The Goldman Sachs Group Inc.

06/12/2026 | Press release | Distributed by Public on 06/12/2026 12:37

Annual Report of Employee Stock Purchase/Savings Plan (Form 11-K)

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
Form 11-K
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2025
or
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from ______ to _______
Commission File Number: 001-14965
A. Full title of the plan and the address of the plan, if different from that of issuer named below:
The Goldman Sachs 401(k) Plan
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
THE GOLDMAN SACHS GROUP, INC.
200 West Street
New York, NY 10282
THE GOLDMAN SACHS 401(k) PLAN
FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES
INDEX
Page No.
Report of Independent Registered Public Accounting Firm
1
Financial Statements
2
Statements of Net Assets Available for Benefits
2
Statements of Changes in Net Assets Available for Benefits
3
Notes to Financial Statements
4
Note 1.
Plan Description
4
Note 2.
Basis of Presentation
5
Note 3.
Significant Accounting Policies
6
Note 4.
Fair Value Measurements
7
Note 5.
Investment Assets and Investment Liabilities
8
Note 6.
Related-Party and Party-In-Interest Transactions
9
Note 7.
Plan Termination
9
Note 8.
Income Tax Status
9
Note 9.
Reconciliation of Financial Statements to the Form 5500
10
Note 10.
Financial Instruments with Off-Balance Sheet Risk
10
Supplemental Schedules*
12
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
12
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
36
Schedule H, Line 4j - Schedule of Reportable Transactions
49
*All other schedules required by 29 CFR §2520.103-10 of the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974, as amended, are not included because they are not applicable.
Report of Independent Registered Public Accounting Firm
To the Administrator and Plan Participants of The Goldman Sachs 401(k) Plan
Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of The Goldman Sachs 401(k) Plan (the "Plan") as of December 31, 2025 and 2024 and the related statements of changes in net assets available for benefits for the years then ended, including the related notes (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2025 and 2024, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America.
Basis for Opinion
These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on the Plan's financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.
Supplemental Information
The supplemental Schedule H, Line 4i - Schedule of Assets (Held at End of Year) as of December 31, 2025 and Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year) and Schedule H, Line 4j - Schedule of Reportable Transactions for the year ended December 31, 2025 ("supplemental schedules") have been subjected to audit procedures performed in conjunction with the audit of the Plan's financial statements. The supplemental schedules are the responsibility of the Plan's management. Our audit procedures included determining whether the supplemental schedules reconcile to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedules. In forming our opinion on the supplemental schedules, we evaluated whether the supplemental schedules, including their form and content, are presented in conformity with the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental schedules are fairly stated, in all material respects, in relation to the financial statements as a whole.
/s/ PricewaterhouseCoopers LLP
New York, New York
June 12, 2026
We have served as the Plan's auditor since at least 1983. We have not been able to determine the specific year we began serving as auditor of the Plan.
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THE GOLDMAN SACHS 401(k) PLAN
Statements of Net Assets Available for Benefits
As of December
$ in thousands 2025 2024
Assets
Investment assets (at fair value) $ 14,339,739 $ 12,558,192
Receivables:
Employee contributions 51 67
Employer contributions 211,758 200,759
Notes receivable from participants 31,466 31,125
Interest and dividends 13,592 13,055
Due from brokers and other receivables 3,143 4,755
Total assets 14,599,749 12,807,953
Liabilities
Investment liabilities (at fair value) 54 2
Due to brokers and other payables 6,436 41,841
Accrued expenses 5,235 5,167
Total liabilities 11,725 47,010
Net assets available for benefits $ 14,588,024 $ 12,760,943
The accompanying notes are an integral part of these financial statements.
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THE GOLDMAN SACHS 401(k) PLAN
Statements of Changes in Net Assets Available for Benefits
Year Ended December
$ in thousands 2025 2024
Additions
Investment income:
Net appreciation in the fair value of investments $ 1,935,533 $ 1,687,677
Interest and dividends 117,255 121,689
Less: Investment management fees and other expenses (16,221) (16,117)
Total investment income 2,036,567 1,793,249
Interest income on notes receivable from participants 2,413 2,050
Contributions:
Employee 423,416 393,787
Employer 211,758 200,759
Total contributions 635,174 594,546
Total additions 2,674,154 2,389,845
Deductions
Benefits paid 847,073 951,085
Total deductions 847,073 951,085
Net increase in net assets available for benefits 1,827,081 1,438,760
Net assets available for benefits, beginning balance 12,760,943 11,322,183
Net assets available for benefits, ending balance $ 14,588,024 $ 12,760,943
The accompanying notes are an integral part of these financial statements.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Note 1.
Plan Description
The following description of The Goldman Sachs 401(k) Plan (the Plan) is provided for general information purposes only. The Plan sponsor is The Goldman Sachs Group, Inc. (the firm). Participants should refer to the Plan document, as most recently amended and restated, for a more complete description of the Plan's provisions. Items referenced in italics are defined in the Plan document.
The Plan became effective on January 1, 1945 as the "Goldman Sachs Employees' Profit Sharing Retirement Income Plan" and is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (ERISA). Effective January 1, 2008, the Goldman Sachs Employees' Profit Sharing Retirement Income Plan was amended to incorporate a 401(k) safe harbor design and was renamed "The Goldman Sachs 401(k) Plan." The Plan has been subsequently amended for various reasons, including to reflect changes in law.
General
The Plan is a defined contribution plan to which participants may elect to make pre-tax, after-tax, and "Roth" after-tax contributions each year from their 401(k) Compensation (as determined under the Plan), and to which they can roll over amounts from certain other qualified retirement arrangements. Eligible participants have the option to convert existing eligible non-Roth Plan balances to a Roth 401(k) account in the Plan. The Plan's Plan Year is the 12-month period commencing on January 1 and ending on the following December 31.
The Plan offers a dollar-for-dollar Matching Contribution on participants' elective deferrals up to 6% of Safe Harbor Compensation, capped at a maximum match of $12,500. If an eligible participant's Safe Harbor Compensation is less than $125,000, the firm will also allocate to that eligible participant's account a Fixed Contribution equal to 2% of Safe Harbor Compensation. In addition to these contributions, the firm will allocate to each eligible participant an Additional Retirement Contribution of up to $4,000. Collectively, the Matching Contribution, Fixed Contribution and Additional Retirement Contribution are herein referred to as the Firm Contributions.
The Plan has two named fiduciaries, the Retirement Committee and the Administrative Committee. The Retirement Committee has the power to appoint one or more investment managers, as well as certain other duties relating to the investment of the funds held by the trustee. The Administrative Committee is responsible for administering the terms and provisions of the Plan. In general, each committee's members are employees of the firm or its affiliates, although in certain cases non-employees may serve on either committee. Callan LLC (Callan) is the Retirement Committee's investment adviser. Participants direct their contributions and the Firm Contributions into various investment options available from time to time under the Plan through the Goldman Sachs Profit Sharing Master Trust (the Master Trust). The Plan is the sole investor in the Master Trust. Participants' directed investments can be allocated to mutual funds, collective trusts, separately managed accounts and a bank deposit account. Alight Solutions is the Plan's record keeper.
The Plan offers participants the option to invest in the Stock Fund, which is a separately managed account and substantially all of its investments are shares of the firm's common stock. In accordance with a policy adopted by the Retirement Committee, no more than 20% of any contribution made on behalf of each participant can be invested in the Stock Fund. When a participant reallocates his or her total investment balance, he or she is limited to reallocating 20% of his or her total investment balance into the Stock Fund. In addition, participants are restricted from transferring into or out of the Stock Fund during certain periods in accordance with the firm's compliance procedures designed to avoid violations of applicable securities laws.
The Plan's investments are owned by the Master Trust, which is subject to a trust agreement (the Trust Agreement) with The Bank of New York Mellon Corporation (the Trustee).
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Eligibility
Employees become eligible to make pre-tax, after-tax, and "Roth" after-tax, contributions to the Plan as of the first day of the month after they join the firm or its affiliates as eligible employees. In addition, employees become eligible for Matching Contributions and Fixed Contributions as of the first day of the month following hire date. In addition, to be eligible for the Fixed Contribution, the employee must be employed on the last day of the firm's fiscal year that ends with or within the Plan Year.
To be eligible for the Additional Retirement Contribution, employees must have been (i) active or on authorized leave of absence for no longer than two years as of November 26, 2004, (ii) age 46 or older as of November 26, 2004, and (iii) employed by the firm or its affiliates as of the last day of the current fiscal year.
Vesting
Participants are immediately fully vested in their own 401(k) contributions. A participant's Matching Contributions, Fixed Contributions and Additional Contributions fully vest upon the earliest to occur of: (i) completion of a two-year period of service for the Matching Contributions and Fixed Contributions or three-year period of service for the Additional Contributions, (ii) attainment of age 65 while employed by the firm or its affiliates, (iii) disability retirement, (iv) death while employed by the firm or on military duty or (v) Plan termination. There is no partial vesting of Matching Contributions, Fixed Contributions or Additional Contributions.
Benefits
Any benefits provided by the Plan are paid from net assets available for benefits. The benefit to which a Plan participant is entitled equals the amount that can be provided by the vested contributions and net earnings (or losses) thereon (including net realized and unrealized investment appreciation and depreciation) allocated to such participant's account. All or a portion of benefits can be distributed when an employee (i) leaves the firm or (ii) reaches age 59 ½.
Notes Receivable from Participants
A participant in the Plan is permitted to borrow between $1,000 and $50,000, reduced by (i) the highest outstanding balance of loans to such participant from the Plan during the one-year period ending on the day before the date on which such new loan is made, less (ii) the outstanding balance of loans to such participant from the Plan on the date of such new loan, subject to an overall cap of the lesser of (a) one-half of the participant's total vested account balance (including Firm Contributions) or (b) the balance in the participant's 401(k) and rollover contribution accounts. A participant may not borrow any amounts attributable to the Firm Contributions.
Interest on loans is fixed at the U.S. prime rate plus one percent for the life of the respective loan. Loans must be repaid within five years, or in some cases, ten years, with certain exceptions. Loans are repaid (principal and interest) and added back to participants' account balances through regular after-tax payroll deductions.
Risks and Uncertainties
Investments are exposed to various risks, such as interest rate, market, currency and credit risk. Due to the level of risk associated with certain investments and the level of uncertainty related to changes in the value of investments, it is possible that changes in risks in the near term could materially affect participants' account balances and the amounts reported in the statements of net assets available for benefits and the statements of changes in net assets available for benefits.
Note 2.
Basis of Presentation
These financial statements are prepared in accordance with accounting principles generally accepted in the United States (U.S. GAAP).
All references to 2025 and 2024 refer to the Plan's years ended, or the dates, as the context requires, December 31, 2025 and December 31, 2024, respectively.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Note 3.
Significant Accounting Policies
Use of Estimates
Preparation of these financial statements requires management to make certain estimates and assumptions, the most important of which relate to the fair value measurement of the Plan's investments. These estimates and assumptions are based on the best available information, but actual results could be materially different.
Payment of Benefits
Benefits are recorded when paid.
Notes Receivable from Participants
Participant loans are measured at their unpaid principal balance, plus any accrued but unpaid interest.
Expenses
Investment management fees charged by managers of mutual funds are borne by the Plan, and are included in net appreciation in the fair value of investments. Investment management fees charged by managers of collective trusts are borne by the Plan, and are included in net appreciation in the fair value of investments or investment management fees and other expenses based on the underlying trust agreements.
Investment management fees charged by managers of separately managed accounts are borne by the Plan, and are included in investment management fees and other expenses.
Other expenses borne by the Plan, unless paid by the firm, consist of custodial, administrative and investment advisory fees. Investment advisory fees are paid to Callan, which advises the Retirement Committee on the selection and oversight of Plan investments. These Plan expenses, unless paid by the firm, are included in investment management fees and other expenses.
Investments
The investments of the Plan are reported at fair value.
The Bank Deposit Option is a deposit obligation of Goldman Sachs Bank USA (GS Bank USA), a Federal Deposit Insurance Corporation (FDIC) insured New York State-chartered bank and a member of the Federal Reserve System. The Bank Deposit Option offers an FDIC-insured deposit with a floating rate coupon tied to the Federal Funds Rate.
Mutual funds and collective trust funds represent investments with various investment managers. Mutual funds are valued based on the quoted net asset value per share held. Collective trust funds are valued based on the net asset value per unit as reported by the investment managers.
Investments within separately managed accounts are described below:
Cash and cash equivalents include cash and certain short-term interest-bearing investments.
Securities purchased under agreements to resell (resale agreements) are transactions in which the Plan purchases financial instruments from a seller, typically in exchange for cash, and simultaneously enters into an agreement to resell the same or substantially the same financial instruments to the seller at a stated price plus accrued interest at a future date. Even though resale agreements involve the legal transfer of ownership of financial instruments, they are accounted for as financing arrangements because they require the financial instruments to be resold at the maturity of the agreement. The financial instruments purchased in resale agreements typically include U.S. government and federal agency obligations, investment-grade sovereign obligations, corporate debt instruments and equity securities. The Plan receives financial instruments purchased under resale agreements. To mitigate credit exposure, the investment managers monitor the market value of the resale agreements on a daily basis, and deliver or obtain additional collateral due to changes in the market value of the financial instruments, as appropriate. For resale agreements, the Plan typically requires collateral with a fair value approximately equal to the carrying value of the relevant assets in the statements of net assets available for benefits.
Fixed income securities, common and preferred stocks, real estate investment trusts, commodities, and interests in exchange-traded options and futures contracts traded in active markets are valued at closing prices on the last business day of each period presented. Securities traded in markets that are not considered active are valued based on broker or dealer quotations or alternative pricing sources with reasonable levels of price transparency. Securities that trade infrequently and therefore have little or no price transparency are valued using the investment managers' (or independent third parties on behalf of the investment managers) best estimate of fair value.
Mutual funds, as described above, may also be investments held within separately managed accounts.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Forward foreign currency contracts are valued at fair value, as determined by the investment managers (or independent third parties on behalf of the investment managers), using quoted forward foreign currency exchange rates. At the end of each period presented, open contracts are valued at the current forward foreign currency exchange rates and the change in market value is recorded as an unrealized gain or loss. When the contract is closed or delivery taken, the Plan records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.
Swap contracts are valued at fair value, as determined by the investment managers (or independent third parties on behalf of the investment managers) utilizing their proprietary models and taking into consideration exchange quotations on underlying instruments, dealer quotations and other market information.
See Note 10 for further information about derivatives.
Investments denominated in currencies other than the U.S. dollar are translated using exchange rates prevailing at the end of the periods presented. Purchases and sales of these investments are translated at the rate of exchange on the respective dates of such transactions.
Interest income and expense are recorded on an accrual basis. Dividend income is recorded on the ex-dividend date.
Purchases and sales of the investments within the Plan are reflected on a trade-date basis.
Due from Brokers and Other Receivables and Due to Brokers and Other Payables
Due from brokers and other receivables includes cash balances held with brokers, receivables from unsettled sales transactions, and collateral posted in connection with certain derivative transactions. Amounts due from brokers may be restricted to the extent that they serve as deposits for investment liabilities. Due to brokers and other payables includes payables from unsettled purchase transactions and collateral received in connection with certain derivative transactions. Certain of the Plan's securities held by the clearing brokers or prime brokers are pledged to the brokers on terms that permit them to repledge the securities to others, subject to certain limitations. Securities held at custodians under custody agreements cannot be repledged to others by the custodian.
Note 4.
Fair Value Measurements
The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Financial instruments are marked at closing prices. Fair value measurements do not include transaction costs.
The best evidence of fair value is a quoted price in an active market. If quoted prices in active markets are not available, fair value is determined by reference to prices for similar instruments, quoted prices or recent transactions in less active markets, or internally developed models that primarily use market-based or independently sourced inputs, including, but not limited to, interest rates, volatilities, equity or debt prices, foreign exchange rates, commodity prices, credit spreads and funding spreads (i.e., the spread or difference between the interest rate at which a borrower could finance a given financial instrument relative to a benchmark interest rate).
U.S. GAAP has a three-level hierarchy for disclosure of fair value measurements. This hierarchy prioritizes inputs to the valuation techniques used to measure fair value, giving the highest priority to level 1 inputs and the lowest priority to level 3 inputs. A financial instrument's level in this hierarchy is based on the lowest level of input that is significant to its fair value measurement. The fair value hierarchy is as follows:
Level 1. Inputs are unadjusted quoted prices in active markets to which the Plan had access at the measurement date for identical, unrestricted assets or liabilities.
Level 2. Inputs to valuation techniques are observable, either directly or indirectly.
Level 3. One or more inputs to valuation techniques are significant and unobservable.
The investment managers and custodian, on behalf of the Plan, use independent pricing sources to value Plan assets traded on exchanges and independent quoted prices or developed models for all assets not traded on exchanges. Investment managers review their valuation approaches on an ongoing basis and revise as necessary based on changing market conditions to ensure their valuations represent fair value. Subsequently, the Plan uses other methodologies to determine fair value (e.g., relevant broker quotations), which vary based on the type of instrument.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Level 1 Investments
Level 1 investments include bank deposit, mutual funds, collective trusts, and within separately managed accounts, cash and cash equivalents, certain fixed income securities, common and preferred stocks, mutual funds and most real estate investment trusts. These instruments are valued using quoted prices for identical unrestricted instruments in active markets.
The Plan determines active markets for equity instruments based on the average daily trading volume both in absolute terms and relative to the market capitalization for the instrument. The Plan determines active markets for debt instruments based on both the average daily trading volume and the number of days with trading activity.
Level 2 Investments
Level 2 investments include resale agreements, most fixed income securities, certain real estate investment trusts, commodities and derivatives within separately managed accounts.
The valuation of level 2 investments can be verified to quoted prices, recent trading activity for identical or similar instruments, broker or dealer quotations or alternative pricing sources with reasonable levels of price transparency. Consideration is given to the nature of the quotations (e.g., indicative or executable) and the relationship of recent market activity to the prices provided from alternative pricing sources.
Level 3 Investments
Level 3 investments have one or more significant valuation inputs that are not observable. Absent evidence to the contrary, level 3 instruments are initially valued at transaction price, which is considered to be the best initial estimate of fair value. Subsequently, the Plan uses other methodologies to determine fair value, which vary based on the type of instrument and include relevant broker quotations. Valuation inputs and assumptions are changed when corroborated by substantive observable evidence, including values realized on sales of financial assets.
As of both December 2025 and December 2024, the Plan had no level 3 investment assets.
See Notes 3 and 5 for further information about investment assets and investment liabilities.
Note 5.
Investment Assets and Investment Liabilities
Fair Value of Investment Assets and Investment Liabilities by Level
The table below presents investment assets and investment liabilities of the Plan by level within the fair value hierarchy.
$ in thousands Level 1 Level 2 Level 3 Total
As of December 2025
Assets
Bank deposit $ 266,344 $ - $ - $ 266,344
Mutual funds 1,444,423 - - 1,444,423
Collective trusts 9,251,014 - - 9,251,014
Separately managed accounts:
Cash and cash equivalents 2,292 - - 2,292
Resale agreements - 72,300 - 72,300
Fixed income securities 52,714 159,088 - 211,802
Common and preferred
stocks 2,722,146 - - 2,722,146
Mutual funds 95,412 - - 95,412
Real estate investment trusts 259,742 - - 259,742
Commodities - 11,472 - 11,472
Derivatives - 2,792 - 2,792
Total investment assets $ 14,094,087 $ 245,652 $ - $ 14,339,739
Liabilities
Separately managed accounts:
Derivatives $ - $ (54) $ - $ (54)
Total investment liabilities $ - $ (54) $ - $ (54)
As of December 2024
Assets
Bank deposit $ 268,894 $ - $ - $ 268,894
Mutual funds 1,264,164 - - 1,264,164
Collective trusts 7,842,009 - - 7,842,009
Separately managed accounts:
Cash and cash equivalents 410 - - 410
Resale agreements - 83,200 - 83,200
Fixed income securities 82,565 121,271 - 203,836
Common and preferred
stocks 2,468,185 - - 2,468,185
Mutual funds 105,443 - - 105,443
Real estate investment trusts 289,889 563 - 290,452
Commodities - 30,895 - 30,895
Derivatives - 704 - 704
Total investment assets $ 12,321,559 $ 236,633 $ - $ 12,558,192
Liabilities
Separately managed accounts:
Derivatives $ - $ (2) $ - $ (2)
Total investment liabilities $ - $ (2) $ - $ (2)
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
In the table above:
Investment assets are shown as positive amounts and investment liabilities are shown as negative amounts.
