
Vora |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
John
Sienkiewicz |
9 |
$7,861 |
5 |
$7,262 |
38,556 |
$146,268 |
0 |
$- |
0 |
$- |
0 |
$- | |
Len
Ioffe |
42 |
$27,378 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 | |
Dennis
Walsh |
41 |
$22,294 |
33 |
$10,760 |
27 |
$6,664 |
0 |
$- |
0 |
$- |
4 |
$8,813 |
Name
of Portfolio Manager |
Dollar
Range of
Equity
Securities
Beneficially
Owned
by
Portfolio Manager |
Absolute
Return Tracker Fund | |
Oliver
Bunn |
$100,001-$500,000 |
Commodity
Strategy Fund | |
Robert
Hyman |
None |
Managed
Futures Strategy Fund | |
Oliver
Bunn |
$100,001-$500,000 |
Momoko
Ono |
$50,001-$100,000 |
Jay
Seo |
$10,001-$50,000 |
Real
Estate Securities Fund | |
Kristin
Kuney |
$100,001-$500,000 |
Timothy
Ryan |
$1-$10,000 |
Abhinav
Zutshi |
None |
Global
Real Estate Securities Fund | |
Kristin
Kuney |
$100,001-$500,000 |
Frankie
Chun Wah Lee |
$50,001-$100,000 |
Global
Infrastructure Fund | |
Kristin
Kuney |
$100,001-$500,000 |
Abhinav
Zutshi |
$10,001-$50,000 |
U.S.
Equity Dividend and Premium Fund | |
Monali
Vora |
$100,001-$500,000 |
Aron
Kershner |
$100,001-$500,000 |
John
Sienkiewicz |
$50,001-$100,000 |
International
Equity Dividend and Premium Fund | |
Monali
Vora |
$100,001-$500,000 |
Aron
Kershner |
$100,001-$500,000 |
John
Sienkiewicz |
$50,001-$100,000 |
U.S.
Tax-Managed Equity Fund | |
Osman
Ali |
None |
Name
of Portfolio Manager |
Dollar
Range of
Equity
Securities
Beneficially
Owned
by
Portfolio Manager |
Monali
Vora |
$100,001-$500,000 |
John
Sienkiewicz |
$50,001-$100,000 |
Len
Ioffe |
$10,001-$50,000 |
Dennis
Walsh |
$50,001-$100,000 |
International
Tax-Managed Equity Fund | |
Osman
Ali |
None |
Monali
Vora |
$100,001-$500,000 |
John
Sienkiewicz |
$50,001-$100,000 |
Len
Ioffe |
$10,001-$50,000 |
Dennis
Walsh |
$50,001-$100,000 |
Fund |
Fiscal
year ended
December
31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund |
$10,004 |
$9,357 |
$6,842 |
Commodity
Strategy Fund |
$6,672 |
$23,442 |
$8,087 |
Managed
Futures Strategy Fund |
$3,918 |
$6,968 |
$1,095 |
Real
Estate Securities Fund |
$482 |
$793 |
$2,731 |
Global
Real Estate Securities Fund |
$29 |
$6 |
— |
Global
Infrastructure Fund |
$45 |
$55 |
$35 |
U.S.
Equity Dividend and Premium Fund |
$33,873 |
$27,321 |
$19,352 |
International
Equity Dividend and
Premium
Fund |
$66 |
$19 |
$181 |
U.S.
Tax-Managed Equity Fund |
$4,370 |
$10,829 |
$2,081 |
International
Tax-Managed Equity Fund |
$125 |
$678 |
$302 |
Fund |
Dealer
Reallowance as
Percentage
of Offering Price |
Absolute
Return Tracker Fund |
5.00% |
Commodity
Strategy Fund |
4.00% |
Fund |
Dealer
Reallowance as
Percentage
of Offering Price |
Managed
Futures Strategy Fund |
5.00% |
Real
Estate Securities Fund |
5.00% |
Global
Real Estate Securities Fund |
5.00% |
Global
Infrastructure Fund |
5.00% |
U.S.
Equity Dividend and Premium Fund |
5.00% |
International
Equity Dividend and Premium Fund |
5.00% |
U.S.
Tax-Managed Equity Fund |
5.00% |
International
Tax-Managed Equity Fund |
5.00% |
Fund
and Class |
Transfer
Agency Fee |
Absolute
Return Tracker Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
Global
Infrastructure Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
Global
Real Estate Securities Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
Managed
Futures Strategy Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.03 |
Investor |
0.15 |
Fund
and Class |
Transfer
Agency Fee |
Class
R |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
Commodity
Strategy Fund |
|
Class
A |
0.12% |
Class
C |
0.12 |
Institutional |
0.04 |
Investor |
0.12 |
Class
R |
0.12 |
Class
R6 |
0.03 |
Class
P |
0.03 |
Real
Estate Securities Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R |
0.15 |
Service |
0.04 |
Class
R6 |
0.03 |
Class
P |
0.03 |
U.S.
Equity Dividend and Premium Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
International
Equity Dividend and Premium Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
International
Tax-Managed Equity Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Class
R6 |
0.03 |
Class
P |
0.03 |
U.S.
Tax-Managed Equity Fund |
|
Class
A |
0.15% |
Class
C |
0.15 |
Institutional |
0.04 |
Investor |
0.15 |
Service |
0.04 |
Fund
and Class |
Transfer
Agency Fee |
Class
R6 |
0.03 |
Class
P |
0.03 |
Fund |
Fiscal
year ended
December
31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund | |||
Class
A Shares |
$62,635 |
$78,130 |
$98,240 |
Class
C Shares |
7,644 |
11,068 |
13,623 |
Institutional
Shares |
1,012,347 |
1,218,721 |
1,200,567 |
Investor
Shares |
567,433 |
424,048 |
390,878 |
Class
P Shares |
67,200 |
73,220 |
67,309 |
Class
R Shares |
1,383 |
2,348 |
2,494 |
Class
R6 Shares |
143,496 |
46,344 |
25,175 |
Commodity
Strategy Fund | |||
Class
A Shares |
33,402 |
52,618 |
28,562 |
Class
C Shares |
5,827 |
7,155 |
2,459 |
Institutional
Shares |
115,675 |
133,977 |
68,918 |
Investor
Shares |
70,938 |
135,921 |
19,555 |
Class
P Shares |
79,072 |
103,892 |
21,888 |
Class
R Shares |
3,808 |
5,093 |
27,842 |
Class
R6 Shares |
42,133 |
42,273 |
3,448 |
Managed
Futures Strategy Fund | |||
Class
A Shares |
25,786 |
32,848 |
23,616 |
Class
C Shares |
8,540 |
8,065 |
5,929 |
Institutional
Shares |
33,180 |
39,177 |
21,601 |
Investor
Shares |
351,663 |
309,287 |
238,776 |
Class
P Shares |
4 |
4 |
7 |
Class
R Shares |
1,078 |
1,005 |
717 |
Class
R6 Shares |
18,959 |
21,142 |
2,901 |
Real
Estate Securities Fund | |||
Class
A Shares |
21,524 |
29,258 |
33,225 |
Class
C Shares |
1,213 |
1,823 |
2,077 |
Institutional
Shares |
9,903 |
11,843 |
13,546 |
Service
Shares |
134 |
161 |
342 |
Investor
Shares |
1,590 |
3,330 |
4,027 |
Class
P Shares |
19,389 |
26,292 |
27,145 |
Class
R Shares |
825 |
1,505 |
1,527 |
Class
R6 Shares |
723 |
497 |
178 |
Global
Real Estate Securities Fund | |||
Class
A Shares |
1,767 |
1,472 |
111 |
Class
C Shares |
71 |
92 |
91 |
Institutional
Shares |
654 |
1,351 |
910 |
Investor
Shares |
397 |
94 |
58 |
Fund |
Fiscal
year ended
December
31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Class
P Shares |
14,153 |
16,569 |
13,677 |
Class
R Shares1
|
24 |
51 |
56 |
Class
R6 Shares |
21,471 |
29,645 |
36,805 |
Global
Infrastructure Fund | |||
Class
A Shares |
377 |
2,407 |
787 |
Class
C Shares |
557 |
850 |
2,137 |
Institutional
Shares |
3,336 |
5,731 |
1,517 |
Investor
Shares |
2,317 |
1,645 |
514 |
Class
P Shares |
29,934 |
33,935 |
1,624 |
Class
R Shares1
|
30 |
56 |
51 |
Class
R6 Shares |
35,118 |
43,770 |
46,126 |
U.S.