Mutual funds within separately managed accounts consist of money market funds, exchange-traded funds and investments in funds that primarily consist of fixed income securities.
Level 3 Rollforward
The table below presents the changes in fair value for level 3 investment assets.
Year Ended December
$ in thousands 2025 2024
Common and preferred stocks
Beginning balance $ - $ 289
Net unrealized gains/(losses) - (289)
Ending balance $ - $ -
In the table above:
Changes in fair value are presented for all investment assets that are classified in level 3 as of the end of the period.
Net unrealized gains/(losses) relates to investment assets that were still held at period-end.
For level 3 investment assets, increases are shown as positive amounts, while decreases are shown as negative amounts.
Level 3 Rollforward Commentary
Year Ended December 2024. There were no net realized gains/(losses) on level 3 investment assets for 2024. The net unrealized losses on level 3 investment assets of $0.3 million for 2024 were reported in net appreciation in the fair value of investments.
The drivers of net unrealized losses on level 3 investment assets for 2024 were not material.
There were no transfers into or out of level 3 investment assets during 2024.
Note 6.
Related-Party and Party-In-Interest Transactions
The Plan offers the Stock Fund as an investment option, which has substantially all of its investments in the firm's common stock. The Stock Fund is managed by State Street Global Advisors. As of December 2025, the Plan's interest in the Stock Fund represented 493,014 shares of the firm's common stock with a fair market value of $433.4 million. As of December 2024, the Plan's interest in the Stock Fund represented 501,941 shares of the firm's common stock with a fair market value of $287.4 million. Purchases of $12.8 million and sales of $4.9 million of the firm's common stock were made through the Stock Fund during 2025. Purchases of $8.8 million and sales of $8.6 million of the firm's common stock were made through the Stock Fund during 2024.
Goldman Sachs Asset Management, L.P. (GSAM L.P.), an affiliate of the firm, manages a laddered fixed income separately managed account investment option in the Plan. No fees were charged by GSAM L.P. to manage this separately managed account as of both December 2025 and December 2024.
GS Bank USA, an affiliate of the firm, has a deposit obligation to the Plan under the Plan's Bank Deposit Option. No fees were charged by GS Bank USA for this bank deposit obligation as of both December 2025 and December 2024.
Note 7.
Plan Termination
The firm intends to continue the Plan indefinitely, but reserves the right to discontinue or amend the Plan at any time, subject to the provisions of ERISA. In the event of discontinuance, affected participants will become fully vested in the Firm Contributions and the related investment income as required by ERISA.
Note 8.
Income Tax Status
The Internal Revenue Service has determined, and informed the firm by a letter dated November 17, 2025, that the terms of the Plan conform to the requirements of section 401(a) of the Internal Revenue Code of 1986, as amended.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
Note 9.
Reconciliation of Financial Statements to the Form 5500
The tables below present the reconciliations from the Plan's financial statements to the Form 5500.
As of December
$ in thousands 2025 2024
Net assets available for benefits, per statements
of net assets available for benefits $ 14,588,024 $ 12,760,943
Amounts allocated to withdrawing participants (3,213) (2,806)
Net assets, per the Form 5500 $ 14,584,811 $ 12,758,137
As of December
$ in thousands 2025 2024
Benefits paid, per statements of changes in
net assets available for benefits $ 847,073 $ 951,085
Amounts allocated to withdrawing participants,
ending balance 3,213 2,806
Amounts allocated to withdrawing participants,
beginning balance (2,806) (48,158)
Benefits paid to participants and certain
deemed distributions of participant loans,
per the Form 5500 $ 847,480 $ 905,733
Amounts allocated to withdrawing participants are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to both December 2025 and December 2024, but had not yet been paid as of that date.
Note 10.
Financial Instruments with Off-Balance Sheet Risk
In accordance with the investment strategy of the separately managed accounts, the Plan's investment managers execute transactions in various financial instruments that may give rise to varying degrees of off-balance sheet market and credit risk, including investment liabilities. These investment liabilities involve obligations to deliver specified securities at contracted prices and thereby create a liability to purchase the securities at prevailing future market prices. Accordingly, these transactions result in off-balance sheet risk as the Plan's ultimate obligation to satisfy the sale of investment liabilities may exceed the amount recognized in the financial statements.
Derivatives are instruments that derive their value from underlying asset prices, indices, reference rates and other inputs, or a combination of these factors. Derivatives may be traded on an exchange (exchange-traded) or they may be privately negotiated contracts, which are usually referred to as over-the-counter (OTC) derivatives.
The Plan enters into various types of derivatives, including:
Futures and Forwards. Contracts that commit counterparties to purchase or sell financial instruments, commodities or currencies in the future.
Swaps. Contracts that require counterparties to exchange cash flows, such as currency or interest payment streams. The amounts exchanged are based on the specific terms of the contract with reference to specified rates, financial instruments, commodities, currencies or indices.
Options. Contracts in which the option purchaser has the right, but not the obligation, to purchase from or sell to the option writer financial instruments, commodities or currencies within a defined time period for a specified price.
As a writer of option contracts, the Plan receives a premium to become obligated to buy or sell financial instruments for a period of time at the holder's option. During this period, the Plan bears the risk of an unfavorable change in the fair value of the financial instrument underlying the option, but has no credit risk, as the counterparty has no performance obligation to the Plan once it has paid its cash premium.
Derivatives are recorded on a gross basis in the statements of net assets available for benefits and are accounted for at fair value.
Risk Management
Market risk includes risk that arises from the potential for changes in value of financial instruments resulting from fluctuations in interest and foreign exchange rates, in prices of commodities, and in prices of debt and equity securities. In many cases, these financial instruments serve to reduce, rather than increase, the Plan's exposure to losses from market or other risks. In addition, the measurement of market risk is meaningful only when all related and offsetting transactions are identified. The investment managers may limit the Plan's market risk by holding or purchasing offsetting positions.
The Plan is subject to credit risk of counterparty nonperformance on derivative assets, except for written options, which obligate the Plan to perform and do not give rise to any counterparty credit risk.
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THE GOLDMAN SACHS 401(k) PLAN
Notes to Financial Statements
The tables below present information about derivative contracts by major product type.
Fair Value as of December
2025 2024
$ in thousands Derivative
Assets
Derivative
Liabilities
Derivative
Assets
Derivative
Liabilities
Interest rates $ - $ 30 $ 68 $ -
Commodities 222 - 292 2
Equities 2,570 24 344 -
Total gross fair value $ 2,792 $ 54 $ 704 $ 2
Not offset in the statements of net assets available for benefits
Counterparty netting $ (24) $ (24) $ (2) $ (2)
Cash collateral netting (2,768) (30) (702) -
Total $ - $ - $ - $ -
Notional Amounts as of December
$ in thousands 2025 2024
Interest rates $ 127,220 $ 85,638
Commodities 79,944 117,891
Equities 132,966 128,447
Total $ 340,130 $ 331,976
In the tables above:
The amount of derivative assets and liabilities reported on the statements of net assets available for benefits is the gross fair value and excludes the impact of any legally enforceable master netting agreements and cash collateral held by the Plan.
Notional amounts, which represent the sum of gross long and short derivative contracts, provide an indication of the volume of the Plan's derivative activity and do not represent anticipated losses.
The table below presents the net appreciation/(depreciation) in the fair value of derivatives (including gains and losses on derivatives bought and sold, as well as held during the year) by major product type.
Year Ended December
$ in thousands 2025 2024
Interest rates $ 38 $ (1,683)
Credit - 65
Currencies - 480
Commodities (6,206) (1,274)
Equities 6,113 (1,327)
Total $ (55) $ (3,739)
Credit Derivatives
The Plan's investment managers enter into various credit derivative transactions.
The Plan may enter into credit default swaps. Single-name credit default swaps protect the buyer against the loss of principal on one or more bonds, loans or mortgages (reference obligations) in the event the issuer of the reference obligations suffers a credit event. The buyer of protection pays an initial or periodic premium to the seller and receives protection for the period of the contract. If there is no credit event, as defined in the contract, the seller of protection makes no payments to the buyer. If a credit event occurs, the seller of protection is required to make a payment to the buyer, calculated according to the terms of the contract.
The Plan had no written or purchased credit derivative transactions as of both December 2025 and December 2024.
11
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
Bank Deposit
*GOLDMAN SACHS BANK USA BANK DEPOSIT ACCOUNT 266,344,052 $ 266,344,052
Total Bank Deposit $ 266,344,052
Mutual Funds
AMERICAN FUNDS AMERICAN HIGH-INCOME TRUST 23,020,834 $ 228,366,669
DODGE & COX INTERNATIONAL STOCK FUND 7,329,631 120,645,723
RBC EMERGING MARKETS EQUITY FUND 5,706,826 97,358,446
SSGA HEDGED INTERNATIONAL DEVELOPED EQUITY INDEX FUND 1,150,769 165,273,458
VANGUARD CASH RESERVES FEDERAL MONEY MARKET 712,373,670 712,373,670
VANGUARD INFLATION-PROTECTED SECURITIES FUND 12,863,808 120,405,240
Total Mutual Funds $ 1,444,423,206
Collective Trusts
BLACKROCK 20+ YR TREASURY BOND INDEX FUND 1,922,673 $ 74,119,831
BLACKROCK EQUITY GROWTH INDEX FUND 7,849,241 788,825,974
BLACKROCK EQUITY VALUE INDEX FUND 5,921,518 432,019,724
BLACKROCK LIFEPATH® 2030 INDEX NON-LENDABLE FUND 4,998,483 222,206,070
BLACKROCK LIFEPATH® 2035 INDEX NON-LENDABLE FUND 6,438,261 328,162,026
BLACKROCK LIFEPATH® 2040 INDEX NON-LENDABLE FUND 7,419,075 427,252,661
BLACKROCK LIFEPATH® 2045 INDEX NON-LENDABLE FUND 9,196,270 589,736,588
BLACKROCK LIFEPATH® 2050 INDEX NON-LENDABLE FUND 8,158,907 566,697,303
BLACKROCK LIFEPATH® 2055 INDEX NON-LENDABLE FUND 12,349,469 630,370,011
BLACKROCK LIFEPATH® 2060 INDEX NON-LENDABLE FUND 11,140,218 324,110,147
BLACKROCK LIFEPATH® 2065 INDEX NON-LENDABLE FUND 1,553,823 32,211,684
BLACKROCK LIFEPATH® RETIREMENT INDEX NON-LENDABLE FUND 6,824,025 203,658,935
BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND 4,266,310 192,828,265
FIDELITY INSTITUTIONAL ASSET MANAGEMENT CORE PLUS 5,350,926 132,328,400
SSGA EMERGING MARKETS INDEX NON-LENDING SERIES FUND 4,426,859 216,114,841
SSGA RUSSELL 2000® INDEX NON-LENDING SERIES FUND 6,551,692 348,117,577
SSGA S&P 500® INDEX NON-LENDING SERIES FUND 276,778,363 3,293,385,737
SSGA S&P MIDCAP® INDEX NON-LENDING SERIES FUND 4,993,880 354,845,144
SSGA U.S. BOND INDEX NON-LENDING SERIES FUND 7,800,831 94,023,411
Total Collective Trusts $ 9,251,014,329
Separately Managed Accounts
Cash and Cash Equivalents
ARS (ARGENTINE PESO) 12,560 $ 9
CAD (CANADIAN DOLLARS) 12,012 8,763
CHF (SWISS FRANC) 7,022 8,863
EUR (EURO) 451,110 529,807
GBP (GREAT BRITISH POUNDS) 114,941 154,601
HKD (HONG KONG DOLLARS) 66 9
KRW (SOUTH KOREAN WON) 20 -
PHP (PHILIPPINES PESO) 676 11
SGD (SINGAPORE DOLLARS) 561 436
THB (THAI BAHT) 100 3
USD (US DOLLAR) 1,589,792 1,589,498
Total Cash and Cash Equivalents $ 2,292,000
Securities Purchased Under Agreements to Resell
J P MORGAN CHASE REV REPO 3.900% 01/02/26 DD 12/31/25
61,900,000 $ 61,900,000
REGIONS BANK REV REPO 3.930% 01/02/26 DD 12/31/25
10,400,000 10,400,000
Total Securities Purchased Under Agreements to Resell $ 72,300,000
12
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
Fixed Income Securities
1988 CLO 5 LTD 5A A1 144A VAR RT 07/15/37 DD 06/27/24 450,000 $ 450,000
7-ELEVEN INC 144A 0.950% 02/10/26 DD 02/10/21
125,000 124,558
AB BSL CLO 6 LTD 6A A 144A VAR RT 07/20/37 DD 06/26/25 975,000 977,681
ABBVIE INC 2.950% 11/21/26 DD 05/21/20
750,000 744,215
ABBVIE INC 4.800% 03/15/27 DD 02/26/24
2,135,000 2,157,553
AIR LEASE CORP 1.875% 08/15/26 DD 05/24/21
550,000 541,871
ALLY FINANCIAL INC VAR RT 05/15/29 DD 05/15/25 159,000 163,087
AMERICAN EXPRESS CO VAR RT 07/20/29 DD 07/25/25 1,298,000 1,307,923
AMERICAN EXPRESS CO VAR RT 07/26/28 DD 07/26/24 600,000 610,208
AMERICAN EXPRESS CREDIT AC 1 A 4.870% 05/15/28 DD 06/14/23
500,000 501,830
AMERICAN EXPRESS CREDIT AC 3 A 4.650% 07/15/29 DD 07/23/24
500,000 506,883
AMERICAN TOWER CORP 3.375% 10/15/26 DD 05/13/16
275,000 273,552
AMGEN INC 2.600% 08/19/26 DD 08/19/16
700,000 694,602
AMORTIZING RESIDENTIAL CO 1 A5 VAR RT 10/25/34 DD 09/25/04 109,640 108,479
APIDOS CLO XXIII 23A ARR 144A VAR RT 04/15/33 DD 03/26/25 1,211,362 1,211,362
ARTHUR J GALLAGHER & CO 4.850% 12/15/29 DD 12/19/24
675,000 691,034
AVOLON HOLDINGS FUNDING LTD 144A 6.375% 05/04/28 DD 05/04/23