Equity Dividend and Premium Fund | |||
Class
A Shares |
251,860 |
268,659 |
259,805 |
Class
C Shares |
112,798 |
140,393 |
181,712 |
Institutional
Shares |
496,290 |
474,968 |
524,489 |
Investor
Shares |
701,381 |
683,345 |
684,343 |
Class
P Shares |
201,106 |
187,820 |
196,684 |
Class
R6 Shares |
96,885 |
94,936 |
79,440 |
International
Equity Dividend and Premium Fund | |||
Class
A Shares |
2,569 |
2,771 |
3,500 |
Class
C Shares |
286 |
404 |
676 |
Institutional
Shares |
1,615 |
1,571 |
1,971 |
Investor
Shares |
2,611 |
3,435 |
7,999 |
Class
P Shares |
19,992 |
20,988 |
25,160 |
Class
R6 Shares |
22,023 |
23,284 |
28,003 |
U.S.
Tax-Managed Equity Fund | |||
Class
A Shares |
130,870 |
149,942 |
145,412 |
Class
C Shares |
24,619 |
28,227 |
31,901 |
Institutional
Shares |
23,569 |
23,293 |
21,680 |
Service
Shares |
1,200 |
861 |
883 |
Investor
Shares |
26,977 |
27,735 |
555,749 |
Class
P Shares |
58,017 |
55,449 |
56,936 |
Class
R6 Shares |
650,459 |
590,603 |
44,657 |
International
Tax-Managed Equity Fund | |||
Class
A Shares |
8,156 |
9,225 |
11,446 |
Class
C Shares |
1,087 |
1,289 |
1,624 |
Institutional
Shares |
4,537 |
4,037 |
4,363 |
Investor
Shares |
15,640 |
13,845 |
200,320 |
Class
P Shares |
19,459 |
20,510 |
23,337 |
Class
R6 Shares |
189,861 |
188,365 |
15,138 |
Fund |
Other
Expenses |
Absolute
Return Tracker Fund |
0.014% |
Commodity
Strategy Fund |
0.074% |
Managed
Futures Strategy Fund |
0.254% |
Real
Estate Securities Fund |
0.004% |
Global
Real Estate Securities Fund |
0.004% |
Global
Infrastructure Fund |
0.034% |
U.S.
Equity Dividend and Premium Fund |
0.004% |
International
Equity Dividend and Premium Fund |
0.044% |
U.S.
Tax-Managed Equity Fund |
0.044% |
International
Tax-Managed Equity Fund |
0.014% |
Fund |
Fiscal
year ended
December
31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund |
$1,052,385 |
$1,007,775 |
$894,699 |
Commodity
Strategy Fund |
483,613 |
150,986 |
523,580 |
Managed
Futures Strategy Fund |
109,680 |
37,887 |
120,954 |
Real
Estate Securities Fund |
294,515 |
408,163 |
396,294 |
Global
Real Estate Securities Fund |
433,076 |
491,948 |
407,495 |
Global
Infrastructure Fund |
299,701 |
148,063 |
208,966 |
U.S.
Equity Dividend and Premium Fund |
360,537 |
589,405 |
330,254 |
International
Equity Dividend and
Premium
Fund |
246,324 |
496,919 |
2,282 |
U.S.
Tax-Managed Equity Fund |
— |
591,278 |
238,011 |
International
Tax-Managed Equity Fund |
608,695 |
361,204 |
450,326 |
|
Absolute
Return
Tracker |
Real
Estate
Securities |
Global
Real
Estate
Securities |
U.S.
Equity
Dividend
and
Premium |
International
Equity
Dividend
and
Premium |
Gross
Income from
Securities
Lending
Activities1
|
$1,731,167 |
$1,571 |
$16,515 |
$101,517 |
$42,744 |
Fees
and/or Compensation
for
Securities Lending
Activities
and Related
Services |
|
|
|
|
|
Revenue
Split2
|
$42,549 |
$71 |
$483 |
$8,901 |
$2,581 |
Cash
Collateral
Management
Fees3
|
$54,211 |
$29 |
$536 |
$969 |
$790 |
Rebates
to Borrowers |
$1,251,451 |
$187 |
$11,146 |
$11,529 |
$16,142 |
Aggregate
Fees/Compensation
for
Securities
Lending
Activities |
$1,348,210 |
$287 |
$12,165 |
$21,399 |
$19,513 |
Net
Income from the
Securities
Lending
Activities |
$382,957 |
$1,283 |
$4,350 |
$80,118 |
$23,231 |
|
U.S.
Tax-
Managed
Equity |
International
Tax-
Managed
Equity |
Gross
Income from Securities Lending Activities1
|
— |
$57,856 |
Fees
and/or Compensation for Securities Lending Activities and
Related
Services |
|
|
Revenue
Split2
|
— |
$4,329 |
Cash
Collateral Management Fees3
|
— |
$1,203 |
Rebates
to Borrowers |
— |
$13,360 |
Aggregate
Fees/Compensation for Securities Lending Activities |
— |
$18,892 |
Net
Income from the Securities Lending Activities |
— |
$38,964
|
Fiscal
Year Ended December 31, 2023: |
Total
Brokerage
Commissions
Paid |
Total
Brokerage
Commissions
Paid
to
Goldman
Sachs1
|
Total
Amount of
Transactions
on which
Commissions
Paid |
Amount
of
Transactions
Effected
through
Brokers
Providing
Research2
|
Brokerage
Commissions
Paid
to Brokers
Providing
Research2
|
Absolute
Return Tracker Fund |
$375,267 |
$209,666
(56%)3
|
$33,264,638,643
(0%)4
|
$0 |
$0 |
Commodity
Strategy Fund |
$421,256 |
$0
(0%)3
|
$11,307,015,896
(0%)4
|
$0 |
$0 |
Managed
Futures Strategy Fund |
$211,348 |
$0
(0%)3
|
$13,237,574,230
(0%)4
|
$0 |
$0 |
Real
Estate Securities Fund |
$38,883 |
$344
(1%)3
|
$99,851,182
(5.45%)4
|
$0 |
$0 |
Global
Real Estate Securities Fund |
$82,653 |
$688
(1%)3
|
$129,193,056
(7.53%)4
|
$0 |
$0 |
Global
Infrastructure Fund |
$83,435 |
$0
(0%)3
|
$165,153,798
(0%)4
|
$0 |
$0 |
U.S.