935,000 974,473
BA CREDIT CARD TRUST A1 A1 4.790% 05/15/28 DD 06/16/23
500,000 501,668
BAIN CAPITAL CREDIT 3A A1 144A VAR RT 07/16/37 DD 06/27/24 1,200,000 1,200,000
BANCO SANTANDER SA VAR RT 03/24/28 DD 03/24/22 1,000,000 1,000,444
BANK OF AMERICA CORP VAR RT 01/20/27 DD 01/20/23 2,190,000 2,191,088
BANK OF AMERICA CORP VAR RT 01/24/29 DD 01/24/25 1,774,000 1,807,693
BANK OF AMERICA CORP VAR RT 09/15/27 DD 09/15/23 300,000 303,890
BANK OF MONTREAL VAR RT 01/22/27 DD 01/22/21 1,030,000 1,028,003
BANK OF MONTREAL VAR RT 09/10/27 DD 09/10/24 100,000 100,280
BANK OF NOVA SCOTIA/THE 4.750% 02/02/26 DD 02/02/23
1,625,000 1,626,072
BANK OF NOVA SCOTIA/THE 5.400% 06/04/27 DD 06/04/24
500,000 510,601
BANK5 2024-5YR11 5YR11 A3 5.893% 11/15/57 DD 11/01/24
350,000 368,126
BANK5 2024-5YR9 5YR9 A3 5.614% 08/15/57 DD 08/01/24
525,000 546,689
BANK5 2025-5YR14 5YR14 A3 5.646% 04/15/58 DD 04/01/25
525,000 549,427
BANK5 2025-5YR16 5YR16 A3 5.282% 08/15/63 DD 08/01/25
300,000 310,046
BANK5 2025-5YR17 5YR17 A3 5.225% 11/15/58 DD 10/01/25
600,000 619,141
BANK5 2025-5YR19 5YR19 A3 5.270% 12/15/58 DD 12/01/25
700,000 723,843
BARCLAYS DRYROCK ISSUANCE 1 A 4.720% 02/15/29 DD 04/25/23
700,000 701,628
BARCLAYS PLC VAR RT 03/12/28 DD 03/12/24 200,000 203,586
BARCLAYS PLC VAR RT 05/09/27 DD 05/09/23 1,235,000 1,241,983
BARCLAYS PLC VAR RT 09/10/28 DD 09/10/24 970,000 981,516
BARCLAYS PLC VAR RT 09/13/27 DD 09/13/23 200,000 203,124
BARCLAYS PLC VAR RT 11/24/27 DD 11/24/21 764,000 751,697
BAT CAPITAL CORP 3.557% 08/15/27 DD 08/15/18
1,337,000 1,326,922
BENCHMARK 2021-B28 MORTGAGE TRUST B28 ASB 1.980% 08/15/54 DD 08/01/21
300,000 281,551
BENCHMARK 2024-V7 MORTGAGE TRUST V7 A3 VAR RT 05/15/56 DD 05/01/24 350,000 369,557
BENCHMARK 2024-V8 MORTGAGE TRUST V8 A3 VAR RT 07/15/57 DD 07/01/24 400,000 422,599
BFLD COMMERCIAL MORTGAGE 660F A 144A VAR RT 11/15/42 DD 10/31/25 650,000 651,828
BOEING CO/THE 2.750% 02/01/26 DD 11/02/20
490,000 489,424
BPCE SA 144A 3.250% 01/11/28 DD 01/11/18
365,000 358,991
BROADCOM INC 1.950% 02/15/28 DD 08/15/25
720,000 691,292
BROADCOM INC 5.050% 07/12/27 DD 07/12/24
1,670,000 1,700,087
BX TRUST 2021-BXMF BXMF A 144A VAR RT 10/15/26 DD 11/08/21 286,490 286,061
BX TRUST 2025-ROIC ROIC A 144A VAR RT 03/15/30 DD 02/27/25 747,086 746,153
CAMPBELL'S COMPANY/THE 2.375% 04/24/30 DD 04/24/20
755,000 694,874
CAMPBELL'S COMPANY/THE 5.200% 03/19/27 DD 03/21/24
495,000 501,489
CANADIAN IMPERIAL BANK OF COMMERCE 5.615% 07/17/26 DD 07/17/23
780,000 787,148
CAPITAL ONE FINANCIAL CORP VAR RT 05/10/28 DD 05/09/22 970,000 981,558
CARDINAL HEALTH INC 4.700% 11/15/26 DD 11/22/24
1,438,000 1,447,293
13
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
CARMAX AUTO OWNER TRUST 2 3 A3 4.350% 07/15/30 DD 07/23/25
500,000 504,406
CARMAX AUTO OWNER TRUST 2 4 A3 5.340% 08/16/27 DD 10/31/22
120,020 120,362
CARMAX AUTO OWNER TRUST 3 A2A 5.210% 09/15/27 DD 07/30/24
111,739 111,958
CARVAL CLO XI C LTD 3A A1 144A VAR RT 10/20/37 DD 09/25/24 1,000,000 1,000,000
CARVANA AUTO RECEIVABLES P4 A2 4.190% 03/12/29 DD 11/25/25
500,000 500,917
CARVANA AUTO RECEIVABLES P4 A3 4.640% 01/10/30 DD 12/17/24
500,000 503,046
CATERPILLAR FINANCIAL SERVICES 4.800% 01/06/26 DD 01/06/23
910,000 910,082
CHASE MORTGAGE FINANCE A1 1A1 VAR RT 02/25/37 DD 02/01/07 6,611 6,650
CITIBANK NA 4.929% 08/06/26 DD 08/06/24
300,000 301,582
CITIBANK NA 5.438% 04/30/26 DD 04/30/24
400,000 401,528
CITIBANK NA 5.488% 12/04/26 DD 12/04/23
250,000 253,320
CITIBANK NA VAR RT 11/19/27 DD 11/19/24 860,000 866,256
CITIGROUP INC VAR RT 03/04/29 DD 03/04/25 1,627,000 1,650,787
CITIGROUP INC VAR RT 06/09/27 DD 06/09/21 895,000 884,773
CITIGROUP INC VAR RT 07/24/28 DD 07/24/17 259,000 257,384
CITIGROUP INC VAR RT 10/27/28 DD 10/27/17 710,000 703,765
COMM 2024-277P MOR 277P A 144A 6.338% 08/10/44 DD 08/01/24
450,000 474,301
COREBRIDGE GLOBAL FUNDING 144A 4.250% 08/21/28 DD 08/21/25
690,000 691,999
CROWN CASTLE INC 4.800% 09/01/28 DD 04/26/23
965,000 979,347
CVS HEALTH CORP 5.000% 02/20/26 DD 02/21/23
760,000 760,290
DELL INTERNATIONAL LLC / EMC C 6.020% 06/15/26 DD 06/15/21
78,000 78,341
DEUTSCHE BANK AG/NEW YORK NY VAR RT 01/10/29 DD 01/10/25 612,000 624,752
DIAMONDBACK ENERGY INC 5.200% 04/18/27 DD 04/18/24
825,000 837,004
DOMINION ENERGY INC 4.600% 05/15/28 DD 05/13/25
444,000 449,381
DRYDEN 80 CLO LTD 80A ARR 144A VAR RT 01/17/33 DD 09/09/25 1,367,709 1,367,709
ECMC GROUP STUDENT LOAN 2A A 144A VAR RT 09/25/68 DD 10/10/18 351,231 348,675
EXETER AUTOMOBILE RECEIVABLES 1A A2 4.700% 09/15/27 DD 01/29/25
26,856 26,860
EXETER AUTOMOBILE RECEIVABLES 1A A3 4.670% 08/15/28 DD 01/29/25
150,000 150,264
EXETER SELECT AUTOMOBILE 2 A2 4.540% 06/15/29 DD 07/30/25
486,194 487,848
FHLMC MULTICLASS MTG 3179 FP VAR RT 07/15/36 DD 07/15/06 2,299 2,280
FHLMC MULTICLASS MTG 4594 PA 3.000% 11/15/44 DD 06/01/16
91,153 88,527
FHLMC MULTICLASS MTG 4604 HA 2.500% 05/15/45 DD 08/01/16
95,475 89,910
FHLMC MULTICLASS MTG 4709 EA 3.000% 01/15/46 DD 08/01/17
100,176 97,439
FHLMC MULTICLASS MTG 4718 DA 3.000% 02/15/47 DD 09/01/17
92,595 87,552
FHLMC MULTICLASS MTG 4839 A 4.000% 04/15/51 DD 10/01/18
2,342,763 2,261,242
FHLMC MULTICLASS MTG 4874 AT 3.000% 09/15/48 DD 03/01/19
106,171 96,032
FHLMC MULTICLASS MTG 5473 FA VAR RT 11/25/54 DD 10/25/24 384,049 384,790
FHLMC MULTICLASS MTG 5495 AF VAR RT 01/25/55 DD 12/25/24 81,938 82,198
FHLMC MULTICLASS MTG 5517 MF VAR RT 03/25/55 DD 02/25/25 359,131 360,738
FHLMC MULTICLASS MTG 5564 PF VAR RT 08/25/55 DD 07/25/25 883,136 887,256
FHLMC MULTICLASS MTG 5565 FA VAR RT 08/25/55 DD 07/25/25 567,240 569,486
FHLMC MULTICLASS MTG Q034 APT2 VAR RT 07/25/54 DD 06/01/25 488,448 475,757
FHLMC MULTICLASS STRIP 278 F1 VAR RT 09/15/42 DD 09/15/12 31,100 30,712
FHLMC POOL #SD-8475 5.500% 10/01/54 DD 10/01/24
2,188,810 2,221,242
FHLMC POOL #SL-3027 5.500% 01/01/55 DD 10/01/25
2,333,919 2,392,012
FHLMC POOL #SL-3113 5.500% 07/01/55 DD 10/01/25
2,394,031 2,433,177
FIFTH THIRD BANCORP VAR RT 10/27/28 DD 10/27/22 1,095,000 1,139,324
FISERV INC 5.375% 08/21/28 DD 08/21/23
950,000 974,480
FNMA GTD REMIC P/T 06-30 KF VAR RT 05/25/36 DD 04/25/06 10,928 10,853
FNMA GTD REMIC P/T 15-92 PA 2.500% 12/25/41 DD 11/01/15
32,864 30,973
FNMA GTD REMIC P/T 18-27 WF VAR RT 05/25/58 DD 04/01/18 317,717 312,405
FNMA GTD REMIC P/T 24-104 FA VAR RT 01/25/55 DD 12/25/24 81,776 81,986
FNMA GTD REMIC P/T 25-4 FB VAR RT 12/25/53 DD 01/25/25 612,244 614,358
FNMA POOL #0555678 5.000% 08/01/33 DD 07/01/03
198,470 201,261
FNMA POOL #0735676 5.000% 07/01/35 DD 06/01/05
68,396 69,497
FNMA POOL #0AB0130 5.000% 05/01/38 DD 05/01/09
20,715 21,048
14
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
FNMA POOL #0AL1674 VAR RT 05/01/42 DD 05/01/12 9,068 9,478
FNMA POOL #0AL5548 VAR RT 05/01/38 DD 07/01/14 18,951 19,731
FNMA POOL #0BL6406 1.630% 05/01/27 DD 06/01/20
600,000 582,329
FNMA POOL #0BM2007 4.000% 09/01/48 DD 08/01/18
101,371 98,081
FNMA POOL #0BN5342 4.000% 03/01/49 DD 03/01/19
129,651 125,278
FORD CREDIT AUTO LEASE TRUST A A3 4.720% 06/15/28 DD 01/27/25
1,225,000 1,235,332
FORD CREDIT AUTO LEASE TRUST B A2B VAR RT 02/15/27 DD 07/23/24 89,911 89,915
FORD MOTOR CREDIT CO LLC 5.850% 05/17/27 DD 05/17/24
425,000 431,511
GE HEALTHCARE TECHNOLOGIES INC 5.650% 11/15/27 DD 05/15/23
800,000 823,719
GENERAL MOTORS CO 5.350% 04/15/28 DD 05/07/25
1,121,000 1,148,602
GENERAL MOTORS FINANCIAL CO INC 5.800% 06/23/28 DD 06/23/23
945,000 979,527
GLENCORE FUNDING LLC 144A 4.907% 04/01/28 DD 04/01/25
1,238,000 1,259,008
GLOBAL PAYMENTS INC 3.200% 08/15/29 DD 08/14/19
520,000 496,217
GM FINANCIAL AUTOMOBILE LEASE 1 A3 4.660% 02/21/28 DD 02/12/25
500,000 504,105
GM FINANCIAL AUTOMOBILE LEASE 1 A3 5.090% 03/22/27 DD 02/15/24
380,803 381,664
GM FINANCIAL CONSUMER AUTOMOBILE 1 A3 4.620% 12/17/29 DD 01/15/25
800,000 808,259
GNMA GTD REMIC P/T 16-H20 FG VAR RT 08/20/66 DD 09/20/16 1,493 1,497
GNMA GTD REMIC P/T 17-H05 FC VAR RT 02/20/67 DD 02/20/17 373,281 374,406
GNMA GTD REMIC P/T 18-H15 FG VAR RT 08/20/68 DD 09/20/18 40,110 40,356
GNMA GTD REMIC P/T 19-H20 F VAR RT 12/20/69 DD 12/20/19 381,702 384,887
GNMA GTD REMIC P/T 24-H04 FA VAR RT 02/20/74 DD 03/20/24 546,378 545,741
GNMA GTD REMIC P/T 24-H07 FC VAR RT 02/20/74 DD 04/20/24 297,571 297,466
GNMA GTD REMIC P/T 25-204 FH VAR RT 12/20/55 DD 12/20/25 1,300,000 1,301,772
GNMA II POOL #0MA1376 4.000% 10/20/43 DD 10/01/13
175,991 170,733
GNMA II POOL #0MA5332 5.000% 07/20/48 DD 07/01/18
346,721 351,708
GNMA II POOL #0MA5530 5.000% 10/20/48 DD 10/01/18
184,893 188,354
GNMA II POOL #0MA5596 4.500% 11/20/48 DD 11/01/18
15,325 15,205
GNMA II POOL #0MA5711 4.500% 01/20/49 DD 01/01/19
8,451 8,389
GNMA II POOL #0MA5764 4.500% 02/20/49 DD 02/01/19
33,703 33,433
GNMA II POOL #0MA5818 4.500% 03/20/49 DD 03/01/19
44,961 44,600
GNMA II POOL #0MA5819 5.000% 03/20/49 DD 03/01/19
15,973 16,228
GNMA II POOL #0MA5877 4.500% 04/20/49 DD 04/01/19
66,043 65,767
GNMA II POOL #0MA5987 4.500% 06/20/49 DD 06/01/19
22,908 22,813
GNMA II POOL #0MA5988 5.000% 06/20/49 DD 06/01/19
485,867 494,045
GOLUB CAPITAL PARTNERS 74A A 144A VAR RT 07/25/37 DD 06/20/24 825,000 825,000
HCA INC 5.000% 03/01/28 DD 02/21/25
680,000 692,867
HCA INC 5.625% 09/01/28 DD 08/23/18
375,000 386,951
HSBC HOLDINGS PLC VAR RT 03/03/29 DD 03/03/25 485,000 492,221
HUDSON YARDS 2025- SPRL A 144A VAR RT 01/13/40 DD 01/01/25 525,000 544,672
HYUNDAI AUTO RECEIVABLES A A3 4.990% 02/15/29 DD 03/20/24
698,189 704,168
IMPERIAL BRANDS FINANCE PLC 144A 4.500% 06/30/28 DD 07/01/25
975,000 983,164
INTERNATIONAL BUSINESS MACHINE 4.650% 02/10/28 DD 02/10/25
600,000 608,936
INTERNATIONAL FLAVORS & FRAGRANCES 4.450% 09/26/28 DD 09/26/18
875,000 881,409
JPMORGAN CHASE & CO VAR RT 01/23/28 DD 01/23/24 555,000 560,794
JPMORGAN CHASE & CO VAR RT 01/24/29 DD 01/24/25 1,579,000 1,608,870
JPMORGAN CHASE & CO VAR RT 09/22/27 DD 09/22/21 875,000 859,082
KRE COMMERCIAL MORTGAGE AIP4 A 144A VAR RT 03/15/42 DD 03/18/25 700,000 699,126
M&T BANK AUTO RECEIVABLE 1A A2A 144A 4.630% 05/15/28 DD 02/12/25
712,101 713,736
MANUFACTURERS & TRADERS TRUST VAR RT 07/06/28 DD 06/17/25 837,000 844,712
MARS INC 144A 4.600% 03/01/28 DD 03/12/25
1,872,000 1,898,144
MASSACHUSETTS EDUCATIONAL 1 A1 VAR RT 04/25/38 DD 07/02/08 53,794 53,938
MERCEDES-BENZ AUTOMOBILE LEASE A A3 5.320% 01/18/28 DD 05/23/24
450,000 454,374
MERRILL LYNCH MORTGAGE INVESTORS E A1 VAR RT 11/25/29 DD 09/23/04 26,089 22,922
MITSUBISHI UFJ FINANCIAL GROUP VAR RT 07/20/27 DD 07/20/21 490,000 483,163
MIZUHO BANK LTD/NEW YORK NY VAR RT 06/02/26 DD 11/20/25 1,500,000 1,500,000
MONDELEZ INTERNATIONAL INC 4.250% 05/06/28 DD 05/06/25
994,000 999,586
15
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
MORGAN STANLEY BANK NA 5.882% 10/30/26 DD 11/01/23
600,000 609,032
MORGAN STANLEY MORTGAGE 11AR 1A1 VAR RT 01/25/35 DD 12/29/04 33,846 32,357
MORGAN STANLEY VAR RT 01/21/28 DD 01/24/22 1,000,000 983,757
MORGAN STANLEY VAR RT 01/28/27 DD 01/19/23 2,254,000 2,255,557
MORGAN STANLEY VAR RT 04/12/29 DD 04/17/25 871,000 888,527
MPLX LP 1.750% 03/01/26 DD 08/18/20
575,000 572,734
NATIONAL BK KUWAIT C/D 4.170% 03/17/26 DD 11/17/25
1,308,000 1,308,043
NEXTERA ENERGY CAPITAL HOLDING 1.875% 01/15/27 DD 12/13/21
274,000 268,226
NEXTERA ENERGY CAPITAL HOLDING 4.625% 07/15/27 DD 06/23/22
810,000 818,805
NISOURCE INC 3.490% 05/15/27 DD 05/22/17
112,000 111,289
NTT FINANCE CORP 144A 4.620% 07/16/28 DD 07/16/25
970,000 983,230
NXP BV / NXP FUNDING LLC / NXP 3.875% 06/18/26 DD 12/18/21
500,000 499,460
NXP BV / NXP FUNDING LLC / NXP 4.400% 06/01/27 DD 05/16/22
340,000 341,518
ORACLE CORP 2.300% 03/25/28 DD 03/24/21
2,412,000 2,300,762
O'REILLY AUTOMOTIVE INC 5.750% 11/20/26 DD 11/20/23
1,495,000 1,515,208
PARK BLUE CLO 2024- 5A A1 144A VAR RT 07/25/37 DD 06/27/24 700,000 700,000
PENSKE TRUCK LEASING CO LP 144A 5.250% 07/01/29 DD 06/21/24
830,000 853,337
PENSKE TRUCK LEASING CO LP 144A 5.350% 01/12/27 DD 01/12/24
215,000 217,468
PNC FINANCIAL SERVICES GROUP INC VAR RT 01/26/27 DD 01/24/23 935,000 935,379
PROTECTIVE LIFE GLOBAL FUND 144A 5.209% 04/14/26 DD 04/14/23
2,150,000 2,156,498
QUANTA SERVICES INC 4.750% 08/09/27 DD 08/09/24
1,419,000 1,436,450
RAD CLO 25 LTD 25A A1 144A VAR RT 07/20/37 DD 06/27/24 825,000 825,000
REVVITY INC 1.900% 09/15/28 DD 09/10/21
355,000 333,965
RIO TINTO FINANCE USA PLC 4.500% 03/14/28 DD 03/14/25
783,000 792,268
ROCHE HOLDINGS INC 144A 5.265% 11/13/26 DD 11/13/23
495,000 500,536
ROCK TRUST 2024-CN CNTR A 144A 5.388% 11/13/41 DD 10/01/24
750,000 771,003
ROYAL BANK OF CANADA VAR RT 07/23/27 DD 07/23/24 500,000 502,775
ROYAL BANK OF CANADA VAR RT 08/06/29 DD 08/06/25 1,095,000 1,105,945
ROYAL BANK OF CANADA VAR RT 10/18/28 DD 10/18/24 1,880,000 1,898,623
SANTANDER DRIVE AUTO RECEIVABLES 1 A2 4.760% 08/16/27 DD 01/22/25
28,845 28,851
SANTANDER DRIVE AUTO RECEIVABLES 1 A3 4.740% 01/16/29 DD 01/22/25
400,000 400,870
SANTANDER DRIVE AUTO RECEIVABLES 1 A3 5.250% 04/17/28 DD 01/18/24
79,292 79,342
SANTANDER DRIVE AUTO RECEIVABLES 2 A3 4.670% 08/15/29 DD 03/26/25
500,000 502,738
SANTANDER DRIVE AUTO RECEIVABLES 3 A2 4.630% 10/16/28 DD 07/30/25
431,941 433,260
SANTANDER DRIVE AUTO RECEIVABLES 3 A3 4.380% 01/15/30 DD 07/30/25
500,000 502,428
SANTANDER DRIVE AUTO RECEIVABLES 6 A3 5.930% 07/17/28 DD 11/21/23
211,065 211,715
SANTANDER UK GROUP HOLDINGS PLC VAR RT 09/11/30 DD 09/11/24 685,000 693,533
SBA GTD PARTN CTFS 2008-20G 1 5.870% 07/01/28 DD 07/16/08
6,269 6,330
SFS AUTO RECEIVABLE 1A A2 144A 4.650% 05/22/28 DD 02/19/25
368,353 368,917
SOLVENTUM CORP 5.450% 02/25/27 DD 08/25/24
253,000 256,661
SOUTHERN CALIFORNIA EDISON CO 4.400% 09/06/26 DD 09/06/24
100,000 100,165
SOUTHERN CALIFORNIA EDISON CO 4.875% 02/01/27 DD 01/11/24
200,000 201,309
SOUTHERN CALIFORNIA EDISON CO 5.350% 03/01/26 DD 03/01/24
200,000 200,357
STELLANTIS FINANCIAL BANK A3 144A 4.270% 01/22/29 DD 08/20/25
250,000 251,523
SUMITOMO MITSUI FINANCIAL GROUP 2.632% 07/14/26 DD 07/14/16
1,750,000 1,737,833
SYNCHRONY CARD FUNDING LLC A2 A 4.930% 07/15/30 DD 07/30/24
700,000 711,372