Equity Dividend and Premium Fund |
$98,734 |
$0
(0%)3
|
$2,411,968,438
(0%)4
|
$0 |
$0 |
International
Equity Dividend and Premium Fund |
$15,397 |
$0
(0%)3
|
$86,060,087
(0%)4
|
$0 |
$0 |
U.S.
Tax-Managed Equity Fund |
$473,403 |
$0
(0%)3
|
$9,406,512,261
(0%)4
|
$0 |
$0 |
International
Tax-Managed Equity Fund |
$326,840 |
$0
(0%)3
|
$1,976,222,028
(0%)4
|
$0 |
$0 |
Fiscal
Year Ended December 31, 2022: |
Total
Brokerage
Commissions
Paid |
Total
Brokerage
Commissions
Paid
to
Goldman
Sachs1
|
Total
Amount of
Transactions
on which
Commissions
Paid |
Amount
of
Transactions
Effected
through
Brokers
Providing
Research2
|
Brokerage
Commissions
Paid
to Brokers
Providing
Research2
|
Absolute
Return Tracker Fund |
$580,339 |
$335,304
(58%)3
|
$35,234,288,545
(0%)4
|
$0 |
$0 |
Commodity
Strategy Fund |
$264,700 |
$0
(0%)3
|
$9,033,867,692
(0%)4
|
$0 |
$0 |
Managed
Futures Strategy Fund |
$203,534 |
$0
(0%)3
|
$16,758,448,012
(0%)4
|
$0 |
$0 |
Real
Estate Securities Fund |
$53,870 |
$0
(0%)3
|
$109,802,005
(0%)4
|
$100,725,927 |
$48,389 |
Global
Real Estate Securities Fund |
$133,753 |
$0
(0%)3
|
$292,162,026
(0%)4
|
$19,692,596 |
$9,666 |
Global
Infrastructure Fund |
$140,571 |
$996
(1%)3
|
$205,252,049
(1.06%)4
|
$494,174,915 |
$272,364 |
U.S.
Equity Dividend and Premium Fund |
$127,677 |
$1,753
(1%)3
|
$2,876,906,913
(0%)4
|
$0 |
$0 |
International
Equity Dividend and Premium Fund |
$21,222 |
$693
(3%)3
|
$128,368,359
(0%)4
|
$0 |
$0 |
U.S.
Tax-Managed Equity Fund |
$624,807 |
$2,244
(0%)3
|
$12,238,231,546
(0%)4
|
$0 |
$0 |
International
Tax-Managed Equity Fund |
$570,228 |
$3,742
(1%)3
|
$3,414,801,731
(0%)4
|
$0 |
$0 |
Fiscal
Year Ended December 31, 2021: |
Total
Brokerage
Commissions
Paid |
Total
Brokerage
Commissions
Paid
to
Goldman
Sachs1
|
Total
Amount of
Transactions
on which
Commissions
Paid |
Amount
of
Transactions
Effected
through
Brokers
Providing
Research2
|
Brokerage
Commissions
Paid
to Brokers
Providing
Research2
|
Absolute
Return Tracker Fund |
$520,155 |
$254,587
(49%)3
|
$430,779,694
(0%)4
|
$0 |
$0 |
Commodity
Strategy Fund |
$482 |
$482
(100%)3
|
$1,100,588,038
(0%)4
|
$0 |
$0 |
Managed
Futures Strategy Fund |
$102,659 |
$0
(0%)3
|
$2,854,800,616
(0%)4
|
$0 |
$0 |
Real
Estate Securities Fund |
$51,260 |
$0
(0%)3
|
$7,337,012,523
(0%)4
|
$110,058,665 |
$49,514 |
Global
Real Estate Securities Fund |
$126,146 |
$0
(0%)3
|
$36,964,038
(0%)4
|
$206,844,397 |
$124,788 |
Global
Infrastructure Fund |
$176,064 |
$8,863
(5%)3
|
$2,021,504,567
(0.39%)4
|
$307,347,392 |
$172,977 |
U.S.
Equity Dividend and Premium Fund |
$60,867 |
$1,916
(3%)3
|
$306,472,333
(0%)4
|
$0 |
$0 |
International
Equity Dividend and Premium Fund |
$23,303 |
$943
(4%%)3
|
$2,646,246,640
(0%)4
|
$0 |
$0 |
U.S.
Tax-Managed Equity Fund |
$276,345 |
$1,505
(1%)3
|
$40,034,097
(0%)4
|
$0 |
$0 |
International
Tax-Managed Equity Fund |
$436,903 |
$2,882
(1%)3
|
$39,707,360,058
(0%)4
|
$0 |
$0 |
Fund |
Broker/Dealer |
Amount |
GS
Absolute Return Tracker Fund |
Bank
of America Corp. |
$1,627,035 |
GS
Absolute Return Tracker Fund |
Barclays
PLC |
$473,357 |
GS
Absolute Return Tracker Fund |
Morgan
Stanley |
$1,146,043 |
GS
Absolute Return Tracker Fund |
JPMorgan
Chase & Co. |
$13,212,007 |
GS
International Tax-Managed Equity Fund |
UBS
Group AG (Financial
Services) |
$10,317,261 |
GS
U.S. Equity Dividend and Premium Fund |
Bank
of America Corp. |
$14,851,130 |
GS
U.S. Equity Dividend and Premium Fund |
JPMorgan
Chase & Co. |
$37,324,873 |
GS
U.S. Equity Dividend and Premium Fund |
Morgan
Stanley |
$34,247,368 |
GS
U.S. Equity Dividend and Premium Fund |
Jefferies
Financial Group, Inc. |
$1,806,327 |
GS
U.S. Tax-Managed Equity Fund |
Bank
of America Corp. |
$13,696,215 |
GS
U.S. Tax-Managed Equity Fund |
Morgan
Stanley |
$7,688,463 |
GS
U.S. Tax-Managed Equity Fund |
JPMorgan
Chase & Co. |
$6,944,673 |
GS
U.S. Tax-Managed Equity Fund |
Jefferies
Financial Group, Inc. |
$4,358,138 |
Fund |
Amount |
Years
of Expiration |
Absolute
Return Tracker Fund |
$170,387,264 |
Perpetual
Long-term |
Commodity
Strategy Fund |
$3,117,204 |
Perpetual
Short-term |
Commodity
Strategy Fund |
$18,256,290 |
Perpetual
Long-term |
Global
Infrastructure Fund |
$378,718 |
Perpetual
Short-term |
Global
Infrastructure Fund |
$3,294,571 |
Perpetual
Long-term |
Global
Real Estate Securities Fund |
$10,281,353 |
Perpetual
Short-term |
Global
Real Estate Securities Fund |
$18,286,346 |
Perpetual
Long-term |
Real
Estate Securities Fund |
$541,863 |
Perpetual
Short-term |
International
Equity Dividend and Premium Fund |
$8,892,027 |
Perpetual
Short-term |
International
Equity Dividend and Premium Fund |
$72,876,730 |
Perpetual
Long-term |
U.S.
Tax-Managed Equity Fund |
$4,629,537 |
Perpetual
Short-term |
International
Tax-Managed Equity Fund |
$71,003,744 |
Perpetual
Short-term
|
Type
of Information |
When
Available Upon Request |
Portfolio
Characteristics Information
(Except
for Aggregate Liquidity
Classification
Information) |
Prior
to 15 Business Days After Month-End:
Cannot disclose without (i) a
confidentiality
agreement; (ii) an agreement not to trade on the basis of non-public
information
in violation of the federal securities laws; and (iii) legal or compliance
approval. |
15
Business Days After Month-End:
May disclose to (i) shareholders and (ii) any
non-shareholder
whose request satisfies and/or serves a legitimate business purpose for
the
applicable Fund. | |
Aggregate
Liquidity Classification
Information |
Prior
to 90 Calendar Days After Month-End:
Cannot disclose without (i) a
confidentiality
agreement; (ii) an agreement not to trade on the basis of non-public
information
in violation of the federal securities laws; and (iii) legal or compliance
approval. |
90
Calendar Days After Month-End:
May disclose to (i) shareholders and (ii) any
non-shareholder
whose request satisfies and/or serves a legitimate business purpose for
the
applicable Fund. |
Fund |
Fiscal
year ended December 31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund |
$101,088 |
$122,078 |
$153,498 |
Commodity
Strategy Fund |
69,588 |
109,622 |
59,505 |
Managed
Futures Strategy Fund |
41,620 |
51,325 |
36,899 |
Real
Estate Securities Fund |
34,683 |
45,716 |
52,004 |
Global
Real Estate
Securities
Fund |
2,847 |
2,300 |
173 |
Global
Infrastructure Fund |
603 |
3,761 |
1,377 |
U.S.
Equity Dividend and
Premium
Fund |
406,731 |
419,778 |
405,941 |
International
Equity Dividend
and
Premium Fund |
4,144 |
4,330 |
5,468 |
U.S.
Tax-Managed Equity Fund |
210,992 |
234,284 |
227,204 |
International
Tax-Managed
Equity
Fund |
13,151 |
14,414 |
17,885 |
Fund |
Fiscal
year ended December 31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund |
$36,937 |
$51,880 |
$63,857 |
Commodity
Strategy Fund |
36,421 |
44,720 |
15,368 |
Fund |
Fiscal
year ended December 31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Managed
Futures Strategy Fund |
41,263 |
37,802 |
27,793 |
Real
Estate Securities Fund |
5,858 |
8,546 |
9,680 |
Global
Real Estate
Securities
Fund |
344 |
433 |
427 |
Global
Infrastructure Fund |
2,679 |
3,983 |
6,410 |
U.S.
Equity Dividend and
Premium
Fund |
545,754 |
658,089 |
851,765 |
International
Equity Dividend
and
Premium Fund |
1,379 |
1,894 |
3,169 |
U.S.
Tax-Managed Equity Fund |
119,048 |
132,316 |
149,533 |
International
Tax-Managed
Equity
Fund |
5,252 |
6,041 |
7,612 |
Fund |
Fiscal
year ended December 31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Absolute
Return Tracker Fund |
$4,452 |
$7,336 |
$7,794 |
Commodity
Strategy Fund |
15,865 |
21,221 |
14,365 |
Managed
Futures Strategy Fund |
3,465 |
3,140 |
2,241 |
Real
Estate Securities Fund |
2,654 |
4,702 |
4,734 |
Global
Real Estate
Securities
Fund1
|
77 |
159 |
174 |
Global
Infrastructure Fund1
|
94 |
177 |
173 |
Fund |
Compensation
to
Dealers1
|
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Absolute
Return
Tracker
Fund |
$99,352 |
$82,588 |
$29,981 |
$1,968 |
$4,449 |
$218,338 |
Commodity
Strategy
Fund |
68,054 |
10,412 |
3,106 |
204 |
461 |
82,237 |
Managed
Futures
Strategy
Fund |
41,561 |
41,935 |
15,570 |
1,022 |
2,311 |
102,397 |
Real
Estate
Securities
Fund |
30,735 |
10,346 |
4,280 |
281 |
635 |
46,277 |
Fund |
Compensation
to
Dealers1 |
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Global
Real
Estate
Securities
Fund |
2,760 |
238 |
90 |
6 |
13 |
3,107 |
Global
Infrastructure
Fund |
344 |
103 |
41 |
3 |
6 |
497 |
U.S.
Equity
Dividend
and
Premium
Fund |
398,689 |
226,151 |
95,910 |
6,294 |
14,233 |
741,277 |
International
Equity
Dividend
and
Premium
Fund |
4,166 |
437 |
180 |
12 |
27 |
4,821 |
U.S.
Tax-Managed
Equity
Fund |
209,456 |
104,436 |
44,778 |
2,939 |
6,645 |
368,254 |
International
Tax-Managed
Equity
Fund |
12,454 |
4,755 |
1,989 |
131 |
295 |
19,623 |
Fund |
Compensation
to
Dealers1
|
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Absolute
Return
Tracker
Fund |
$44,470 |
$4,272 |
$1,621 |
$106 |
$241 |
$50,710 |
Commodity
Strategy
Fund |
38,296 |
1,311 |
507 |
33 |
75 |
40,222 |
Fund |
Compensation
to
Dealers1 |
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Managed
Futures
Strategy
Fund |
34,674 |
6,859 |
2,407 |
158 |
357 |
44,455 |
Real
Estate
Securities
Fund |
6,942 |
293 |
122 |
8 |
18 |
7,384 |
Global
Real
Estate
Securities
Fund |
137 |
5 |
2 |
0 |
0 |
143 |
Global
Infrastructure
Fund |
3,437 |
23 |
8 |
1 |
1 |
3,469 |
U.S.
Equity
Dividend
and
Premium
Fund |
684,611 |
70,819 |
30,201 |
1,982 |
4,482 |
792,095 |
International
Equity
Dividend
and
Premium
Fund |
1,837 |
59 |
22 |
1 |
3 |
1,923 |
U.S.
Tax-Managed
Equity
Fund |
145,241 |
19,323 |
8,172 |
536 |
1,213 |
174,485 |
International
Tax-Managed
Equity
Fund |
6,553 |
88 |
34 |
2 |
5 |
6,682 |
Fund |
Compensation
to
Dealers |
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Absolute
Return
Tracker
Fund |
$4,266 |
$490 |
$196 |
$13 |
$29 |
$4,994 |
Commodity
Strategy
Fund |
15,968 |
2,267 |
768 |
50 |
114 |
19,167 |
Managed
Futures
Strategy
Fund |
3,523 |
349 |
111 |
7 |
17 |
4,008 |
Real
Estate
Securities
Fund |
2,491 |
62 |
21 |
1 |
3 |
2,579 |
Global
Real
Estate
Securities
Fund1
|
0 |
1 |
0 |
0 |
0 |
2 |
Global
Infrastructure
Fund1
|
0 |
1 |
0 |
0 |
0 |
1 |
Fund |
Net
Asset Value |
Maximum
Sales Charge |
Offering
Price to Public |
Absolute
Return Tracker Fund |
$9.01 |
5.50% |
$9.53 |
Commodity
Strategy Fund |
$8.06 |
4.50% |
$8.44 |
Managed
Futures Strategy Fund |
$9.41 |
5.50% |
$9.96 |
Real
Estate Securities Fund |
$11.44 |
5.50% |
$12.11 |
Global
Real Estate Securities Fund |
$9.83 |
5.50% |
$10.40 |
Global
Infrastructure Fund |
$12.54 |
5.50% |
$13.27 |
Fund |
Net
Asset Value |
Maximum
Sales Charge |
Offering
Price to Public |
U.S.