SYNOPSYS INC 4.650% 04/01/28 DD 03/17/25
564,000 571,710
TESLA AUTO LEASE TRUST A A3 144A 5.300% 06/21/27 DD 03/13/24
171,708 172,265
THERMO FISHER SCIENTIFIC INC 5.000% 12/05/26 DD 12/05/23
825,000 833,134
T-MOBILE USA INC 2.250% 02/15/26 DD 01/14/21
425,000 424,029
T-MOBILE USA INC 2.625% 04/15/26 DD 03/23/21
992,000 988,073
T-MOBILE USA INC 3.750% 04/15/27 DD 04/15/21
475,000 473,567
TORONTO-DOMINION BANK/THE 4.861% 01/31/28 DD 01/31/25
1,277,000 1,298,283
TORONTO-DOMINION BANK/THE 5.103% 01/09/26 DD 01/10/23
915,000 915,120
TOYOTA AUTO RECEIVABLES 2 A A3 4.630% 09/15/27 DD 01/30/23
171,213 171,607
TRESTLES CLO VII LT 7A A1 144A VAR RT 10/25/37 DD 09/06/24 1,300,000 1,300,000
16
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
TRINITAS CLO XXX L 30A A1 144A VAR RT 10/23/37 DD 09/20/24 800,000 800,000
TRUIST FINANCIAL CORP VAR RT 01/24/35 DD 01/24/24 820,000 864,325
U S TREASURY NOTE 0.500% 02/28/26 DD 02/28/21
4,580,000 4,556,146
U S TREASURY NOTE 0.500% 04/30/27 DD 04/30/20
630,000 605,784
U S TREASURY NOTE 0.625% 05/15/30 DD 05/15/20
1,280,000 1,124,200
U S TREASURY NOTE 0.625% 08/15/30 DD 08/15/20
8,830,000 7,690,378
U S TREASURY NOTE 0.750% 04/30/26 DD 04/30/21
2,470,000 2,447,365
U S TREASURY NOTE 1.000% 07/31/28 DD 07/31/21
1,150,000 1,079,338
U S TREASURY NOTE 1.125% 02/29/28 DD 02/28/21
2,130,000 2,026,246
U S TREASURY NOTE 1.250% 06/30/28 DD 06/30/21
5,010,000 4,742,865
U S TREASURY NOTE 1.375% 08/31/26 DD 08/31/19
8,670,000 8,547,739
U S TREASURY NOTE 3.500% 04/30/30 DD 04/30/23
850,000 844,521
U S TREASURY NOTE 3.750% 05/31/30 DD 05/31/23
510,000 511,673
U S TREASURY NOTE 3.750% 06/30/30 DD 06/30/23
750,000 752,402
U S TREASURY NOTE 4.000% 05/31/30 DD 05/31/25
860,000 871,657
U S TREASURY NOTE 4.125% 03/31/31 DD 03/31/24
480,000 488,663
U S TREASURY NOTE 4.125% 03/31/32 DD 03/31/25
1,040,000 1,055,681
U S TREASURY NOTE 4.125% 05/31/32 DD 05/31/25
970,000 984,095
U S TREASURY NOTE 4.125% 11/30/31 DD 11/30/24
1,170,000 1,189,104
U S TREASURY NOTE 4.250% 06/30/31 DD 06/30/24
1,940,000 1,986,151
U S TREASURY NOTE 4.375% 05/15/34 DD 05/15/24
5,310,000 5,436,527
U S TREASURY NOTE 4.500% 07/15/26 DD 07/15/23
3,150,000 3,166,156
UBS AG/STAMFORD CT VAR RT 01/10/28 DD 01/10/25 885,000 892,507
UNITEDHEALTH GROUP INC 4.600% 04/15/27 DD 03/21/24
830,000 837,055
US TREAS-CPI INFLAT 0.125% 07/15/26 DD 07/15/16
135,827 135,042
US TREAS-CPI INFLAT 0.250% 07/15/29 DD 07/15/19
407,302 392,741
US TREAS-CPI INFLAT 0.375% 07/15/27 DD 07/15/17
159,715 157,900
US TREAS-CPI INFLAT 0.625% 01/15/26 DD 01/15/16
137,021 136,700
US TREAS-CPI INFLAT 0.750% 02/15/45 DD 02/15/15
193,565 141,383
US TREAS-CPI INFLAT 0.875% 02/15/47 DD 02/15/17
26,975 19,487
US TREAS-CPI INFLAT 1.375% 02/15/44 DD 02/15/14
181,607 152,312
US TREAS-CPI INFLAT 1.875% 07/15/35 DD 07/15/25
1,013,950 1,012,890
US TREAS-CPI INFLAT 2.500% 01/15/29 DD 01/15/09
424,600 438,544
US TREAS-CPI INFLAT 3.375% 04/15/32 DD 10/15/01
18,342 20,271
VENTURE 38 CLO LT 38A ARR 144A VAR RT 07/30/32 DD 03/07/25 194,589 194,589
VERALTO CORP 5.500% 09/18/26 DD 03/18/24
1,668,000 1,682,215
VERIZON COMMUNICATIONS INC 4.125% 03/16/27 DD 03/16/17
942,000 944,329
VOLKSWAGEN AUTO LEASE TRUST A A2A 5.400% 12/21/26 DD 03/27/24
83,673 83,756
VW CREDIT INC DISC 04/06/26 1,500,000 1,476,253
WAMU MORTGAGE PASS-THROUGH AR13 A1A VAR RT 11/25/34 DD 11/23/04 57,469 57,072
WELLS FARGO & CO VAR RT 06/17/27 DD 06/17/19 1,295,000 1,289,862
WELLS FARGO & CO VAR RT 07/25/29 DD 07/25/23 940,000 973,969
WELLS FARGO BANK NA 5.254% 12/11/26 DD 12/11/23
700,000 708,489
WELLS FARGO COMMERCIAL 5C4 A3 5.673% 05/15/58 DD 05/01/25
400,000 418,375
WILLIAMS COS INC/THE 4.625% 06/30/30 DD 06/30/25
685,000 692,417
WORLD OMNI AUTOMOBILE LEASE A A3 4.420% 04/17/28 DD 03/12/25
1,000,000 1,008,331
WORLD OMNI SELECT AUTO TRUST A A2A 5.370% 02/15/28 DD 07/24/24
34,890 34,911
XCEL ENERGY INC 1.750% 03/15/27 DD 11/03/21
850,000 827,200
XCEL ENERGY INC 3.350% 12/01/26 DD 12/01/16
266,000 264,349
ZAIS CLO 18 LTD 18A A1R 144A VAR RT 10/25/37 DD 08/21/25 1,000,000 1,000,000
Total Fixed Income Securities $ 211,801,505
Common Stock
10X GENOMICS INC 40,931 $ 667,585
3M CO 58,977 9,442,218
AAON INC 47,537 3,624,696
17
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
AAR CORP 39,282 3,252,157
ABBOTT LABORATORIES 112,756 14,127,199
ABBVIE INC 30,375 6,940,384
ABERCROMBIE & FITCH CO 5,575 701,725
ACCENTURE PLC 13,108 3,516,876
ACCOR SA 17,805 1,008,332
ADAPTIVE BIOTECHNOLOGIES CORP 57,877 939,922
ADDUS HOMECARE CORP 7,373 791,786
ADIDAS AG 5,927 1,176,751
ADOBE INC 12,110 4,238,379
ADVANCE AUTO PARTS INC 32,618 1,281,887
ADVANCED ENERGY INDUSTRIES INC 7,377 1,544,522
ADVANCED MICRO DEVICES INC 32,801 7,024,662
ADVANTEST CORP 14,989 1,877,629
ADYEN NV 1,684 2,719,439
AEROVIRONMENT INC 1,475 356,788
AGCO CORP 35,400 3,692,928
AGIOS PHARMACEUTICALS INC 16,096 438,133
AIA GROUP LTD HK/01299 692,139 7,105,018
AIB GROUP PLC 174,765 1,888,246
AIR LIQUIDE SA 9,733 1,831,920
AIRBUS SE 9,606 2,238,303
AKAMAI TECHNOLOGIES INC 45,600 3,978,600
AKZO NOBEL NV 4,172 290,068
ALCON AG 29,053 2,289,667
ALFA LAVAL AB 64,423 3,254,414
ALIBABA GROUP HOLDING LTD ADR 50,169 7,353,772
ALIGHT INC 405,672 791,060
ALIGNMENT HEALTHCARE INC 61,516 1,214,941
ALIMENTATION COUCHE-TARD INC 39,477 2,158,815
ALKERMES PLC 28,293 791,638
ALLEGRO MICROSYSTEMS INC 31,907 841,707
ALLFUNDS GROUP PLC 108,955 1,029,456
ALLIANCE LAUNDRY HOLDINGS INC 35,726 727,024
ALLIANT ENERGY CORP 140,600 9,140,406
ALLIANZ SE 13,843 6,348,714
ALNYLAM PHARMACEUTICALS INC 9,445 3,755,804
ALPHA METALLURGICAL RESOURCES 1,827 365,181
ALPHABET INC 146,635 46,014,063
AMAZON.COM INC 116,116 26,801,895
AMERANT BANCORP INC 120,856 2,357,901
AMERESCO INC 25,333 742,004
AMERICAN EAGLE OUTFITTERS INC 24,918 657,088
AMERICAN FINANCIAL GROUP INC/O 47,300 6,464,964
AMERICAN INTERNATIONAL GROUP INC 150,740 12,895,807
AMERICAN VANGUARD CORP 49,763 190,095
AMERICAN WATER WORKS CO INC 43,900 5,728,950
AMERIS BANCORP 45,762 3,398,744
AMKOR TECHNOLOGY INC 15,737 621,297
AMPHENOL CORP 48,000 6,486,720
ANGLO AMERICAN PLC 29,194 1,211,399
ANHEUSER-BUSCH INBEV SA/NV 20,939 1,350,090
ANTOFAGASTA PLC 20,784 916,661
ANZ GROUP HOLDINGS LTD 72,220 1,750,131
AON PLC 25,230 8,903,162
API GROUP CORP 126,262 4,830,784
18
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
APOGEE THERAPEUTICS INC 12,479 941,915
APPLE INC 220,976 60,074,535
APPLOVIN CORP 11,850 7,984,767
APTARGROUP INC 39,750 4,847,910
ARCADIS NV 10,604 442,610
ARCELLX INC 6,932 451,966
ARCHER DANIELS MIDLAND CO 81,800 4,702,682
ARCHROCK INC 29,476 766,966
ARCUS BIOSCIENCES INC 24,043 572,945
ARES MANAGEMENT CORP 14,687 2,373,860
ARGENX SE 3,058 2,574,364
ARGENX SE ADR 13,527 11,375,530
ARISTA NETWORKS INC 6,226 815,793
ARKEMA SA 6,107 374,039
ARTHUR J GALLAGHER & CO 4,362 1,128,842
ASCENDIS PHARMA A/S ADR 46,584 9,933,572
ASML HOLDING NV 10,514 11,377,602
ASSA ABLOY AB 58,997 2,296,831
ASSURED GUARANTY LTD 10,461 940,130
ASTERA LABS INC 17,477 2,907,474
ASTRAZENECA PLC 22,449 4,163,894
ATLANTA BRAVES HOLDINGS INC 22,604 891,728
ATLAS COPCO AB 209,088 3,766,115
ATRICURE INC 20,116 795,789
AUMOVIO SE 11,536 581,771
AUTOZONE INC 3,007 10,198,241
AVIENT CORP 47,523 1,484,619
AXSOME THERAPEUTICS INC 9,612 1,755,536
AYVENS SA 79,769 1,071,753
AZZ INC 22,623 2,424,733
BABCOCK INTERNATIONAL GROUP PL 30,054 502,472
BAE SYSTEMS PLC 236,423 5,450,533
BAKER HUGHES CO 219,184 9,981,639
BANCO BILBAO VIZCAYA ARGENTARIA 167,555 3,945,539
BANK LEUMI LE-ISRAEL BM 73,802 1,625,585
BANK OF AMERICA CORP 111,185 6,115,175
BARRICK MINING CORP 20,986 915,377
BAWAG GROUP AG 22,979 3,481,412
BAYERISCHE MOTOREN WERKE AG 6,699 732,792
BEAZLEY PLC 125,367 1,402,959
BELDEN INC 12,271 1,430,185
BELLRING BRANDS INC 7,801 208,521
BERKSHIRE HATHAWAY INC 28,343 14,246,609
BLACK ROCK COFFEE BAR INC 23,721 527,792
BLOOM ENERGY CORP 58,580 5,090,017
BLUE RIDGE BANKSHARES INC 383,849 1,639,035
BOISE CASCADE CO 13,783 1,014,429
BOOKING HOLDINGS INC 1,430 7,658,122
BOOT BARN HOLDINGS INC 13,865 2,446,757
BORGWARNER INC 110,700 4,988,142
BRENNTAG SE 10,477 609,822
BRIDGEBIO PHARMA INC 26,139 1,999,372
BRINKER INTERNATIONAL INC 3,535 507,343
BRITISH AMERICAN TOBACCO PLC 78,788 4,465,736
BROADCOM INC 117,471 40,656,713
BROOKDALE SENIOR LIVING INC 227,127 2,450,700
19
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
BT GROUP PLC 637,061 1,577,086
BUILDERS FIRSTSOURCE INC 44,563 4,585,087
BUREAU VERITAS SA 35,653 1,138,099
BWX TECHNOLOGIES INC 16,851 2,912,527
CABOT CORP 26,001 1,723,346
CACTUS INC 40,803 1,863,881
CADENCE BANK 27,526 1,179,214
CALIFORNIA BANCORP 93,325 1,742,378
CALLAWAY GOLF CO 55,944 652,866
CANADIAN NATIONAL RAILWAY CO 13,434 1,327,951
CAPCOM CO LTD 25,904 603,372
CAPITAL CITY BANK GROUP INC 28,131 1,197,537
CAPITAL ONE FINANCIAL CORP 33,576 8,137,479
CARGURUS INC 152,365 5,843,198
CARMAX INC 63,097 2,438,068
CARRIER GLOBAL CORP 68,600 3,624,824
CARVANA CO 21,858 9,224,514
CASELLA WASTE SYSTEMS INC 29,890 2,927,427
CASEY'S GENERAL STORES INC 10,275 5,679,095
CASTLE BIOSCIENCES INC 12,957 504,027
CBRE GROUP INC 24,470 3,934,531
CCC INTELLIGENT SOLUTIONS HOLDINGS 286,004 2,273,732
CELCUITY INC 3,979 396,865
CELESTICA INC 11,532 3,408,975
CELLDEX THERAPEUTICS INC 30,761 835,469
CENCORA INC 8,314 2,808,054
CENTRUS ENERGY CORP 1,557 377,977
CENTURI HOLDINGS INC 20,254 511,414
CENTURY ALUMINUM CO 7,500 293,850
CENTURY COMMUNITIES INC 19,048 1,130,499
CF INDUSTRIES HOLDINGS INC 59,300 4,586,262
CG ONCOLOGY INC 17,706 735,153
CHALLENGER LTD 105,353 661,096
CHAMPION HOMES INC 23,636 1,997,242
CHARLES SCHWAB CORP/THE 54,270 5,422,116
CHECK POINT SOFTWARE TECHNOLOGY 25,750 4,778,170
CHEFS' WAREHOUSE INC/THE 50,870 3,170,727
CHENIERE ENERGY INC 2,532 492,195
CHESAPEAKE UTILITIES CORP 13,566 1,692,494
CHIBA BANK LTD/THE 50,060 558,263
CHORD ENERGY CORP 55,998 5,191,015
CHUGAI PHARMACEUTICAL CO LTD 104,700 5,506,026
CIE DE SAINT-GOBAIN SA 16,442 1,679,224
CIE FINANCIERE RICHEMONT SA 11,359 2,466,792
CIENA CORP 18,940 4,429,498
CINEMARK HOLDINGS INC 69,353 1,611,764
CIPHER DIGITAL INC 21,565 318,299
CLEAR SECURE INC 104,211 3,655,722
CLEARWATER ANALYTICS HOLDINGS 83,531 2,014,768
CLOUDFLARE INC 49,329 9,725,212
CMS ENERGY CORP 95,400 6,671,322
CNX RESOURCES CORP 16,115 592,549
COCA-COLA CO/THE 70,365 4,919,217
COCA-COLA EUROPACIFIC PARTNERS 3,733 343,943
COEUR MINING INC 88,695 1,581,432
COGENT BIOSCIENCES INC 28,820 1,023,686
20
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
COGNEX CORP 4,852 174,575
COHERENT CORP 12,633 2,331,673
COLGATE-PALMOLIVE CO 116,105 9,174,617
COLOPLAST A/S 11,657 1,001,539
COMFORT SYSTEMS USA INC 4,551 4,247,403
COMMERCIAL METALS CO 15,478 1,071,387
COMMONWEALTH BANK OF AUSTRALIA 14,802 1,584,941
COMPASS GROUP PLC 54,960 1,747,562
COMPASS INC 214,394 2,266,145
CONCENTRA GROUP HOLDINGS PARENT 17,282 340,110
CONOCOPHILLIPS 72,846 6,819,114
CONSTELLIUM SE 21,420 403,767
CONTEMPORARY AMPEREX TECHNOLOGY HK/03750 63,981 4,155,251
COOPER COS INC/THE 41,473 3,399,127
CORE NATURAL RESOURCES INC 7,310 647,008
CORE SCIENTIFIC INC 15,662 228,039
COTERRA ENERGY INC 222,300 5,850,936
CREDICORP LTD 9,307 2,671,109
CREDO TECHNOLOGY GROUP HOLDING 32,640 4,696,570
CRINETICS PHARMACEUTICALS INC 24,218 1,127,348
CRODA INTERNATIONAL PLC 6,339 229,783
CROWDSTRIKE HOLDINGS INC 9,620 4,509,471
CROWN HOLDINGS INC 37,500 3,861,375
CSX CORP 182,300 6,608,375
CYBERARK SOFTWARE LTD 1,546 689,609
CYTEK BIOSCIENCES INC 45,608 230,320
CYTOKINETICS INC 22,082 1,403,090
DAIFUKU CO LTD 66,400 2,087,589
DAI-ICHI LIFE HOLDINGS INC 20,800 172,974
DAIICHI SANKYO CO LTD 48,142 1,028,291
DAIMLER TRUCK HOLDING AG 20,101 881,036
DANONE SA 11,539 1,040,521
DASSAULT SYSTEMES SE 52,334 1,465,294
DAVE INC 4,803 1,063,432
DBS GROUP HOLDINGS LTD 175,708 7,700,546
DEERE & CO 15,159 7,057,576
DEUTSCHE POST AG 2,909 159,652
DEUTSCHE TELEKOM AG 52,462 1,704,243
DEVON ENERGY CORP 142,700 5,227,101
DIAMONDBACK ENERGY INC 35,787 5,379,860
DIANTHUS THERAPEUTICS INC 9,078 374,104
DISC MEDICINE INC 9,455 750,822
DISCO CORP 16,164 4,967,430
DNOW INC 72,804 964,653
DOORDASH INC 40,396 9,148,886
DORMAN PRODUCTS INC 7,539 928,729
DOVER CORP 9,746 1,902,809
DR HORTON INC 23,181 3,338,759
DSM-FIRMENICH AG 3,377 272,710
DSV A/S 2,599 660,008
DUTCH BROS INC 17,757 1,087,084
DXP ENTERPRISES INC/TX 27,278 2,994,852
E.ON SE 169,421 3,208,496
EASTERN BANKSHARES INC 198,860 3,664,990
EASYJET PLC 59,935 411,623
ECHOSTAR CORP 13,282 1,443,753
21
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
EDWARDS LIFESCIENCES CORP 12,616 1,075,514
ELEMENT SOLUTIONS INC 42,696 1,066,973
ELF BEAUTY INC 1,687 128,279
ELI LILLY & CO 15,206 16,341,584
ENERGY FUELS INC/CANADA 8,835 128,461
ENGIE SA 105,548 2,777,963
ENSIGN GROUP INC/THE 9,277 1,616,053
ENTERPRISE FINANCIAL SERVICES 49,293 2,661,822
EPIROC AB 103,029 2,345,835
EQT CORP 34,403 1,844,001
EQUITABLE HOLDINGS INC 64,060 3,052,459
ERSTE GROUP BANK AG 13,968 1,688,045
ESC GLOBIX CORPORATION 1,200 -
ESCO TECHNOLOGIES INC 2,248 439,237
ESSENT GROUP LTD 38,544 2,505,745
ESTEE LAUDER COS INC/THE 46,300 4,848,536
EVOLUTION MINING LTD 68,486 579,094
EXCELERATE ENERGY INC 20,925 586,946
EXPAND ENERGY CORP 35,700 3,939,852
EXPEDIA GROUP INC 24,650 6,983,592
EXPERIAN PLC 13,113 593,154
F&G ANNUITIES & LIFE INC 5,022 154,929
FABRINET 5,367 2,443,488
FAIR ISAAC CORP 1,595 2,696,539
FANUC CORP 51,498 1,998,876
FB FINANCIAL CORP 57,144 3,188,635
FEDEX CORP 11,502 3,322,468
FERGUSON ENTERPRISES INC 14,731 3,279,563
FIDELITY NATIONAL FINANCIAL INC 68,825 3,757,157
FINECOBANK BANCA FINECO SPA 77,473 2,019,937
FIRST INTERSTATE BANCSYSTEM INC 67,769 2,344,807
FIRST QUANTUM MINERALS LTD 19,911 534,543
FIRST WESTERN FINANCIAL INC 10,132 271,639
FIVE POINT HOLDINGS LLC 38,631 215,947
FLYWIRE CORP 116,994 1,656,635
FOMENTO ECONOMICO MEXICANO SAB ADR 36,319 3,670,761
FRANCO-NEVADA CORP 21,100 4,373,608
FRESHPET INC 11,992 730,673
FTAI AVIATION LTD 13,864 2,729,128
FTI CONSULTING INC 28,600 4,885,738
FUKUOKA FINANCIAL GROUP INC 9,600 310,333