Equity Dividend and Premium Fund |
$14.94 |
5.50% |
$15.81 |
International
Equity Dividend and
Premium
Fund |
$7.33 |
5.50% |
$7.76 |
U.S.
Tax-Managed Equity Fund |
$37.33 |
5.50% |
$39.50 |
International
Tax-Managed Equity Fund |
$11.84 |
5.50% |
$12.53 |
Fund |
Fiscal
year ended
December
31, 2023 |
Fiscal
year ended
December
31, 2022 |
Fiscal
year ended
December
31, 2021 |
Real
Estate Securities Fund |
$835 |
$1,004 |
$2,126 |
U.S.
Tax-Managed Equity Fund |
7,503 |
5,818 |
5,518 |
Fund |
Compensation
to
Dealers |
Compensation
and
Expenses of
the
Distributor
and
Its Sales
Personnel |
Allocable
Overhead,
Telephone
and
Travel
Expenses |
Printing
and
Mailing
of
Prospectuses
to
Other
Than
Current
Shareholders |
Preparation
and
Distribution
of
Sales
Literature
and
Advertising |
Totals* |
Real
Estate
Securities
Fund |
$0 |
$39 |
$13 |
$1 |
$2 |
$55 |
U.S.
Tax-Managed
Equity
Fund |
0 |
4,307 |
1,673 |
110 |
248 |
6,338 |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
32.35% |
Class
A |
Charles
Schwab & Co., Inc. Special Custody Account FBO Customers, Attn: Mutual
Funds,
211
Main Street, San Francisco, CA 94105-1905 |
24.10% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
8.56% |
Class
A |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd
Fl, Jacksonville, Fl 32246-6484 |
7.15% |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
6.68% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
6.43% |
Class
C |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1932 |
27.77% |
Class
C |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
17.46% |
Class
C |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
14.78% |
Class
C |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
12.28% |
Class
C |
LPL
Financial Corporation, LPL Financial Omnibus Customer Account, Attn:
Mutual Fund
Trading,
4707 Executive Dr, San Diego, CA 92121-3091 |
9.24% |
Class |
Name/Address |
Percentage
of
Class |
Class
C |
Raymond
James & Associates, Omnibus For Mutual Funds, 880 Carillon Parkway,
St.
Petersburg,
FL 33716-1102 |
6.48% |
Institutional |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1932 |
28.51% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
14.89% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
13.69% |
Institutional |
SEI
Private Trust Company, C/O Mellon Bank, One Freedom Valley Drive, Oaks, PA
19456-9989 |
7.04% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
75.32% |
Investor |
LPL
Financial Corporation, LPL Financial Omnibus Customer Account, Attn:
Mutual Fund
Trading,
4707 Executive Dr, San Diego, CA 92121-3091 |
13.88% |
Investor |
Raymond
James & Associates, Omnibus For Mutual Funds, 880 Carillon Parkway,
St.
Petersburg,
FL 33716-1102 |
5.21% |
Class
R |
Hartford
Life Insurance Company, Separate Account, 1 Griffin Rd N, Windsor, CT
06095-1512 |
34.03% |
Class
R |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
20.39% |
Class
R |
Mass
Mutual Life Insurance Co, 1295 State Street, Springfield, MA
01111-0001 |
17.50% |
Class
R |
Empower
Trust FBO Empower Benefit Plans, 8515 E Orchard Rd. 2T2, Greenwood
Village,
CO
80111-5002 |
10.03% |
Class
R |
Capital
Bank & Trust Company Trustee For Cornell & Co. Inc. EE’s PS and
401k, 8515 E
Orchard
Rd. 2T2, Greenwood Village, CO 80111-5002 |
5.95% |
Class
R6 |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
79.99% |
Class
R6 |
Saxon
& Co., FBO Customers, P.O. Box 94597, Cleveland, OH
44101-4597 |
12.27% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
99.99% |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
38.42% |
Class
A |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
14.42% |
Class
A |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
7.88% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
7.74% |
Class
C |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
69.14% |
Class
C |
DCGT
as Trustee and/or Custodian FBO PLIC Various Retirement Plans Omnibus,
Attn:
NPIO Trade Desk, 711 High St., Des Moines, IA
50392-0001 |
7.25% |
Class
C |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
6.41% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
43.76% |
Institutional |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
20.11% |
Class |
Name/Address |
Percentage
of
Class |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
8.53% |
Institutional |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
7.37% |
Institutional |
Band
& Co., C/O US Bank NA, P.O. Box 1787, Milwaukee, WI
53201-1787 |
6.36% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
65.04% |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
18.42% |
Investor |
Raymond
James & Associates, Omnibus for Mutual Funds, 880 Carillon Parkway,
St.
Petersburg,
FL 33716-1102 |
7.80% |
Class
R |
Ascensus
Trust Company FBO Customers, P.O. Box 10758, Fargo, ND
58106-0758 |
17.60% |
Class
R |
Mass
Mutual Life Insurance Co, 1295 State Street MIP M200-Invst, Springfield,
MA
01111-0001 |
17.19% |
Class
R |
DCGT
as Trustee and/or Custodian FBO PLIC Various Retirement Plans Omnibus,
Attn:
NPIO Trade Desk, 711 High St., Des Moines, IA
50392-0001 |
9.64% |
Class
R |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
6.64% |
Class
R |
Mid
Atlantic Trust Company, FBO James A. Watson MD Inc. 401(k) Profit Sharing
Plan,
1251
Waterfront Pl Ste 525, Pittsburgh, PA 15222-4228 |
6.62% |
Class
R |
Capital
Bank & Trust Company Trustee FBO Customers, C/O Fascore LLC, 8515 E
Orchard
Rd.
# 2T2, Greenwood Village, CO 80111-5002 |
6.38% |
Class
R |
Ascensus
Trust Company FBO Customers, P.O. Box 10758, Fargo, ND
58106-0758 |
6.15% |
Class
R6 |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
55.14% |
Class
R6 |
Wells
Fargo Bank NA, FBO Omnibus, PO Box 1533, Minneapolis, MN
55480-1533 |
39.23% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
99.88%* |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
64.78% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
12.84% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
7.42% |
Class
A |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
6.09% |
Class
C |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
83.35% |
Class
C |
Stifel
Nicolaus & Co., FEBO Customers, 501 N Broadway, Saint Louis, MO
63102-2188 |
14.99% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
41.67% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
36.07% |
Institutional |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
8.17% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
65.83%* |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
31.50% |
Class |
Name/Address |
Percentage
of
Class |
Class
R |
State
Street Bank and TR TTEE/Cust, FBO ADP Access Product, 1 Lincoln Street,
Boston,
MA
02111-2901 |
34.70% |
Class
R |
PAI
Trust Company Inc., Barnes Pipe & Steel Supply 401(K) Plan, 1300
Enterprise Dr., De
Pere,
WI 54115-4934 |
25.42% |
Class
R |
Matrix
Trust Company Cust. FBO 401(k) Plan, 717 17th Street, Suite 1300, Denver,
CO
80202-3304 |
14.74% |
Class
R |
Matrix
Trust Company Cust. FBO 401(k) Plan, 717 17th Street, Suite 1300, Denver,
CO
80202-3304 |
12.70% |
Class
R |
Ameriprise
Financial Services Inc., Ascensus Trust Company, GRP Engineering Inc.