GALDERMA GROUP AG 6,710 1,372,914
GE AEROSPACE 34,195 10,533,086
GE VERNOVA INC 18,356 11,996,931
GENERAL MILLS INC 105,365 4,899,473
GENERAL MOTORS CO 37,492 3,048,849
GENERALI 20,752 871,306
GENIUS SPORTS LTD 143,502 1,581,392
GENMAB A/S 7,570 2,412,792
GILDAN ACTIVEWEAR INC 1,649 102,997
GILEAD SCIENCES INC 47,251 5,799,588
GLENCORE PLC 288,196 1,575,942
GMO PAYMENT GATEWAY INC 10,470 651,465
*GOLDMAN SACHS GROUP INC/THE 493,014 433,359,306
GOODYEAR TIRE & RUBBER CO/THE 191,266 1,675,490
GRAB HOLDINGS LTD 126,695 632,208
22
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
GROUP 1 AUTOMOTIVE INC 1,096 431,057
GRUPO FINANCIERO BANORTE SAB DE CV 188,000 1,744,538
GSK PLC 143,754 3,527,786
GUARDANT HEALTH INC 8,052 822,431
GUIDEWIRE SOFTWARE INC 13,498 2,713,233
GULFPORT ENERGY CORP 7,341 1,526,855
HA SUSTAINABLE INFRASTRUCTURE 75,151 2,361,996
HACHIJUNI NAGANO BANK LTD 27,600 298,899
HAIER SMART HOME CO LTD HK/06690 569,400 1,776,197
HALEON PLC 699,593 3,526,821
HAMILTON INSURANCE GROUP LTD 64,893 1,810,515
HAMILTON LANE INC 7,724 1,037,410
HARTFORD INSURANCE GROUP INC/THE 49,700 6,848,660
HAYWARD HOLDINGS INC 140,508 2,170,849
HB FULLER CO 23,799 1,415,089
HDFC BANK LTD ADR 149,432 5,460,245
HEALTHEQUITY INC 10,825 991,678
HECLA MINING CO 82,312 1,579,567
HEINEKEN NV 2,991 244,981
HELIOS TECHNOLOGIES INC 28,958 1,548,963
HERITAGE FINANCIAL CORP/WA 5,975 141,309
HIKMA PHARMACEUTICALS PLC 20,904 435,812
HILTON WORLDWIDE HOLDINGS INC 10,400 2,987,400
HIMS & HERS HEALTH INC 96,209 3,123,906
HITACHI LTD 113,494 3,549,380
HOKUHOKU FINANCIAL GROUP INC 10,700 313,331
HOLOGIC INC 97,000 7,225,530
HONDA MOTOR CO LTD 110,058 1,078,498
HORIZON BANCORP INC/IN 38,444 652,010
HSBC HOLDINGS PLC 152,470 2,407,226
HUB GROUP INC 72,700 3,097,747
HUBBELL INC 11,675 5,184,984
HUNTINGTON BANCSHARES INC/OH 363,250 6,302,388
HUT 8 CORP 23,592 1,083,816
ICG PLC 29,437 813,266
IDACORP INC 15,320 1,938,899
IMAX CORP 12,567 464,476
IMCD NV 4,945 449,164
IMMUNOCORE HOLDINGS PLC ADR 8,054 279,554
IMMUNOME INC 13,938 299,388
IMPERIAL BRANDS PLC 31,505 1,321,701
IMPINJ INC 5,444 947,310
INCHCAPE PLC 95,694 989,805
INDIE SEMICONDUCTOR INC 77,755 274,475
INDUSTRIA DE DISENO TEXTIL SA 42,497 2,811,963
INGERSOLL RAND INC 29,028 2,299,598
INGEVITY CORP 24,184 1,431,209
INGRAM MICRO HOLDING CORP 61,996 1,322,995
INNODATA INC 22,005 1,121,155
INNOVEX INTERNATIONAL INC 43,688 955,457
INSMED INC 120,491 20,970,253
INSPIRE MEDICAL SYSTEMS INC 4,467 411,991
INSULET CORP 11,763 3,343,515
INTERCONTINENTAL EXCHANGE INC 3,679 595,851
INTERDIGITAL INC 3,538 1,126,428
INTERNATIONAL BUSINESS MACHINE 39,410 11,673,636
23
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
INTERNATIONAL PAPER CO 82,274 3,240,773
INTUIT INC 9,608 6,364,531
INTUITIVE SURGICAL INC 4,122 2,334,536
IONQ INC 39,750 1,783,583
IQVIA HOLDINGS INC 28,500 6,424,185
IRHYTHM HOLDINGS INC 30,860 5,475,799
ISRACARD LTD 1 5
ISUZU MOTORS LTD 86,932 1,352,966
IVANHOE ELECTRIC INC / US 25,707 410,798
IVANHOE MINES LTD CL A 15,831 180,282
JAMES HARDIE INDUSTRIES PLC 168,813 3,502,870
JANUX THERAPEUTICS INC 29,491 406,976
JCDECAUX SE 57,100 1,038,106
JERONIMO MARTINS SGPS SA 81,564 1,940,763
JOHNSON & JOHNSON 38,627 7,993,858
KAISER ALUMINUM CORP 2,089 239,943
KAJIMA CORP 10,300 383,429
KANSAI ELECTRIC POWER CO INC/THE 80,200 1,256,123
KBC GROUP NV 24,977 3,263,434
KDDI CORP 120,434 2,081,058
KEIYO BANK LTD/THE 14,000 148,624
KENNAMETAL INC 32,408 920,711
KEYCORP 178,991 3,694,374
KEYENCE CORP 4,869 1,760,662
KEYSIGHT TECHNOLOGIES INC 33,700 6,847,503
KINETIK HOLDINGS INC 21,439 772,876
KINROSS GOLD CORP 3,389 95,582
KION GROUP AG 2,806 224,918
KNIGHT-SWIFT TRANSPORTATION HOLDINGS 106,950 5,591,346
KODIAK SCIENCES INC 12,395 346,564
KOITO MANUFACTURING CO LTD 35,484 522,939
KOKUSAI ELECTRIC CORP 10,600 371,604
KONTOOR BRANDS INC 10,306 629,594
KORN FERRY 54,091 3,571,088
KUBOTA CORP 73,874 1,044,638
KYMERA THERAPEUTICS INC 11,933 928,507
KYOTO FINANCIAL GROUP INC 13,400 292,971
KYUSHU FINANCIAL GROUP INC 47,900 311,093
L3HARRIS TECHNOLOGIES INC 42,023 12,336,692
LABCORP HOLDINGS INC 46,682 11,711,580
LAM RESEARCH CORP 3,935 673,593
LANDSTAR SYSTEM INC 19,800 2,845,260
LASERTEC CORP 25,500 4,822,786
LATHAM GROUP INC 196,167 1,245,660
LATTICE SEMICONDUCTOR CORP 52,128 3,835,578
LENDINGCLUB CORP 24,783 469,390
LIBERTY ENERGY INC 21,749 401,487
LIBERTY MEDIA CORP-LIBERTY FORMULA ONE 44,770 4,410,293
LINCOLN ELECTRIC HOLDINGS INC 29,100 6,973,524
LINDSAY CORP 6,991 824,029
LIVANOVA PLC 19,127 1,176,884
LIVE NATION ENTERTAINMENT INC 33,334 4,750,095
LONDON STOCK EXCHANGE GROUP PLC 6,069 730,761
L'OREAL SA 5,828 2,509,265
LOWE'S COS INC 26,775 6,457,059
LUKOIL PJSC ADR 41,527 -
24
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
LUMENTUM HOLDINGS INC 5,944 2,190,899
LUNDIN MINING CORP 31,863 685,726
LVMH MOET HENNESSY LOUIS VUITTON 2,996 2,269,531
M3 INC 153,466 2,069,777
MACOM TECHNOLOGY SOLUTIONS HOLDINGS 13,811 2,365,548
MACQUARIE GROUP LTD 8,302 1,124,954
MADRIGAL PHARMACEUTICALS INC 2,990 1,741,197
MAGNITE INC 192,811 3,129,323
MAGNUM ICE CREAM CO NV/THE 3,683 58,331
MAMA'S CREATIONS INC 13,714 185,002
MANNKIND CORP 88,132 499,708
MANULIFE FINANCIAL CORP 100,092 3,639,311
MARA HOLDINGS INC 13,584 121,984
MARAVAI LIFESCIENCES HOLDINGS 138,481 450,063
MARKS & SPENCER GROUP PLC 226,416 1,004,985
MARQETA INC 320,889 1,524,223
MARTIN MARIETTA MATERIALS INC 6,921 4,309,430
MARUBENI CORP 34,439 956,413
MASTERCARD INC 42,853 24,463,921
MATADOR RESOURCES CO 52,478 2,227,166
MBX BIOSCIENCES INC 18,258 575,857
MCDONALD'S CORP 13,407 4,097,581
MCKESSON CORP 5,655 4,638,740
MEDLINE INC 36,157 1,518,594
MEDTRONIC PLC 28,775 2,764,127
MERCADOLIBRE INC 3,219 6,483,903
MERCANTILE BANK CORP 1,200 57,720
MERIT MEDICAL SYSTEMS INC 13,753 1,212,189
META PLATFORMS INC 30,767 20,308,989
METHANEX CORP 9,121 362,245
METLIFE INC 62,088 4,901,227
MIAMI INTERNATIONAL HOLDINGS INC 15,938 707,328
MICROCHIP TECHNOLOGY INC 96,000 6,117,120
MICROSOFT CORP 157,199 76,024,580
MIDDLEBY CORP/THE 22,300 3,315,341
MIDWESTONE FINANCIAL GROUP INC 18,146 698,621
MIND MEDICINE MINDMED INC 32,424 434,157
MINERALYS THERAPEUTICS INC 10,882 394,908
MIRUM PHARMACEUTICALS INC 9,197 726,471
MISUMI GROUP INC 60,757 948,498
MITSUBISHI ELECTRIC CORP 22,405 655,376
MITSUI & CO LTD 21,774 644,976
MITSUI FUDOSAN CO LTD 208,488 2,368,260
MIZUHO FINANCIAL GROUP INC 58,630 2,132,068
MKS INC 57,203 9,141,039
MNTN INC 116,296 1,388,574
MODINE MANUFACTURING CO 20,073 2,679,946
MOLINA HEALTHCARE INC 24,800 4,303,792
MONGODB INC 7,109 2,983,576
MONOLITHIC POWER SYSTEMS INC 2,918 2,644,758
MONOPAR THERAPEUTICS INC 6,721 438,881
MS&AD INSURANCE GROUP HOLDINGS 25,301 594,492
MVB FINANCIAL CORP 23,964 618,990
MYR GROUP INC 6,985 1,526,223
NATERA INC 38,276 8,768,649
NATIONAL VISION HOLDINGS INC 71,730 1,852,069
25
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
NATURAL GROCERS BY VITAMIN COTTAGE 10,303 258,090
NAVER CORP 19,550 3,291,016
NETEASE INC ADR 15,496 2,132,560
NETFLIX INC 60,946 5,714,297
NEWAMSTERDAM PHARMA CO NV 8,074 283,236
NEWMARK GROUP INC 92,039 1,595,956
NEXT PLC 8,023 1,476,255
NEXTPOWER INC 45,931 4,001,049
NICE LTD ADR 13,718 1,550,683
NOBA BANK GROUP AB 8,561 109,394
NOMURA HOLDINGS INC 116,700 968,622
NOMURA RESEARCH INSTITUTE LTD 22,313 857,103
NOVAGOLD RESOURCES INC 51,156 476,774
NOVANTA INC 9,242 1,099,706
NOVARTIS AG 28,301 3,915,165
NOVO NORDISK A/S 15,463 790,827
NOVONESIS NOVOZYMES B 19,564 1,254,513
NUCOR CORP 24,284 3,960,963
NUVALENT INC 7,681 772,632
NVIDIA CORP 553,792 103,282,208
NVR INC 458 3,340,089
OBIC CO LTD 44,000 1,381,658
ODDITY TECH LTD 8,032 322,726
OKLO INC 11,122 798,115
OLD REPUBLIC INTERNATIONAL CORP 131,600 6,006,224
OMNICELL INC 20,604 933,361
ONE GAS INC 22,251 1,718,890
ONESPAWORLD HOLDINGS LTD 63,664 1,320,391
ONTO INNOVATION INC 15,207 2,400,577
OPTION CARE HEALTH INC 47,157 1,502,422
ORACLE CORP 44,602 8,693,376
ORANGE SA 64,008 1,067,474
ORMAT TECHNOLOGIES INC 19,643 2,169,962
ORORA LTD 106,749 157,320
OSCAR HEALTH INC 23,023 330,841
OTSUKA HOLDINGS CO LTD 30,500 1,726,540
PACKAGING CORP OF AMERICA 38,600 7,960,478
PALANTIR TECHNOLOGIES INC 72,251 12,842,615
PALO ALTO NETWORKS INC 10,973 2,021,227
PARSONS CORP 74,681 4,615,285
PATRICK INDUSTRIES INC 11,577 1,255,294
PEABODY ENERGY CORP 16,818 499,495
PENSKE AUTOMOTIVE GROUP INC 25,800 4,083,882
PENUMBRA INC 5,238 1,628,547
PERELLA WEINBERG PARTNERS 34,889 603,580
PERFORMANCE FOOD GROUP CO 69,200 6,222,464
PERNOD RICARD SA 10,802 927,376
PERPETUA RESOURCES CORP 13,579 328,748
PFIZER INC 157,998 3,934,150
PHARVARIS NV 15,259 423,437
PHILIP MORRIS INTERNATIONAL INC 51,696 8,292,038
PHOENIX FINANCIAL LTD 11,774 486,904
PING AN INSURANCE GROUP CO OF HK/02318 257,500 2,155,345
PIPER SANDLER COS 4,760 1,617,020
POWER INTEGRATIONS INC 19,789 703,301
PRAXIS PRECISION MEDICINES INC 3,649 1,075,506
26
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
PRIMORIS SERVICES CORP 6,606 820,069
PRIVIA HEALTH GROUP INC 13,645 323,523
PROSUS NV 33,935 2,106,335
PROTAGONIST THERAPEUTICS INC 14,251 1,244,682
PRUDENTIAL PLC 121,857 1,875,879
PTC THERAPEUTICS INC 19,087 1,449,849
PURE STORAGE INC 37,654 2,523,195
QBE INSURANCE GROUP LTD 8,735 115,858
QIAGEN NV 28,349 1,293,657
QUAKER CHEMICAL CORP 8,550 1,174,001
QUANTA SERVICES INC 10,543 4,449,779
QUEST DIAGNOSTICS INC 35,300 6,125,609
RADNET INC 8,371 597,271
RAMBUS INC 27,191 2,498,581
RAYMOND JAMES FINANCIAL INC 38,750 6,222,863
RBC BEARINGS INC 11,340 5,085,196
RECKITT BENCKISER GROUP PLC 14,875 1,200,857
RECRUIT HOLDINGS CO LTD 27,725 1,564,854
RED ROCK RESORTS INC 19,994 1,238,628
REDDIT INC 13,019 2,992,678
REGAL REXNORD CORP 54,414 7,635,372
REMITLY GLOBAL INC 67,582 932,632
RENASANT CORP 73,545 2,590,255
REPUBLIC SERVICES INC 17,800 3,772,354
REVOLUTION MEDICINES INC 23,409 1,864,527
REXEL SA 55,235 2,179,008
RHEINMETALL AG 493 903,825
RHYTHM PHARMACEUTICALS INC 8,221 879,976
RIGETTI COMPUTING INC 30,549 676,660
RIO TINTO PLC 48,092 3,877,288
RIOT PLATFORMS INC 28,730 364,009
ROBINHOOD MARKETS INC 94,284 10,663,521
ROBLOX CORP 101,264 8,205,422
ROCHE HOLDING AG 15,906 6,589,270
ROCKET LAB CORP 21,343 1,488,888
ROKU INC 10,824 1,174,296
ROLLS-ROYCE HOLDINGS PLC 95,510 1,477,356
RPM INTERNATIONAL INC 59,200 6,156,800
RTX CORP 28,457 5,219,014
RUSH ENTERPRISES INC 2,439 131,560
RYANAIR HOLDINGS PLC ADR 29,998 2,165,556
RYDER SYSTEM INC 6,444 1,233,317
SAFRAN SA 5,392 1,883,325
SALESFORCE INC 19,645 5,204,157
SAMPO OYJ 121,734 1,476,885
SAMSUNG ELECTRONICS CO LTD GDR 3,635 7,509,910
SANDVIK AB 70,628 2,302,987
SANSAN INC 40,547 448,553
SAP SE 6,205 1,518,343
SAVARA INC 71,547 431,428
SBI SHINSEI BANK LTD 63,300 702,683
SCHNEIDER ELECTRIC SE 8,967 2,473,801
SCHOLAR ROCK HOLDING CORP 24,212 1,066,539
SEA LTD ADR 9,690 1,236,153
SEACOAST BANKING CORP OF FLORIDA 57,637 1,810,955
SEADRILL LTD 23,805 823,653
27
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
SEMTECH CORP 35,584 2,622,185
SERVICENOW INC 23,340 3,575,455
SERVICETITAN INC 19,493 2,076,005
SF HOLDING CO LTD HK/06936 293,200 1,306,376
SHAKE SHACK INC 20,810 1,689,148
SHAWBROOK GROUP PLC 140,384 917,682
SHELL PLC 167,931 6,188,991
SHIN-ETSU CHEMICAL CO LTD 31,256 971,709
SHIONOGI & CO LTD 98,000 1,776,248
SHOPIFY INC 103,136 16,601,802
SHORE BANCSHARES INC 41,797 738,971
SIEMENS AG 10,609 2,979,747
SILICON LABORATORIES INC 7,380 964,566
SIMMONS FIRST NATIONAL CORP 81,225 1,531,091
SINGAPORE TELECOMMUNICATIONS LTD 394,757 1,396,691
SIRIUSPOINT LTD 62,179 1,361,098
SITIME CORP 4,239 1,497,172
SKANDINAVISKA ENSKILDA BANKEN 167,433 3,543,431
SM ENERGY CO 9,181 171,685
SMARTFINANCIAL INC 19,216 710,800
SMITH DOUGLAS HOMES CORP 27,991 469,409
SNOWFLAKE INC 9,205 2,019,209
SOCIETE GENERALE SA 35,720 2,882,897
SOFI TECHNOLOGIES INC 253,708 6,642,075
SOFTBANK GROUP CORP 29,072 816,082
SOLARIS ENERGY INFRASTRUCTURE 14,211 653,280
SOLENO THERAPEUTICS INC 15,225 704,918
SOLVENTUM CORP 18,370 1,455,639
SOMNIGROUP INTERNATIONAL INC 19,290 1,722,211
SOMPO HOLDINGS INC 26,655 907,404
SONOVA HOLDING AG 5,114 1,336,837
SONY GROUP CORP 244,840 6,285,599
SPIRE INC 10,278 849,991
SPOTIFY TECHNOLOGY SA 10,407 6,043,449
SPRUCE BIOSCIENCES INC 1,819 158,453
SPYRE THERAPEUTICS INC 22,435 734,971
SS&C TECHNOLOGIES HOLDINGS INC 36,831 3,219,766
SSE PLC 76,400 2,239,180
SSR MINING INC 25,283 554,203
STANDARD CHARTERED PLC 57,167 1,400,981
STANDARDAERO INC 89,400 2,563,992
STARBUCKS CORP 41,607 3,503,725
STEEL DYNAMICS INC 32,400 5,490,180
STEPSTONE GROUP INC 75,122 4,820,579
STOKE THERAPEUTICS INC 18,888 599,505
STRUCTURE THERAPEUTICS INC ADR 23,753 1,652,021
SUMITOMO RUBBER INDUSTRIES LTD 28,093 432,565
SYMRISE AG 15,886 1,285,116
SYNOPSYS INC 4,694 2,204,866
SYNOVUS FINANCIAL CORP 43,419 2,173,121
SYSCO CORP 79,591 5,865,061
SYSMEX CORP 184,850 1,819,076
TAIWAN SEMICONDUCTOR MANUFACTURING ADR 52,761 16,033,541
TALANX AG 10,484 1,401,212
TECHTRONIC INDUSTRIES CO LTD HK/00669 147,500 1,703,636
TECNOGLASS INC 6,788 341,572
28
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
TELEDYNE TECHNOLOGIES INC 3,646 1,862,122
TELIA CO AB 147,328 629,342
TELKOM INDONESIA PERSERO TBK PT 8,996,100 1,877,446
TENCENT HOLDINGS LTD HK/00700 46,600 3,586,227
TERAWULF INC 107,912 1,239,909
TEREX CORP 22,532 1,202,758
TERNS PHARMACEUTICALS INC 14,441 583,416
TESCO PLC 497,432 2,955,955
TESLA INC 70,404 31,662,087
TEXAS INSTRUMENTS INC 50,005 8,675,367
TEXAS ROADHOUSE INC 29,346 4,871,436
TEXTRON INC 46,175 4,025,075
THERMO FISHER SCIENTIFIC INC 7,860 4,554,477
TOKYO ELECTRON LTD 9,353 2,047,880
TOPBUILD CORP 15,891 6,629,566
TORAY INDUSTRIES INC 121,600 791,298
TOTALENERGIES SE 91,346 5,963,768
TOWNE BANK/PORTSMOUTH VA 27,416 914,872
TOYODA GOSEI CO LTD 5,900 148,418
TOYOTA TSUSHO CORP 22,200 746,964
TRACTOR SUPPLY CO 79,300 3,965,793
TRAINLINE PLC 29,273 86,780
TRANE TECHNOLOGIES PLC 5,835 2,270,982
TRANSDIGM GROUP INC 798 1,061,220
TRAVERE THERAPEUTICS INC 15,173 579,760
TREVI THERAPEUTICS INC 55,861 699,380