401(k)
Plan, P.O. Box 10758, Fargo, ND 58106-0758 |
6.53% |
Class
R6 |
Goldman
Sachs Growth Strategy Portfolio, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
31.47% |
Class
R6 |
Goldman
Sachs Growth & Income Strategy Portfolio, C/O Fund Management, 200
West St.
37th
Floor, New York, NY 10282-2102 |
30.35% |
Class
R6 |
Goldman
Sachs Balanced Strategy Portfolio, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
19.48% |
Class
R6 |
GS
VIT, GS Multi-Strategy Alternatives Portfolio, C/O Fund Management, 200
West St. 37th
Floor,
New York, NY 10282-2102 |
10.56% |
Class
R6 |
Mac
& Co., FBO GS 529 Plan, Mutual Fund Operations, 500 Grant Street, Room
151-1010,
Pittsburgh,
PA 15219-2502 |
7.96% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
94.38% |
Class
P |
GSAM
Holdings LLC Seed Accounts, Attn: IMD-India-SAOS, Helios Business Park,
150
Outer
Ring Road, Kadubeesanahalli, Bengaluru 560103 India |
5.62% |
Class |
Name/Address |
Percentage
of Class |
Class
A |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
21.33% |
Class
A |
State
Street Bank and Tr., FBO ADP Access Product, 1 Lincoln Street, Boston, MA
02111-2901 |
10.95% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
8.41% |
Class
A |
IMT
Precision Inc. 401k Plan, Goldman Sachs/ADP 401K Plan, 31902 Hayman St.,
Hayward,
CA 94544-7925 |
6.43% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
6.02% |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market
St, Saint Louis, MO 63103-2523 |
5.75% |
Class
C |
Ascensus
Trust Company FBO Seoil USA Industrial, Inc. 401(k) Plan, PO Box 10758,
Fargo,
ND 58106-0758 |
17.78% |
Class
C |
Mid
Atlantic Trust Company, FBO Ecotec Inc. 401(k) Profit Sharing Plan,
1251
Waterfront Pl Ste 525, Pittsburgh, PA 15222-4228 |
13.90% |
Class
C |
Mid
Atlantic Trust Company, FBO Trees 360 Degrees 401(k) Profit Sharing Plan,
1251
Waterfront Pl Ste 525, Pittsburgh, PA 15222-4228 |
8.28% |
Class
C |
LPL
Financial Corporation, LPL Financial Omnibus Customer Account, Attn:
Mutual
Fund
Trading, 4707 Executive Dr, San Diego, CA 92121-3091 |
6.19% |
Class
C |
Mid
Atlantic Trust Company, FBO Laparoscopic Technologies Inc. 401(k) Profit
Sharing
Plan,
1251 Waterfront Pl Ste 525, Pittsburgh, PA
15222-4228 |
5.79% |
Class |
Name/Address |
Percentage
of Class |
Class
C |
MSCS
Financial Services LLC, Matrix Trust Company Custodian FBO Reservoir
Engineering
Research Inst., 717 17th
St., Suite 1300, Denver, CO 80202-3304 |
5.68% |
Institutional |
The
Goldman Sachs Foundation, Attn: GS Foundation Team, 200 West St Fl 29, New
York,
NY 10282-2198 |
57.65% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
14.92% |
Institutional |
Northern
Trust, State of Nebraska, Nebraska Investment Council, 333 S. Wabash
Avenue,
Chicago,
IL 60604-4107 |
9.72% |
Service |
Empower
Financial Services, Inc., NAI Black 401(k) Employee Savings Plan, 8515 E
Orchard
Rd. 2T2, Greenwood Village, CO 80111-5002 |
30.83% |
Service |
Attitude
Measurement Corp, Trustee FBO Attitude Measurement Corp 401(k) Plan, C/O
Fascore
LLC, 8515 E Orchard Rd. 2T2, Greenwood Village, CO
80111-5002 |
24.75% |
Service |
Empower
Financial Services, Inc., AFSCO Fence Supply Co. Inc. 401(k) PSP, C/O
Fascore
LLC, 8515 E Orchard Rd. 2T2, Greenwood Village, CO
80111-5002 |
10.05% |
Service |
Empower
Financial Services, Inc., FBO Customers, C/O Fascore LLC, 8515 E Orchard
Rd.
2T2, Greenwood Village, CO 80111-5002 |
8.07% |
Service |
Empower
Financial Services, Inc., FBO Customers, C/O Fascore LLC, 8515 E Orchard
Rd.
2T2, Greenwood Village, CO 80111-5002 |
7.46% |
Service |
Empower
Financial Services, Inc., Saggar and Rosenberg P.C., C/O Fascore LLC, 8515
E
Orchard
Rd. 2T2, Greenwood Village, CO 80111-5002 |
6.89% |
Service |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
5.22% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
32.36% |
Investor |
Raymond
James & Associates, Omnibus For Mutual Funds, 880 Carillon Parkway,
St.
Petersburg,
FL 33716-1102 |
28.35% |
Investor |
FIIOC
FBO Tireco Inc 401(k) Plan, 100 Magellan Way #KWIC, Covington, KY
41015-1987 |
12.30% |
Investor |
LPL
Financial Corporation, LPL Financial Omnibus Customer Account, Attn:
Mutual
Fund
Trading, 4707 Executive Dr, San Diego, CA 92121-3091 |
11.92% |
Investor |
Mid
Atlantic Trust Company, FBO Stealth Components, 1251 Waterfront Pl Ste
525,
Pittsburgh,
PA 15222-4228 |
7.43% |
Class
R |
Empower
Trust Company LLC FBO Employee Benefits Clients 401(k), 8515 E Orchard
Rd.
#2T2, Greenwood Village, CO 80111-5002 |
42.46% |
Class
R |
GWFS
Equities Inc, FBO Hankin Specialty Elevators Inc. 401k, C/O Fascore LLC,
8515
E
Orchard Rd. #2T2, Greenwood Village, CO 80111-5002 |
23.00% |
Class
R |
Mid
Atlantic Trust Company, FBO Stats International Inc. 401(k), 1251
Waterfront Pl Ste
525,
Pittsburgh, PA 15222-4228 |
7.31% |
Class
R |
Mid
Atlantic Trust Company, FBO B With A Twist 401(k) Profit Sharing Plan,
1251
Waterfront Pl Ste 525, Pittsburgh, PA 15222-4228 |
5.28% |
Class
R6 |
Mac
& Co., FBO GS 529 Plan, Mutual Fund Operations, 500 Grant Street, Room
151-1010,
Pittsburgh, PA 15219-2502 |
90.10% |
Class
R6 |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
5.55% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake
City,
UT 84101-2199 |
94.32%* |
Class
P |
UBS
WM USA, Omni Account M/F Spec Cdy A/C EBOC, 1000 Harbor Blvd,
Weehawken,
NJ 07086-6761 |
5.08%
|
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
22.53% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
16.11% |
Class
A |
Matrix
Trust Company Cust. As Agent For Advisor Trust, Inc., Cayman’s Clothiers,
Inc.