TREX CO INC 65,745 2,306,335
TRIMBLE INC 82,025 6,426,659
TRUIST FINANCIAL CORP 137,200 6,751,612
TRUSTMARK CORP 38,294 1,491,551
TURNING POINT BRANDS INC 2,017 218,643
TWILIO INC 13,571 1,930,339
TWIST BIOSCIENCE CORP 94,509 2,997,825
TYLER TECHNOLOGIES INC 7,726 3,507,218
UBER TECHNOLOGIES INC 25,388 2,074,453
UBS GROUP AG 41,170 1,920,660
UCB SA 7,272 2,037,787
ULTRAGENYX PHARMACEUTICAL INC 11,252 258,796
UNICHARM CORP 212,900 1,215,640
UNICREDIT SPA 31,083 2,588,965
UNILEVER PLC 11,581 756,965
UNION PACIFIC CORP 24,222 5,603,033
UNITED COMMUNITY BANKS INC/GA 27,172 848,310
UNITED NATURAL FOODS INC 16,600 558,922
UNITED OVERSEAS BANK LTD 21,075 574,564
UNITIL CORP 14,261 690,803
UPSTART HOLDINGS INC 8,224 359,636
URANIUM ENERGY CORP 40,940 478,179
URBAN OUTFITTERS INC 4,846 364,710
US FOODS HOLDING CORP 132,538 9,982,762
V2X INC 21,478 1,171,625
VALARIS LTD 4,100 206,640
VALEO SE 27,665 378,035
VAXCYTE INC 27,125 1,251,548
VERACYTE INC 87,048 3,664,721
VERTEX INC 66,790 1,333,796
29
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
VIAVI SOLUTIONS INC 86,150 1,535,193
VIKING HOLDINGS LTD 50,640 3,616,202
VINCI SA 10,397 1,465,901
VIRIDIAN THERAPEUTICS INC 18,395 572,452
VISA INC 18,272 6,408,173
VISTEON CORP 3,139 298,519
VISTRA CORP 24,228 3,908,703
VITA COCO CO INC/THE 21,219 1,124,819
VITAL FARMS INC 11,181 357,121
VOYA FINANCIAL INC 4,600 342,654
VOYAGER TECHNOLOGIES INC 25,241 659,800
WALMART INC 111,793 12,454,858
WALT DISNEY CO/THE 45,409 5,166,182
WARRIOR MET COAL INC 8,065 711,091
WASTE MANAGEMENT INC 35,265 7,748,073
WATERS CORP 5,964 2,265,306
WAYSTAR HOLDING CORP 55,288 1,810,682
WEALTHFRONT CORP 83,028 1,128,351
WERNER ENTERPRISES INC 146,466 4,395,445
WESBANCO INC 43,014 1,429,785
WESCO INTERNATIONAL INC 8,781 2,148,184
WEST PHARMACEUTICAL SERVICES INC 25,382 6,983,603
WESTERN DIGITAL CORP 24,092 4,150,329
WESTLAKE CORP 19,450 1,438,133
WHITE MOUNTAINS INSURANCE GROUP 355 737,701
WILLIAMS-SONOMA INC 15,200 2,714,568
WILLIS TOWERS WATSON PLC 22,250 7,311,350
WINGSTOP INC 15,374 3,666,546
WISDOMTREE INC 168,719 2,056,685
WISE PLC 43,545 521,861
WIX.COM LTD 24,123 2,506,139
WOODWARD INC 15,289 4,622,170
WORTHINGTON ENTERPRISES INC 4,506 232,374
WORTHINGTON STEEL INC 4,405 152,501
XENON PHARMACEUTICALS INC 21,676 971,518
XERIS BIOPHARMA HOLDINGS INC 67,151 527,135
XYLEM INC/NY 72,814 9,915,811
ZEBRA TECHNOLOGIES CORP 13,400 3,253,579
ZOETIS INC 38,047 4,787,074
ZSCALER INC 11,492 2,584,000
Total Common Stock $ 2,722,145,907
Mutual Funds
DREYFUS INS RSRV PR MONEY 6546 73,206,974 $ 73,206,974
ISHARES CORE MSCI EAFE ETF 47,873 4,282,719
ISHARES RUSSELL 2000 ETF 21,245 5,229,669
PIMCO FDS SHORT TERM FLTG NAV PORT II 1,267,119 12,692,736
Total Mutual Funds $ 95,412,098
Real Estate Investment Trusts
AGREE REALTY CORP 63,190 $ 4,551,576
ALEXANDRIA REAL ESTATE EQUITIES 30,650 1,500,011
AMERICAN HEALTHCARE REIT INC 142,042 6,684,497
AMERICAN HOMES 4 RENT 110,520 3,547,692
AMERICOLD REALTY TRUST INC 48,470 623,324
BRIXMOR PROPERTY GROUP INC 212,820 5,580,140
30
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
BROADSTONE NET LEASE INC 82,040 1,425,035
BXP INC 30,000 2,024,400
CAMDEN PROPERTY TRUST 99,600 10,963,968
CARETRUST REIT INC 66,918 2,419,755
CENTERSPACE 23,689 1,580,530
COUSINS PROPERTIES INC 114,900 2,962,122
CURBLINE PROPERTIES CORP 46,151 1,071,165
DIAMONDROCK HOSPITALITY CO 144,050 1,290,688
DIGITAL REALTY TRUST INC 65,940 10,201,577
DIVERSIFIED HEALTHCARE TRUST 96,795 469,456
DOUGLAS EMMETT INC 50,950 559,941
EASTGROUP PROPERTIES INC 7,060 1,257,668
EMPIRE STATE REALTY TRUST INC 103,990 678,015
EQUINIX INC 18,640 14,281,222
EQUITY LIFESTYLE PROPERTIES INC 151,513 9,183,203
EQUITY RESIDENTIAL 48,040 3,028,442
ESSENTIAL PROPERTIES REALTY TRUST 66,259 1,965,242
ESSEX PROPERTY TRUST INC 10,760 2,815,677
EXTRA SPACE STORAGE INC 94,586 12,316,989
FEDERAL REALTY INVESTMENT TRUST 11,790 1,188,432
FIRST INDUSTRIAL REALTY TRUST 42,220 2,417,939
HEALTHCARE REALTY TRUST INC 132,040 2,238,078
HEALTHPEAK PROPERTIES INC 114,440 1,840,195
HOST HOTELS & RESORTS INC 170,620 3,025,093
INVENTRUST PROPERTIES CORP 34,050 960,551
INVITATION HOMES INC 119,630 3,324,518
IRON MOUNTAIN INC 55,662 4,617,163
KIMCO REALTY CORP 261,100 5,292,497
KITE REALTY GROUP TRUST 155,050 3,716,549
KKR REAL ESTATE FINANCE TRUST 34,812 286,155
KLEPIERRE SA 48,262 1,912,427
LADDER CAPITAL CORP 70,674 776,707
LAMAR ADVERTISING CO 61,260 7,754,291
LINEAGE INC 11,950 418,250
MACERICH CO/THE 118,500 2,187,510
MILLROSE PROPERTIES INC 5,246 156,698
NATIONAL HEALTH INVESTORS INC 27,600 2,107,812
NETSTREIT CORP 95,920 1,692,029
NNN REIT INC 163,100 6,463,653
OMEGA HEALTHCARE INVESTORS INC 75,240 3,336,142
OUTFRONT MEDIA INC 98,808 2,381,273
PHILLIPS EDISON & CO INC 46,560 1,656,139
PIEDMONT REALTY TRUST INC 102,050 851,097
PROLOGIS INC 129,380 16,516,651
PUBLIC STORAGE 28,940 7,509,930
REALTY INCOME CORP 106,790 6,019,752
REDWOOD TRUST INC 65,987 364,908
REXFORD INDUSTRIAL REALTY INC 50,470 1,954,198
RLJ LODGING TRUST 53,840 401,108
RYMAN HOSPITALITY PROPERTIES INC 7,280 688,834
SABRA HEALTH CARE REIT INC 61,770 1,169,924
SBA COMMUNICATIONS CORP 28,270 5,468,266
SIMON PROPERTY GROUP INC 35,830 6,632,491
SL GREEN REALTY CORP 28,982 1,329,404
STOCKLAND 518,069 1,979,568
SUNSTONE HOTEL INVESTORS INC 42,490 379,861
31
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
TANGER INC 69,657 2,324,454
TPG RE FINANCE TRUST INC 43,549 374,957
UDR INC 183,300 6,723,444
VENTAS INC 121,880 9,431,074
VICI PROPERTIES INC 113,820 3,200,618
VORNADO REALTY TRUST 56,090 1,866,675
WELLTOWER INC 109,610 20,344,712
XENIA HOTELS & RESORTS INC 104,510 1,477,158
Total Real Estate Investment Trusts $ 259,741,520
Commodities
GOLD BARS 26 $ 11,472,280
Total Commodities $ 11,472,280
Derivative Assets
BRENT CRUDE FUTURE (ICE) EXP AUG 26 1,324,202 $ -
BRENT CRUDE FUTURE (ICE) EXP JUL 26 1,324,862 -
BRENT CRUDE FUTURE (ICE) EXP JUN 26 1,566,526 -
BRENT CRUDE FUTURE (ICE) EXP MAR 26 182,553 -
BRENT CRUDE FUTURE (ICE) EXP OCT 26 722,052 -
BRENT CRUDE FUTURE (ICE) EXP SEP 26 1,022,907 -
BRENT CRUDE OIL (ICE) EXP DEC 26 2,469,061 -
CCA VINTAGE 2026 FUTURE (IFE) EXP DEC 26 4,192,128 -
COCOA FUTURE (NYB) EXP MAR 26 1,213,020 -
COPPER FUTURE (CMX) EXP MAR 26 426,153 -
ECX EMISSION FUTURE (EDX) EXP DEC 26 615,676 -
GASOLINE RBOB FUTURE (NYM) EXP JUN 26 246,724 -
GOLD 100 OZ FUTURE (CMX) EXP APR 26 1,312,173 -
HEATING OIL FUTURE (NYM) EXP MAR 26 88,344 -
HENRY HB LD1 (IFE) EXP FEB 31 20,527 -
HENRY HB LD1 (IFE) EXP JAN 31 21,987 -
HENRY HB LD1 FUT (IFE) EXP APR 31 15,137 -
HENRY HB LD1 FUT (IFE) EXP AUG 31 16,747 -
HENRY HB LD1 FUT (IFE) EXP DEC 31 20,297 -
HENRY HB LD1 FUT (IFE) EXP JUN 31 15,687 -
HENRY HB LD1 FUT (IFE) EXP MAR 31 17,367 -
HENRY HB LD1 FUT (IFE) EXP MAY 31 14,947 -
HENRY HB LD1 FUT (IFE) EXP NOV 31 18,137 -
HENRY HB LD1 FUT (IFE) EXP OCT 31 17,052 -
HENRY HB LD1 FUT (IFE) EXP SEP 31 16,677 -
HENRY HUB LD1 FUT (IFE) EXP JUL 31 16,492 -
IRON ORE 62% (SGX) EXP MAR 26 136,253 -
KC HRW WHEAT FUTURE (CBT) EXP MAR 26 875,109 -
KC HRW WHEAT FUTURE (CBT) EXP MAY 26 26,401 -
LIVE CATTLE FUTURE (CME) EXP APR 26 1,300,334 -
MT BELV ETHAN 5DE FUTURE (NYM) EXP FEB 26 72,772 -
NATURAL GAS FUTURE (NYM) EXP MAR 26 93,903 -
NATURAL GAS FUTURE (NYM) EXP APR 27 136,364 -
NATURAL GAS FUTURE (NYM) EXP MAR 27 148,004 -
NATURAL GAS FUTURE (NYM) EXP MAY 26 258,408 -
NICKEL FUTURE (LME) EXP MAR 26 399,338 -
PALLADIUM FUTURE (NYM) EXP MAR 26 165,141 -
PLATINUM FUTURE (NYM) EXP APR 26 204,422 -
SOYBEAN FUTURE (CBT) EXP JUL 26 322,281 -
SOYBEAN FUTURE (CBT) EXP MAR 26 576,136 -
SOYBEAN MEAL FUTURE (CBT) EXP MAR 26 1,946,165 -
32
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
TRS EL BACVWSAV INDEX P 0% -55 BPS 2026 MAR 31 732,999 3,332
TRS EL SPGCESTR INDEX P TBILDI3M +16BPS 2026 JUL 15 17,047,831 348,935
TRS EL SPGCESTR INDEX P TBILDI3M +16BPS 2026 MAR 16 43,170,943 915,138
TRS EL SPGCESTR INDEX P TBILDI3M +16BPS 2026 SEP 15 36,979,276 777,156
TRS EL SPGCESTR INDEX P TBILDI3M +17BPS 2026 DEC 15 8,754,268 184,067
TRS EL SPGCESTR INDEX P TBILDI3M +17BPS 2026 MAY 15 16,222,510 341,094
US 10YR TREAS NTS FUTURE (CBT) EXP MAR 26 2,810,963 -
US 2YR TREAS NTS FUT (CBT) EXP MAR 26 93,746,738 -
US 5YR TREAS NTS FUTURE (CBT) EXP MAR 26 1,420,974 -
VARS GOLDLNPM 0.004431025 2026 JAN 19 120,000 -
VARS GOLDLNPM 0.059049 2026 JAN 19 300,000 -
VARS GOLDLNPM 0.06325225 JPM 2026 APR 10 7,078,000 222,186
WTI CRUDE FUTURE (NYM) EXP AUG 26 1,254,902 -
WTI CRUDE FUTURE (NYM) EXP DEC 26 1,650,709 -
WTI CRUDE FUTURE (NYM) EXP JUL 26 1,026,738 -
WTI CRUDE FUTURE (NYM) EXP SEP 26 172,563 -
WTI CRUDE FUTURE (NYM) MAR 26 PUT JAN 26 050.000 ED 01/27/26 3 -
ZINC FUTURE (LME) EXP MAR 26 389,870 -
Total Derivative Assets $ 2,791,908
Total Investment Assets (at fair value) $ 14,339,738,805
Separately Managed Accounts
Derivative Liabilities
ALUMINUM HG FUTURE (LME) EXP MAR 26 449,177 $ -
BRENT CRUDE FUT (ICE) APR 26 CALL APR 26 070.000 ED 02/24/26 10 -
BRENT CRUDE FUT (ICE) MAR 26 CALL MAR 26 067.000 ED 01/27/26 3 -
BRENT CRUDE FUT (ICE) MAR 26 CALL MAR 26 071.000 ED 01/27/26 3 -
BRENT CRUDE FUTURE (ICE) EXP DEC 27 367,806 -
BRENT CRUDE FUTURE (ICE) EXP DEC 28 314,505 -
BRENT CRUDE FUTURE (ICE) EXP FEB 27 662,761 -
BRENT CRUDE FUTURE (ICE) EXP JAN 27 602,310 -
BRENT CRUDE FUTURE (ICE) EXP MAY 26 603,210 -
BRENT CRUDE FUTURE (ICE) MAR 26 CALL JAN 26 066.000 ED 01/27/26 7 -
BRENT CRUDE OIL (ICE) EXP APR 26 604,910 -
BRENT CRUDE OIL (ICE) EXP JUN 27 908,865 -
BRENT CRUDE OIL (ICE) EXP NOV 26 662,101 -
COFFEE 'C' FUTURE (NYB) EXP JUL 26 244,502 -
COFFEE 'C' FUTURE (NYB) EXP MAR 26 130,782 -
COMMIT TO PUR FNMA SF MTG 5.500% 02/01/56 DD 02/01/26
2,200,000 (30,070)
CORN FUTURE (CBT) EXP DEC 26 184,208 -
CORN FUTURE (CBT) EXP JUL 26 522,698 -
CORN FUTURE (CBT) EXP MAR 26 2,025,242 -
COTTON NO 2 FUTURE (NYB) EXP JUL 26 200,496 -
COTTON NO 2 FUTURE (NYB) EXP MAR 26 449,904 -
CRUDE OIL FUTURE (NYM) EXP DEC 27 1,446,525 -
GAS OIL FUTURE (ICE) EXP JUN 26 1,022,567 -
GASOLINE RBOB FUTURE (NYM) EXP MAR 26 658,296 -
GOLD 100 OZ FUTURE (CMX) EXP FEB 26 10,418,664 -
HEATING OIL FUTURE (NYM) EXP JUN 26 256,363 -
HENRY HB LD1 (IFE) EXP FEB 26 59,586 -
KC HRW WHEAT FUTURE (CBT) EXP JUL 26 135,505 -
LEAD FUTURE (LME) EXP MAR 26 702,706 -
LEAN HOGS FUTURE (CME) EXP APR 26 755,181 -
LOW SU GASOIL G FUTURE (ICE) EXP MAR 26 1,108,368 -
33
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
NATURAL GAS FUTURE (ICE) EXP MAR 26 431,762 -
NATURAL GAS FUTURE (NYM) EXP APR 26 693,682 -
NATURAL GAS FUTURE (NYM) EXP JAN 27 376,168 -
NATURAL GAS FUTURE (NYM) EXP JUL 26 73,422 -
SILVER FUTURE (CMX) EXP MAR 26 1,412,064 -
SNG KEROS V SNG GA FUT (ISF) EXP DEC 25 162 -
SNG KEROS VS SNG GASOIL (ISF) EXP APR 26 781 -
SNG KEROS VS SNG GASOIL (ISF) EXP DEC 26 121 -
SNG KEROS VS SNG GASOIL (ISF) EXP FEB 26 123 -
SNG KEROS VS SNG GASOIL (ISF) EXP JAN 26 4,907 -
SNG KEROS VS SNG GASOIL (ISF) EXP JUN 26 771 -
SNG KEROS VS SNG GASOIL (ISF) EXP MAR 26 942 -
SNG KEROS VS SNG GASOIL (ISF) EXP MAY 26 821 -
SNG KEROS VS SNG GASOIL (ISF) EXP NOV 26 261 -
SNG KEROS VS SNG GASOIL (ISF) EXP OCT 26 401 -
SOYBEAN FUTURE (CBT) EXP NOV 26 53,226 -
SOYBEAN MEAL FUTURE (CBT) EXP JUL 26 61,902 -
SOYBEAN OIL FUTURE (CBT) EXP JUL 26 326,447 -
SOYBEAN OIL FUTURE (CBT) EXP MAR 26 320,507 -
SUGAR #11 WORLD FUTURE (NYB) EXP JUL 26 428,381 -
SUGAR #11 WORLD FUTURE (NYB) EXP MAR 26 84,061 -
TRS EL BCOMF1NTC INDEX P 0% +12BPS 2026 MAR 16 7,173,746 (1,994)
TRS EL JMABFNJ2 EQUITY P 0% 2026 JAN 30 1,785,484 (21,563)
TRS FL BACVWSAV INDEX P 0% -55 BPS 2026 MAR 31 4,211 (33)
TRS FL BCOMF1NTC INDEX P 0% +12BPS 2026 MAR 16 56,439 -
TRS FL JMABFNJ2 EQUITY P 0% 2026 JAN 30 17,294 -
TRS FL SPGCESTR INDEX P TBILDI3M +16BPS 2026 JUL 15 24,567 -
TRS FL SPGCESTR INDEX P TBILDI3M +16BPS 2026 MAR 16 64,432 -
TRS FL SPGCESTR INDEX P TBILDI3M +16BPS 2026 SEP 15 54,715 -
TRS FL SPGCESTR INDEX P TBILDI3M +17BPS 2026 DEC 15 12,962 -
TRS FL SPGCESTR INDEX P TBILDI3M +17BPS 2026 MAY 15 24,020 -
TTF NAT GAS F FUTURE (EDX) EXP MAR 26 606,297 -
ULTRA 10YR US TREAS NT FUT CBT EXP MAR 26 5,865,848 -
US 10YR TREAS NTS FUTURE (CBT) EXP MAR 26 12,930,428 -
US 5YR TREAS NTS FUTURE (CBT) EXP MAR 26 5,574,590 -
US TREAS BD FUTURE (CBT) EXP MAR 26 2,080,706 -
US ULTRA BOND (CBT) EXP MAR 26 590,005 -
VARS GOLDLNPM 0.004431025 2026 JAN 19 120,000 -
VARS GOLDLNPM 0.059049 2026 JAN 19 300,000 -
VARS GOLDLNPM 0.06325225 JPM 2026 APR 10 7,078,000 -
WHEAT FUTURE (CBT) EXP JUL 26 53,127 -
WHEAT FUTURE (CBT) EXP MAR 26 2,053,431 -
WHEAT FUTURE (CBT) EXP MAY 26 77,778 -
WTI CRUDE FUTURE (ICE) EXP DEC 26 113,842 -
WTI CRUDE FUTURE (ICE) EXP JUN 26 342,066 -
WTI CRUDE FUTURE (ICE) EXP MAR 26 114,442 -
WTI CRUDE FUTURE (NYM) EXP APR 26 627,781 -
WTI CRUDE FUTURE (NYM) EXP FEB 26 401,947 -
WTI CRUDE FUTURE (NYM) EXP JAN 27 113,822 -
WTI CRUDE FUTURE (NYM) EXP JUN 26 855,165 -
WTI CRUDE FUTURE (NYM) EXP JUN 27 572,610 -
WTI CRUDE FUTURE (NYM) EXP MAR 26 457,768 -
WTI CRUDE FUTURE (NYM) EXP MAY 26 114,002 -
WTI CRUDE FUTURE (NYM) EXP NOV 26 512,289 -
WTI CRUDE FUTURE (NYM) EXP OCT 26 569,510 -
WTI CRUDE FUTURE (NYM) ED FEB 26 CALL JAN 26 067.000 ED 01/14/26 3 -
34
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date,
rate of interest, collateral, par, or maturity value Shares / Par Value Current Value
WTI CRUDE FUTURE (NYM) EXP FEB 26 CALL JAN 26 068.000 ED 01/14/26 2 -
WTI CRUDE FUTURE (NYM) MAR 26 CALL JAN 26 064.000 ED 01/27/26 3 -
WTI CRUDE FUTURE FEB 26 CALL FEB 26 065.000 ED 01/14/26 4 -
Total Derivative Liabilities $ (53,660)
Total Investment Liabilities (at fair value) $ (53,660)
Total Investment Assets less Investment Liabilities $ 14,339,685,145
*Notes Receivable from Participants with interest rates ranging from 4.25% to 9.50% with maturities up to 30 years
$ 31,465,584
Total Investments, net $ 14,371,150,729
* Denotes party-in-interest
Note: Par value is reflected in the underlying currency of the security, where applicable.
35
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
Securities Purchased Under Agreements to Resell
BARCLAYS CAPITAL REV REPO 4.350% 10/17/25 DD 10/16/25
60,900,000 $ 60,900,000
BNP PARIBAS REV REPO 4.230% 05/23/25 DD 05/22/25
10,300,000 10,300,000
BNP PARIBAS REV REPO 4.250% 05/22/25 DD 05/21/25
70,200,000 70,200,000
BNP PARIBAS REV REPO 4.250% 05/23/25 DD 05/22/25
59,900,000 59,900,000
BNP PARIBAS REV REPO 4.270% 05/21/25 DD 05/20/25
8,400,000 8,400,000
BNP PARIBAS REV REPO 4.270% 07/23/25 DD 07/22/25
75,300,000 75,300,000
BNP PARIBAS REV REPO 4.280% 06/06/25 DD 06/05/25
10,600,000 10,600,000
BNP PARIBAS REV REPO 4.280% 06/16/25 DD 06/13/25
63,200,000 63,200,000
BNP PARIBAS REV REPO 4.280% 06/23/25 DD 06/20/25
80,400,000 80,400,000
BNP PARIBAS REV REPO 4.280% 06/24/25 DD 06/23/25
68,800,000 68,800,000
BNP PARIBAS REV REPO 4.290% 06/06/25 DD 06/05/25
60,300,000 60,300,000
BNP PARIBAS REV REPO 4.290% 06/10/25 DD 06/09/25
60,600,000 60,600,000
BNP PARIBAS REV REPO 4.290% 06/11/25 DD 06/10/25
61,500,000 61,500,000
BNP PARIBAS REV REPO 4.290% 06/16/25 DD 06/13/25
11,400,000 11,400,000
BNP PARIBAS REV REPO 4.290% 06/20/25 DD 06/18/25
100,000 100,000
BNP PARIBAS REV REPO 4.300% 03/13/25 DD 03/12/25
70,100,000 70,100,000
BNP PARIBAS REV REPO 4.300% 05/27/25 DD 05/23/25
10,200,000 10,200,000
BNP PARIBAS REV REPO 4.310% 01/10/25 DD 01/09/25
5,600,000 5,600,000
BNP PARIBAS REV REPO 4.310% 06/04/25 DD 06/03/25
9,600,000 9,600,000
BNP PARIBAS REV REPO 4.310% 06/05/25 DD 06/04/25
59,000,000 59,000,000
BNP PARIBAS REV REPO 4.310% 06/17/25 DD 06/16/25
63,600,000 63,600,000
BNP PARIBAS REV REPO 4.310% 06/18/25 DD 06/17/25
65,400,000 65,400,000
BNP PARIBAS REV REPO 4.310% 07/22/25 DD 07/21/25
11,100,000 11,100,000
BNP PARIBAS REV REPO 4.310% 07/24/25 DD 07/23/25
10,800,000 10,800,000
BNP PARIBAS REV REPO 4.320% 01/13/25 DD 01/10/25
44,700,000 44,700,000
BNP PARIBAS REV REPO 4.320% 02/26/25 DD 02/25/25
71,200,000 71,200,000
BNP PARIBAS REV REPO 4.320% 03/12/25 DD 03/11/25
70,200,000 70,200,000
BNP PARIBAS REV REPO 4.320% 06/05/25 DD 06/04/25
11,100,000 11,100,000
BNP PARIBAS REV REPO 4.320% 06/11/25 DD 06/10/25
11,000,000 11,000,000
BNP PARIBAS REV REPO 4.320% 06/17/25 DD 06/16/25
10,500,000 10,500,000
BNP PARIBAS REV REPO 4.320% 06/20/25 DD 06/18/25
12,600,000 12,600,000
BNP PARIBAS REV REPO 4.320% 06/26/25 DD 06/25/25
66,500,000 66,500,000
BNP PARIBAS REV REPO 4.320% 07/21/25 DD 07/18/25
60,600,000 60,600,000
BNP PARIBAS REV REPO 4.320% 08/21/25 DD 08/20/25
57,000,000 57,000,000
BNP PARIBAS REV REPO 4.330% 01/15/25 DD 01/14/25
7,400,000 7,400,000
BNP PARIBAS REV REPO 4.330% 01/17/25 DD 01/16/25
6,900,000 6,900,000
BNP PARIBAS REV REPO 4.330% 02/18/25 DD 02/14/25
56,100,000 56,100,000
BNP PARIBAS REV REPO 4.330% 06/13/25 DD 06/12/25
72,600,000 72,600,000
BNP PARIBAS REV REPO 4.330% 07/10/25 DD 07/09/25
10,900,000 10,900,000
BNP PARIBAS REV REPO 4.330% 07/11/25 DD 07/10/25
63,100,000 63,100,000
BNP PARIBAS REV REPO 4.330% 07/15/25 DD 07/14/25
62,900,000 62,900,000
BNP PARIBAS REV REPO 4.330% 08/22/25 DD 08/21/25
59,500,000 59,500,000
BNP PARIBAS REV REPO 4.340% 01/14/25 DD 01/13/25
5,600,000 5,600,000
BNP PARIBAS REV REPO 4.340% 02/12/25 DD 02/11/25
68,300,000 68,300,000
BNP PARIBAS REV REPO 4.340% 02/25/25 DD 02/24/25
70,900,000 70,900,000
BNP PARIBAS REV REPO 4.340% 03/05/25 DD 03/04/25
65,100,000 65,100,000
BNP PARIBAS REV REPO 4.340% 06/18/25 DD 06/17/25
13,100,000 13,100,000
BNP PARIBAS REV REPO 4.340% 07/07/25 DD 07/03/25
10,400,000 10,400,000
BNP PARIBAS REV REPO 4.340% 07/09/25 DD 07/08/25
63,200,000 63,200,000
BNP PARIBAS REV REPO 4.340% 07/10/25 DD 07/09/25
63,200,000 63,200,000
BNP PARIBAS REV REPO 4.340% 08/29/25 DD 08/28/25
10,600,000 10,600,000
BNP PARIBAS REV REPO 4.350% 01/06/25 DD 01/03/25
6,100,000 6,100,000
BNP PARIBAS REV REPO 4.350% 01/27/25 DD 01/24/25
6,400,000 6,400,000
BNP PARIBAS REV REPO 4.350% 06/04/25 DD 06/03/25
58,900,000 58,900,000
BNP PARIBAS REV REPO 4.350% 07/11/25 DD 07/10/25
11,000,000 11,000,000
36
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
BNP PARIBAS REV REPO 4.350% 07/25/25 DD 07/24/25
11,200,000 11,200,000
BNP PARIBAS REV REPO 4.350% 07/31/25 DD 07/30/25
63,100,000 63,100,000
BNP PARIBAS REV REPO 4.350% 08/06/25 DD 08/05/25
100,000 100,000
BNP PARIBAS REV REPO 4.350% 08/08/25 DD 08/07/25
60,000,000 60,000,000
BNP PARIBAS REV REPO 4.350% 08/11/25 DD 08/08/25
100,000 100,000
BNP PARIBAS REV REPO 4.350% 08/12/25 DD 08/11/25
70,300,000 70,300,000
BNP PARIBAS REV REPO 4.360% 02/06/25 DD 02/05/25
42,300,000 42,300,000
BNP PARIBAS REV REPO 4.360% 02/10/25 DD 02/07/25
41,100,000 41,100,000
BNP PARIBAS REV REPO 4.360% 02/20/25 DD 02/19/25
69,700,000 69,700,000
BNP PARIBAS REV REPO 4.360% 05/28/25 DD 05/27/25
10,200,000 10,200,000
BNP PARIBAS REV REPO 4.360% 05/30/25 DD 05/29/25
100,000 100,000
BNP PARIBAS REV REPO 4.360% 07/17/25 DD 07/16/25
47,700,000 47,700,000
BNP PARIBAS REV REPO 4.360% 08/04/25 DD 08/01/25
100,000 100,000
BNP PARIBAS REV REPO 4.360% 08/20/25 DD 08/19/25
9,600,000 9,600,000
BNP PARIBAS REV REPO 4.360% 08/21/25 DD 08/20/25
11,400,000 11,400,000
BNP PARIBAS REV REPO 4.360% 08/22/25 DD 08/21/25
10,300,000 10,300,000
BNP PARIBAS REV REPO 4.370% 01/23/25 DD 01/22/25
5,400,000 5,400,000
BNP PARIBAS REV REPO 4.370% 02/05/25 DD 02/04/25
41,800,000 41,800,000
BNP PARIBAS REV REPO 4.370% 02/18/25 DD 02/14/25
13,500,000 13,500,000
BNP PARIBAS REV REPO 4.370% 02/24/25 DD 02/21/25
71,200,000 71,200,000
BNP PARIBAS REV REPO 4.370% 03/11/25 DD 03/10/25
69,500,000 69,500,000
BNP PARIBAS REV REPO 4.370% 06/02/25 DD 05/30/25
9,700,000 9,700,000
BNP PARIBAS REV REPO 4.370% 07/08/25 DD 07/07/25
11,700,000 11,700,000
BNP PARIBAS REV REPO 4.370% 07/16/25 DD 07/15/25
63,200,000 63,200,000
BNP PARIBAS REV REPO 4.370% 07/28/25 DD 07/25/25
11,100,000 11,100,000
BNP PARIBAS REV REPO 4.370% 07/31/25 DD 07/30/25
11,100,000 11,100,000
BNP PARIBAS REV REPO 4.370% 08/04/25 DD 08/01/25
9,700,000 9,700,000
BNP PARIBAS REV REPO 4.370% 08/05/25 DD 08/04/25
8,700,000 8,700,000
BNP PARIBAS REV REPO 4.370% 08/07/25 DD 08/06/25
9,600,000 9,600,000
BNP PARIBAS REV REPO 4.370% 08/13/25 DD 08/12/25
10,400,000 10,400,000
BNP PARIBAS REV REPO 4.370% 08/14/25 DD 08/13/25
10,500,000 10,500,000
BNP PARIBAS REV REPO 4.380% 02/07/25 DD 02/06/25
41,700,000 41,700,000
BNP PARIBAS REV REPO 4.380% 03/10/25 DD 03/07/25
69,600,000 69,600,000
BNP PARIBAS REV REPO 4.380% 07/07/25 DD 07/03/25
62,100,000 62,100,000
BNP PARIBAS REV REPO 4.380% 08/06/25 DD 08/05/25
10,000,000 10,000,000
BNP PARIBAS REV REPO 4.390% 01/28/25 DD 01/27/25
3,900,000 3,900,000
BNP PARIBAS REV REPO 4.390% 01/31/25 DD 01/30/25
6,400,000 6,400,000
BNP PARIBAS REV REPO 4.390% 06/03/25 DD 06/02/25
59,100,000 59,100,000
BNP PARIBAS REV REPO 4.390% 07/09/25 DD 07/08/25
11,000,000 11,000,000
BNP PARIBAS REV REPO 4.390% 08/08/25 DD 08/07/25
10,300,000 10,300,000
BNP PARIBAS REV REPO 4.390% 08/11/25 DD 08/08/25
10,300,000 10,300,000
BNP PARIBAS REV REPO 4.390% 08/19/25 DD 08/18/25
10,900,000 10,900,000
BNP PARIBAS REV REPO 4.390% 09/02/25 DD 08/29/25
10,700,000 10,700,000
BNP PARIBAS REV REPO 4.400% 01/30/25 DD 01/29/25
45,400,000 45,400,000
BNP PARIBAS REV REPO 4.400% 03/07/25 DD 03/06/25
69,500,000 69,500,000
BNP PARIBAS REV REPO 4.400% 06/27/25 DD 06/26/25
61,100,000 61,100,000
BNP PARIBAS REV REPO 4.400% 08/18/25 DD 08/15/25
10,300,000 10,300,000
BNP PARIBAS REV REPO 4.400% 08/27/25 DD 08/26/25
10,600,000 10,600,000
BNP PARIBAS REV REPO 4.400% 08/28/25 DD 08/27/25
61,700,000 61,700,000
BNP PARIBAS REV REPO 4.400% 09/03/25 DD 09/02/25
100,000 100,000
BNP PARIBAS REV REPO 4.410% 01/29/25 DD 01/28/25
4,900,000 4,900,000
BNP PARIBAS REV REPO 4.410% 06/26/25 DD 06/25/25
5,700,000 5,700,000
BNP PARIBAS REV REPO 4.420% 07/03/25 DD 07/02/25
100,000 100,000
BNP PARIBAS REV REPO 4.420% 08/25/25 DD 08/22/25
10,400,000 10,400,000
BNP PARIBAS REV REPO 4.420% 08/28/25 DD 08/27/25
9,600,000 9,600,000
BNP PARIBAS REV REPO 4.420% 09/03/25 DD 09/02/25
10,900,000 10,900,000
37
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
BNP PARIBAS REV REPO 4.420% 09/08/25 DD 09/05/25
63,400,000 63,400,000
BNP PARIBAS REV REPO 4.430% 03/03/25 DD 02/28/25
68,900,000 68,900,000
BNP PARIBAS REV REPO 4.430% 06/27/25 DD 06/26/25
10,600,000 10,600,000
BNP PARIBAS REV REPO 4.430% 06/30/25 DD 06/27/25
61,500,000 61,500,000
BNP PARIBAS REV REPO 4.430% 07/01/25 DD 06/30/25
100,000 100,000
BNP PARIBAS REV REPO 4.430% 07/02/25 DD 07/01/25
100,000 100,000
BNP PARIBAS REV REPO 4.430% 07/16/25 DD 07/15/25
10,700,000 10,700,000
BNP PARIBAS REV REPO 4.430% 07/29/25 DD 07/28/25
10,400,000 10,400,000
BNP PARIBAS REV REPO 4.430% 08/01/25 DD 07/31/25
74,400,000 74,400,000
BNP PARIBAS REV REPO 4.460% 09/05/25 DD 09/04/25
10,200,000 10,200,000
BNP PARIBAS REV REPO 4.470% 07/01/25 DD 06/30/25
11,000,000 11,000,000
BNP PARIBAS REV REPO 4.480% 07/02/25 DD 07/01/25
10,900,000 10,900,000
J P MORGAN CHASE REV REPO 3.720% 12/18/25 DD 12/17/25
69,100,000 69,100,000
J P MORGAN CHASE REV REPO 3.890% 11/10/25 DD 11/07/25
11,000,000 11,000,000
J P MORGAN CHASE REV REPO 3.910% 11/12/25 DD 11/10/25
100,000 100,000
J P MORGAN CHASE REV REPO 3.930% 11/21/25 DD 11/20/25
66,100,000 66,100,000
J P MORGAN CHASE REV REPO 3.940% 11/24/25 DD 11/21/25
62,500,000 62,500,000
J P MORGAN CHASE REV REPO 3.960% 11/20/25 DD 11/19/25
66,200,000 66,200,000
J P MORGAN CHASE REV REPO 3.960% 11/24/25 DD 11/21/25
10,300,000 10,300,000
J P MORGAN CHASE REV REPO 3.970% 11/10/25 DD 11/07/25
62,000,000 62,000,000
J P MORGAN CHASE REV REPO 3.970% 12/05/25 DD 12/04/25
62,800,000 62,800,000
J P MORGAN CHASE REV REPO 3.970% 12/08/25 DD 12/05/25
100,000 100,000
J P MORGAN CHASE REV REPO 3.980% 11/25/25 DD 11/24/25
62,000,000 62,000,000
J P MORGAN CHASE REV REPO 3.990% 11/12/25 DD 11/10/25
62,200,000 62,200,000
J P MORGAN CHASE REV REPO 4.010% 12/09/25 DD 12/08/25
63,400,000 63,400,000
J P MORGAN CHASE REV REPO 4.020% 11/19/25 DD 11/18/25
62,900,000 62,900,000
J P MORGAN CHASE REV REPO 4.030% 11/13/25 DD 11/12/25
62,200,000 62,200,000
J P MORGAN CHASE REV REPO 4.040% 11/18/25 DD 11/17/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.040% 11/26/25 DD 11/25/25
61,300,000 61,300,000
J P MORGAN CHASE REV REPO 4.050% 11/14/25 DD 11/13/25
62,500,000 62,500,000
J P MORGAN CHASE REV REPO 4.090% 12/03/25 DD 12/02/25
62,500,000 62,500,000
J P MORGAN CHASE REV REPO 4.120% 10/31/25 DD 10/30/25
62,400,000 62,400,000
J P MORGAN CHASE REV REPO 4.150% 09/24/25 DD 09/23/25
10,700,000 10,700,000
J P MORGAN CHASE REV REPO 4.160% 11/05/25 DD 11/04/25
63,000,000 63,000,000
J P MORGAN CHASE REV REPO 4.170% 10/10/25 DD 10/09/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.180% 09/22/25 DD 09/19/25
63,800,000 63,800,000
J P MORGAN CHASE REV REPO 4.180% 09/24/25 DD 09/23/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.190% 09/23/25 DD 09/22/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.190% 10/09/25 DD 10/08/25
62,400,000 62,400,000
J P MORGAN CHASE REV REPO 4.190% 10/15/25 DD 10/14/25
62,800,000 62,800,000
J P MORGAN CHASE REV REPO 4.200% 11/03/25 DD 10/31/25
63,300,000 63,300,000
J P MORGAN CHASE REV REPO 4.210% 10/08/25 DD 10/07/25
61,600,000 61,600,000
J P MORGAN CHASE REV REPO 4.220% 10/21/25 DD 10/20/25
58,600,000 58,600,000
J P MORGAN CHASE REV REPO 4.220% 10/22/25 DD 10/21/25
60,500,000 60,500,000
J P MORGAN CHASE REV REPO 4.240% 09/30/25 DD 09/29/25
63,600,000 63,600,000
J P MORGAN CHASE REV REPO 4.240% 10/02/25 DD 10/01/25
45,500,000 45,500,000
J P MORGAN CHASE REV REPO 4.240% 10/03/25 DD 10/02/25