401(k)
Plan, 717 17th Street, Suite 1300, Denver, CO
80202-3304 |
11.08% |
Class
A |
Annuity
Co. to Commonwealth Annuity & Life Ins. Co., Attn: Separate Accounts
S-291,
440
Lincoln Street, Worcester, MA 01653-0002 |
10.09% |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
10.93% |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
6.04% |
Class
C |
GSAM
Holdings LLC Seed Accounts, Attn: IMD-India-SAOS, Helios Business Park,
150
Outer
Ring Road, Kadubeesanahalli, Bengaluru 560103 India |
85.66% |
Class
C |
UMB
Bank NA, FEBO Customers, 2720 White Barn Road, Aurora, IL
60502-6332 |
14.34% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
28.55% |
Institutional |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1932 |
22.06% |
Institutional |
GSAM
Holdings LLC Comp Hedge, Attn IMD-INDIA-SAOS-2022, Crystal Downs FL 3,
Embassy
Gold Links Business Park, Bengaluru, India 560071 |
9.91% |
Institutional |
GSAM
Holdings LLC Comp Hedge, Attn IMD-INDIA-SAOS-2023, Crystal Downs FL 3,
Embassy
Gold Links Business Park, Bengaluru, India 560071 |
9.86% |
Institutional |
GSAM
Holdings LLC Comp Hedge, Attn IMD-INDIA-SAOS-2020, Crystal Downs FL 3,
Embassy
Gold Links Business Park, Bengaluru, India 560071 |
6.73% |
Institutional |
GSAM
Holdings LLC Comp Hedge, Attn IMD-INDIA-SAOS-2021, Crystal Downs FL 3,
Embassy
Gold Links Business Park, Bengaluru, India 560071 |
5.97% |
Institutional |
GSAM
Holdings LLC Comp Hedge, Attn IMD-INDIA-SAOS-2023, Crystal Downs FL 3,
Embassy
Gold Links Business Park, Bengaluru, India 560071 |
5.61% |
Investor |
GSAM
Holdings LLC Seed Accounts, Attn: IMD-India-SAOS, Helios Business Park,
150
Outer
Ring Road, Kadubeesanahalli, Bengaluru 560103 India |
41.17% |
Investor |
Matrix
Trust Company as Agent for Advisor Trust, Inc., Graham and Jensen, LLP,
717 17th
Street,
Suite 1300, Denver, CO 80202-3304 |
30.34% |
Investor |
LPL
Financial Omnibus FBO Customer Accounts, Attn: Mutual Fund Trading, 4707
Executive
Dr,
San Diego, CA 92121-3091 |
15.34% |
Investor |
Matrix
Trust Company as Agent for Advisor Trust, Inc., The Elderly and Disability
Law Firm,
717
17th Street, Suite 1300, Denver, CO 80202-3304 |
9.26% |
Class
R6 |
Goldman
Sachs Tax Advantaged Global Equity Portfolio, C/O Fund Management, 200
West St
37th
Floor, New York, NY 10282-2102 |
61.22%* |
Class
R6 |
Goldman
Sachs Growth Strategy Portfolio, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
8.42% |
Class
R6 |
Goldman
Sachs Growth and Income Strategy Portfolio, C/O Fund Management, 200 West
St.
37th
Floor, New York, NY 10282-2102 |
8.25% |
Class
R6 |
Goldman
Sachs Dynamic Global Equity Fund, C/O Fund Management, 200 West St. 37th
Floor,
New York, NY 10282-2102 |
7.78% |
Class
R6 |
Goldman
Sachs Trust Balanced Strategy Portfolio, C/O Fund Management, 200 West St.
37th
Floor,
New York, NY 10282-2102 |
7.75% |
Class |
Name/Address |
Percentage
of
Class |
Class
R6 |
Goldman
Sachs Enhanced Dividend Global Equity Portfolio, C/O Fund Management,
200
West St. 37th Floor, New York, NY 10282-2102 |
6.49% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
99.34%* |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Raymond
James, Omnibus For Mutual Funds, Attn: Courtney Waller, 880 Carillon
Parkway,
St.
Petersburg, FL 33716-1102 |
40.24% |
Class
A |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
14.78% |
Class
A |
JP
Morgan Clearing Corp., Omnibus FEBO Customers, 3 Chase Metrotech Center,
3rd Floor,
Mutual
Fund Department, Brooklyn, NY 11245-0005 |
11.57% |
Class
A |
UMB
Bank NA, FBO Customers, 24944 W. Lake Forrest Lane, Shorewood, IL
60404-8212 |
8.29% |
Class
A |
UMB
Bank NA, FBO Customers, 33 Dubon Ct., Suite A, Farmingdale, NY
11735-1074 |
7.54% |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
6.50% |
Class
A |
GSAM
Holdings LLC Seed Accounts, Attn: IMD-India-SAOS, Helios Business Park,
150
Outer
Ring Road, Kadubeesanahalli, Bengaluru 560103 India |
6.11% |
Class
C |
Raymond
James, Omnibus For Mutual Funds, Attn: Courtney Waller, 880 Carillon
Parkway,
St.
Petersburg, FL 33716-1102 |
77.02% |
Class
C |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
14.15% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
52.03% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
29.98% |
Investor |
Raymond
James, Omnibus For Mutual Funds, Attn: Courtney Waller, 880 Carillon
Parkway,
St.
Petersburg, FL 33716-1102 |
96.28% |
Class
R6 |
Goldman
Sachs Tax Advantaged Global Equity Portfolio, C/O Fund Management, 200
West St
37th
Floor, New York, NY 10282-2102 |
57.28% |
Class
R6 |
Goldman
Sachs Trust Growth & Income Strategy Portfolio C/O Fund Management,
200
West St. 37th Floor, New York, NY 10282-2102 |
7.94% |
Class
R6 |
Goldman
Sachs Trust Balanced Strategy, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
8.06% |
Class
R6 |
Goldman
Sachs Growth Strategy Portfolio, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
7.88% |
Class
R6 |
Goldman
Sachs Growth Strategy Portfolio, C/O Fund Management, 200 West St. 37th
Floor,
New
York, NY 10282-2102 |
7.36% |
Class
R6 |
Goldman
Sachs Enhanced Dividend Global Equity Portfolio, C/O Fund Management,
200
West St. 37th Floor, New York, NY 10282-2102 |
6.06% |
Class
R6 |
Goldman
Sachs VIT Goldman Sachs Multi-Strategy Alternative Portfolio, C/O Fund
Management,
200 West St. 37th Floor, New York, NY 10282-2102 |
5.22% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
99.97%*
|
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
20.50% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
12.50% |
Class
A |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
12.00% |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
10.46% |
Class
A |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
9.03% |
Class
A |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
6.66% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
5.99% |
Class
A |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
5.85% |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
5.50% |
Class
C |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
23.86% |
Class
C |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
15.19% |
Class
C |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
13.18% |
Class
C |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
7.25% |
Class
C |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
8.98% |
Class
C |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
7.38% |
Class
C |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
6.42% |
Class
C |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
7.15% |
Institutional |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
25.27% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
23.68% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
15.08% |
Institutional |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
11.88% |
Institutional |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
6.56% |
Institutional |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
5.80% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
47.55% |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
21.47% |
Investor |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
14.78% |
Class |
Name/Address |
Percentage
of
Class |
Investor |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
13.23% |
Class
R6 |
Goldman
Sachs Enhanced Dividend Global Equity Portfolio, C/O Fund Management,
200
West St. 37th Floor, New York, NY 10282-2102 |
70.19% |
Class
R6 |
Saxon
& Co., FBO Customers, P.O. Box 94597, Cleveland, OH
44101-4597 |
19.45% |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
97.24% |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
19.05% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
14.01% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
13.17% |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
10.13% |
Class
A |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
9.17% |
Class
A |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
9.07% |
Class
A |
Lincoln
Investment Planning LLC, FBO Lincoln Customers, 601 Office Center Drive,
Suite
300,
Fort Washington, PA 19034-3275 |
7.97% |
Class
C |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
32.79% |
Class
C |
Stifel
Nicolaus & Co., FEBO Customers, 501 N Broadway, Saint Louis, MO
63102-2188 |
26.17% |
Class
C |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
21.00% |
Class
C |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
10.89% |
Institutional |
SEI
Private Trust Company C/O First Horizon ID 683, 1 Freedom Valley Drive,
Oaks, PA
19456-9989 |
28.84% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
25.99% |
Institutional |
Mori
& Co, 922 Walnut St, Mailstop TBTS 2, Kansas City, MO
64106-1802 |
8.96% |
Institutional |
GSAM
Holdings LLC, Attn: IMD-INDIA-SAOS-2024, Crystal Downs Fl. 3, Embassy Gold
Links
Business Park, Bengaluru, India 560071 |
7.87% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
5.19% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
50.32% |
Investor |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
30.88% |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
18.60% |
Class
R6 |
Goldman
Sachs Enhanced Dividend Global Equity Portfolio, C/O Fund Management, 200
West
St 37th Floor, New York, NY 10282-2102 |
99.97%* |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
99.67%*
|
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
19.98% |
Class
A |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
13.00% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
9.99% |
Class
A |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
8.94% |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
7.32% |
Class
A |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
7.01% |
Class
A |
Morgan
Stanley Smith Barney LLC, FEBO Customers, 1 New York Plz Fl 12, New York,
NY
10004-1901 |
6.73% |
Class
C |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
39.47% |
Class
C |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
20.05% |
Class
C |
Stifel
Nicolaus & Co., FEBO Customers, 501 N Broadway, Saint Louis, MO
63102-2188 |
19.90% |
Class
C |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
6.16% |
Institutional |
Merrill
Lynch Pierce Fenner & Smith, FBO Customers, Attn: Service Team,
Goldman
Sachs
Funds, 4800 Deer Lake Dr East 3rd Fl, Jacksonville, FL
32246-6484 |
20.95% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
19.37% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
13.54% |
Institutional |
Wells
Fargo Clearing Services LLC, Special Custody Acct. FEBO Customers, 2801
Market St,
Saint
Louis, MO 63103-2523 |
11.68% |
Institutional |
Zeel
& Co., Attn: Trust Ops, 141 E 8TH St., Holland MI
49423-3503 |
5.99% |
Institutional |
JP
Morgan Securities LLC, Omnibus FEBO Customers, 3 Chase Metrotech Center,
3rd Floor,
Mutual
Fund Department, Brooklyn, NY 11245-0005 |
5.13% |
Service |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
100.00% |
Investor |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
46.65% |
Investor |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
28.08% |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
20.54% |
Class
R6 |
Goldman
Sachs Tax Advantaged Global Equity Portfolio Structured Tax Managed
Equity, C/O
Fund
Management, 200 West St 37th Floor, New York, NY
10282-2102 |
99.90%* |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
97.39% |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
17.65% |
Class
A |
Edward
D Jones & Co, FBO Customers, 12555 Manchester Rd, Saint Louis, MO
63131-3710 |
16.72% |
Class |
Name/Address |
Percentage
of
Class |
Class
A |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
11.88% |
Class
A |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
11.41% |
Class
A |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
11.10% |
Class
A |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
6.94% |
Class
A |
Goldman
Sachs Direct Ex Dlr Accounts, Capinco C/O US Bank NA, 1555 N. Rivercenter
Dr.,
Ste.
302, Milwaukee, WI 53212-3958 |
5.92% |
Class
A |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
5.30% |
Class
C |
Stifel
Nicolaus & Co., FEBO Customers, 501 N Broadway, Saint Louis, MO
63102-2188 |
47.89% |
Class
C |
American
Enterprise Investment Services, FBO Customers, 707 2nd Ave S, Minneapolis,
MN
55402-2405 |
9.54% |
Class
C |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
9.52% |
Class
C |
Matrix
Trust Company as Agent for, Advisor Trust, Inc., 717 17th St, Ste 1300,
Denver, CO
80202-3304 |
8.89% |
Class
C |
Lincoln
Investment Planning, FBO Customers, 4388 Red Rock Rd., Benton, PA
17814-7605 |
8.53% |
Institutional |
National
Financial Services LLC, FEBO Customers, Attn: Mutual Funds Dept 4th Fl,
499
Washington
Blvd, Jersey City, NJ 07310-1995 |
28.04% |
Institutional |
Charles
Schwab & Co., Inc., Special Custody Account FBO Customers, Attn:
Mutual Funds,
211
Main Street, San Francisco, CA 94105-1905 |
25.65% |
Institutional |
UBS
WM USA, Omni Account M/F Spec Cdy A/C EBOC, 1000 Harbor Blvd, Weehawken,
NJ
07086-6761 |
13.91% |
Institutional |
Pershing
LLC, PO Box 2052, Jersey City, NJ 07303-2052 |
10.21% |
Investor |
American
Enterprise Investment Services Inc, FBO Customers, 707 2nd Ave S,
Minneapolis,
MN
55402-2405 |
72.87% |
Investor |
LPL
Financial Omnibus Customer Account, Attn: Mutual Fund Trading, 4707
Executive Dr,
San
Diego, CA 92121-3091 |
16.36% |
Investor |
Raymond
James, Omnibus For Mutual Funds, 880 Carillon Parkway, St. Petersburg, FL
33716-1102 |
5.26% |
Class
R6 |
Goldman
Sachs Tax Advantaged Global Equity Portfolio Structured Tax Managed
Equity, C/O
Fund
Management, 200 West St 37th Floor, New York, NY
10282-2102 |
99.47%* |
Class
P |
Goldman
Sachs & Co., FBO Omnibus, C/O Mutual Fund Ops, 222 S Main St., Salt
Lake City,
UT
84101-2199 |
98.44% |
| |
2-B | |
3-B | |
7-B | |
10-B | |
11-B | |
13-B | |
| |
18-B | |
19-B | |
24-B | |
26-B | |
26-B | |
28-B | |
| |
33-B | |
34-B | |
39-B | |
41-B | |
41-B | |
43-B | |
| |
47-B | |
48-B | |
52-B | |
52-B | |
52-B | |
54-B |