50,000,000 50,000,000
J P MORGAN CHASE REV REPO 4.240% 10/07/25 DD 10/06/25
61,600,000 61,600,000
J P MORGAN CHASE REV REPO 4.250% 09/29/25 DD 09/26/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.260% 11/04/25 DD 11/03/25
63,100,000 63,100,000
J P MORGAN CHASE REV REPO 4.270% 10/23/25 DD 10/22/25
60,400,000 60,400,000
J P MORGAN CHASE REV REPO 4.280% 01/07/25 DD 01/06/25
6,700,000 6,700,000
J P MORGAN CHASE REV REPO 4.280% 10/24/25 DD 10/23/25
61,000,000 61,000,000
J P MORGAN CHASE REV REPO 4.290% 01/08/25 DD 01/07/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.290% 10/16/25 DD 10/15/25
61,600,000 61,600,000
J P MORGAN CHASE REV REPO 4.290% 10/27/25 DD 10/24/25
100,000 100,000
38
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
J P MORGAN CHASE REV REPO 4.300% 03/21/25 DD 03/20/25
63,500,000 63,500,000
J P MORGAN CHASE REV REPO 4.300% 05/27/25 DD 05/23/25
59,900,000 59,900,000
J P MORGAN CHASE REV REPO 4.310% 04/25/25 DD 04/24/25
57,500,000 57,500,000
J P MORGAN CHASE REV REPO 4.310% 07/23/25 DD 07/22/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.310% 07/24/25 DD 07/23/25
63,800,000 63,800,000
J P MORGAN CHASE REV REPO 4.320% 01/22/25 DD 01/21/25
48,500,000 48,500,000
J P MORGAN CHASE REV REPO 4.320% 01/23/25 DD 01/22/25
42,000,000 42,000,000
J P MORGAN CHASE REV REPO 4.320% 04/24/25 DD 04/23/25
12,300,000 12,300,000
J P MORGAN CHASE REV REPO 4.320% 06/24/25 DD 06/23/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.320% 10/01/25 DD 09/30/25
63,900,000 63,900,000
J P MORGAN CHASE REV REPO 4.330% 01/16/25 DD 01/15/25
41,000,000 41,000,000
J P MORGAN CHASE REV REPO 4.330% 01/17/25 DD 01/16/25
40,900,000 40,900,000
J P MORGAN CHASE REV REPO 4.330% 01/21/25 DD 01/17/25
56,300,000 56,300,000
J P MORGAN CHASE REV REPO 4.330% 03/24/25 DD 03/21/25
57,200,000 57,200,000
J P MORGAN CHASE REV REPO 4.330% 05/21/25 DD 05/20/25
62,000,000 62,000,000
J P MORGAN CHASE REV REPO 4.330% 06/09/25 DD 06/06/25
19,800,000 19,800,000
J P MORGAN CHASE REV REPO 4.330% 06/20/25 DD 06/18/25
74,000,000 74,000,000
J P MORGAN CHASE REV REPO 4.330% 06/24/25 DD 06/23/25
11,500,000 11,500,000
J P MORGAN CHASE REV REPO 4.330% 06/25/25 DD 06/24/25
68,600,000 68,600,000
J P MORGAN CHASE REV REPO 4.340% 01/09/25 DD 01/08/25
6,000,000 6,000,000
J P MORGAN CHASE REV REPO 4.340% 01/10/25 DD 01/09/25
39,300,000 39,300,000
J P MORGAN CHASE REV REPO 4.340% 01/15/25 DD 01/14/25
40,200,000 40,200,000
J P MORGAN CHASE REV REPO 4.340% 03/25/25 DD 03/24/25
67,800,000 67,800,000
J P MORGAN CHASE REV REPO 4.340% 05/15/25 DD 05/14/25
10,200,000 10,200,000
J P MORGAN CHASE REV REPO 4.340% 07/25/25 DD 07/24/25
63,600,000 63,600,000
J P MORGAN CHASE REV REPO 4.350% 05/14/25 DD 05/13/25
58,700,000 58,700,000
J P MORGAN CHASE REV REPO 4.350% 05/15/25 DD 05/14/25
59,400,000 59,400,000
J P MORGAN CHASE REV REPO 4.350% 10/29/25 DD 10/28/25
64,300,000 64,300,000
J P MORGAN CHASE REV REPO 4.350% 10/30/25 DD 10/29/25
62,400,000 62,400,000
J P MORGAN CHASE REV REPO 4.360% 03/04/25 DD 03/03/25
69,600,000 69,600,000
J P MORGAN CHASE REV REPO 4.360% 05/09/25 DD 05/08/25
57,400,000 57,400,000
J P MORGAN CHASE REV REPO 4.360% 05/19/25 DD 05/16/25
60,900,000 60,900,000
J P MORGAN CHASE REV REPO 4.360% 05/20/25 DD 05/19/25
61,800,000 61,800,000
J P MORGAN CHASE REV REPO 4.360% 05/28/25 DD 05/27/25
59,800,000 59,800,000
J P MORGAN CHASE REV REPO 4.360% 06/26/25 DD 06/25/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.360% 07/14/25 DD 07/11/25
10,600,000 10,600,000
J P MORGAN CHASE REV REPO 4.360% 07/21/25 DD 07/18/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.370% 04/21/25 DD 04/17/25
6,600,000 6,600,000
J P MORGAN CHASE REV REPO 4.370% 04/28/25 DD 04/25/25
57,200,000 57,200,000
J P MORGAN CHASE REV REPO 4.370% 05/07/25 DD 05/06/25
56,500,000 56,500,000
J P MORGAN CHASE REV REPO 4.370% 05/08/25 DD 05/07/25
56,100,000 56,100,000
J P MORGAN CHASE REV REPO 4.370% 05/16/25 DD 05/15/25
60,700,000 60,700,000
J P MORGAN CHASE REV REPO 4.370% 07/08/25 DD 07/07/25
62,600,000 62,600,000
J P MORGAN CHASE REV REPO 4.370% 07/14/25 DD 07/11/25
63,200,000 63,200,000
J P MORGAN CHASE REV REPO 4.370% 07/15/25 DD 07/14/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.370% 08/05/25 DD 08/04/25
62,200,000 62,200,000
J P MORGAN CHASE REV REPO 4.370% 08/07/25 DD 08/06/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.370% 08/20/25 DD 08/19/25
58,700,000 58,700,000
J P MORGAN CHASE REV REPO 4.380% 02/19/25 DD 02/18/25
69,700,000 69,700,000
J P MORGAN CHASE REV REPO 4.380% 02/27/25 DD 02/26/25
60,700,000 60,700,000
J P MORGAN CHASE REV REPO 4.380% 03/05/25 DD 03/04/25
5,200,000 5,200,000
J P MORGAN CHASE REV REPO 4.380% 03/27/25 DD 03/26/25
57,000,000 57,000,000
J P MORGAN CHASE REV REPO 4.380% 04/28/25 DD 04/25/25
9,700,000 9,700,000
J P MORGAN CHASE REV REPO 4.380% 06/02/25 DD 05/30/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.380% 06/03/25 DD 06/02/25
10,000,000 10,000,000
J P MORGAN CHASE REV REPO 4.380% 07/09/25 DD 07/08/25
100,000 100,000
39
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
J P MORGAN CHASE REV REPO 4.380% 07/15/25 DD 07/14/25
10,800,000 10,800,000
J P MORGAN CHASE REV REPO 4.380% 07/17/25 DD 07/16/25
11,300,000 11,300,000
J P MORGAN CHASE REV REPO 4.380% 08/25/25 DD 08/22/25
60,400,000 60,400,000
J P MORGAN CHASE REV REPO 4.390% 01/27/25 DD 01/24/25
41,200,000 41,200,000
J P MORGAN CHASE REV REPO 4.390% 01/28/25 DD 01/27/25
43,100,000 43,100,000
J P MORGAN CHASE REV REPO 4.390% 01/29/25 DD 01/28/25
40,600,000 40,600,000
J P MORGAN CHASE REV REPO 4.390% 02/03/25 DD 01/31/25
43,500,000 43,500,000
J P MORGAN CHASE REV REPO 4.390% 04/08/25 DD 04/07/25
57,400,000 57,400,000
J P MORGAN CHASE REV REPO 4.390% 04/14/25 DD 04/11/25
54,500,000 54,500,000
J P MORGAN CHASE REV REPO 4.390% 07/18/25 DD 07/17/25
60,600,000 60,600,000
J P MORGAN CHASE REV REPO 4.390% 08/11/25 DD 08/08/25
59,900,000 59,900,000
J P MORGAN CHASE REV REPO 4.390% 08/14/25 DD 08/13/25
60,000,000 60,000,000
J P MORGAN CHASE REV REPO 4.390% 08/15/25 DD 08/14/25
60,100,000 60,100,000
J P MORGAN CHASE REV REPO 4.390% 08/18/25 DD 08/15/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.400% 02/11/25 DD 02/10/25
67,400,000 67,400,000
J P MORGAN CHASE REV REPO 4.400% 02/28/25 DD 02/27/25
68,900,000 68,900,000
J P MORGAN CHASE REV REPO 4.400% 07/17/25 DD 07/16/25
15,500,000 15,500,000
J P MORGAN CHASE REV REPO 4.400% 08/04/25 DD 08/01/25
63,300,000 63,300,000
J P MORGAN CHASE REV REPO 4.410% 01/31/25 DD 01/30/25
39,200,000 39,200,000
J P MORGAN CHASE REV REPO 4.410% 07/28/25 DD 07/25/25
63,800,000 63,800,000
J P MORGAN CHASE REV REPO 4.410% 08/13/25 DD 08/12/25
60,000,000 60,000,000
J P MORGAN CHASE REV REPO 4.410% 08/19/25 DD 08/18/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.420% 04/04/25 DD 04/03/25
60,000,000 60,000,000
J P MORGAN CHASE REV REPO 4.420% 05/01/25 DD 04/30/25
68,000,000 68,000,000
J P MORGAN CHASE REV REPO 4.420% 07/16/25 DD 07/15/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.420% 07/29/25 DD 07/28/25
63,800,000 63,800,000
J P MORGAN CHASE REV REPO 4.420% 07/30/25 DD 07/29/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.420% 09/02/25 DD 08/29/25
62,300,000 62,300,000
J P MORGAN CHASE REV REPO 4.420% 09/17/25 DD 09/16/25
11,600,000 11,600,000
J P MORGAN CHASE REV REPO 4.420% 09/18/25 DD 09/17/25
67,800,000 67,800,000
J P MORGAN CHASE REV REPO 4.430% 01/06/25 DD 01/03/25
38,700,000 38,700,000
J P MORGAN CHASE REV REPO 4.430% 04/11/25 DD 04/10/25
62,300,000 62,300,000
J P MORGAN CHASE REV REPO 4.430% 05/02/25 DD 05/01/25
66,000,000 66,000,000
J P MORGAN CHASE REV REPO 4.430% 06/02/25 DD 05/30/25
59,500,000 59,500,000
J P MORGAN CHASE REV REPO 4.430% 08/26/25 DD 08/25/25
61,000,000 61,000,000
J P MORGAN CHASE REV REPO 4.430% 08/29/25 DD 08/28/25
61,100,000 61,100,000
J P MORGAN CHASE REV REPO 4.440% 08/27/25 DD 08/26/25
61,000,000 61,000,000
J P MORGAN CHASE REV REPO 4.440% 08/28/25 DD 08/27/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.440% 09/04/25 DD 09/03/25
62,500,000 62,500,000
J P MORGAN CHASE REV REPO 4.440% 09/05/25 DD 09/04/25
64,000,000 64,000,000
J P MORGAN CHASE REV REPO 4.440% 09/12/25 DD 09/11/25
62,100,000 62,100,000
J P MORGAN CHASE REV REPO 4.450% 04/04/25 DD 04/03/25
10,300,000 10,300,000
J P MORGAN CHASE REV REPO 4.450% 04/10/25 DD 04/09/25
51,400,000 51,400,000
J P MORGAN CHASE REV REPO 4.450% 09/10/25 DD 09/09/25
61,700,000 61,700,000
J P MORGAN CHASE REV REPO 4.470% 06/30/25 DD 06/27/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.470% 07/02/25 DD 07/01/25
61,900,000 61,900,000
J P MORGAN CHASE REV REPO 4.470% 09/15/25 DD 09/12/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.480% 07/01/25 DD 06/30/25
61,400,000 61,400,000
J P MORGAN CHASE REV REPO 4.480% 09/09/25 DD 09/08/25
100,000 100,000
J P MORGAN CHASE REV REPO 4.480% 09/17/25 DD 09/16/25
62,400,000 62,400,000
J P MORGAN CHASE REV REPO 4.570% 09/16/25 DD 09/15/25
100,000 100,000
MERRILL LYNCH REV REPO 3.660% 12/19/25 DD 12/18/25
68,700,000 68,700,000
MERRILL LYNCH REV REPO 3.660% 12/22/25 DD 12/19/25
27,800,000 27,800,000
MERRILL LYNCH REV REPO 3.670% 12/24/25 DD 12/23/25
71,500,000 71,500,000
MERRILL LYNCH REV REPO 3.690% 12/23/25 DD 12/22/25
10,400,000 10,400,000
MERRILL LYNCH REV REPO 3.710% 12/26/25 DD 12/24/25
62,200,000 62,200,000
40
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
MERRILL LYNCH REV REPO 3.810% 12/30/25 DD 12/29/25
73,100,000 73,100,000
MERRILL LYNCH REV REPO 3.900% 12/05/25 DD 12/04/25
11,000,000 11,000,000
MERRILL LYNCH REV REPO 3.930% 12/04/25 DD 12/03/25
73,700,000 73,700,000
MERRILL LYNCH REV REPO 3.950% 11/19/25 DD 11/18/25
11,500,000 11,500,000
MERRILL LYNCH REV REPO 3.960% 11/12/25 DD 11/10/25
10,700,000 10,700,000
MERRILL LYNCH REV REPO 3.960% 11/17/25 DD 11/14/25
10,700,000 10,700,000
MERRILL LYNCH REV REPO 4.030% 11/18/25 DD 11/17/25
11,000,000 11,000,000
MERRILL LYNCH REV REPO 4.120% 12/02/25 DD 12/01/25
72,500,000 72,500,000
MERRILL LYNCH REV REPO 4.150% 09/25/25 DD 09/24/25
10,500,000 10,500,000
MERRILL LYNCH REV REPO 4.150% 10/07/25 DD 10/06/25
10,600,000 10,600,000
MERRILL LYNCH REV REPO 4.200% 10/02/25 DD 10/01/25
27,400,000 27,400,000
MERRILL LYNCH REV REPO 4.220% 10/15/25 DD 10/14/25
8,000,000 8,000,000
MERRILL LYNCH REV REPO 4.240% 10/03/25 DD 10/02/25
12,500,000 12,500,000
MERRILL LYNCH REV REPO 4.250% 01/08/25 DD 01/07/25
6,300,000 6,300,000
MERRILL LYNCH REV REPO 4.250% 09/26/25 DD 09/25/25
62,400,000 62,400,000
MERRILL LYNCH REV REPO 4.250% 09/29/25 DD 09/26/25
63,200,000 63,200,000
MERRILL LYNCH REV REPO 4.280% 01/08/25 DD 01/07/25
39,400,000 39,400,000
MERRILL LYNCH REV REPO 4.290% 03/20/25 DD 03/19/25
63,800,000 63,800,000
MERRILL LYNCH REV REPO 4.290% 04/24/25 DD 04/23/25
54,100,000 54,100,000
MERRILL LYNCH REV REPO 4.290% 05/12/25 DD 05/09/25
67,400,000 67,400,000
MERRILL LYNCH REV REPO 4.300% 01/09/25 DD 01/08/25
39,400,000 39,400,000
MERRILL LYNCH REV REPO 4.300% 03/24/25 DD 03/21/25
9,800,000 9,800,000
MERRILL LYNCH REV REPO 4.300% 04/25/25 DD 04/24/25
9,400,000 9,400,000
MERRILL LYNCH REV REPO 4.300% 05/09/25 DD 05/08/25
9,700,000 9,700,000
MERRILL LYNCH REV REPO 4.300% 05/13/25 DD 05/12/25
68,100,000 68,100,000
MERRILL LYNCH REV REPO 4.300% 05/20/25 DD 05/19/25
10,800,000 10,800,000
MERRILL LYNCH REV REPO 4.300% 06/12/25 DD 06/11/25
72,500,000 72,500,000
MERRILL LYNCH REV REPO 4.310% 01/16/25 DD 01/15/25
6,300,000 6,300,000
MERRILL LYNCH REV REPO 4.310% 04/23/25 DD 04/22/25
66,600,000 66,600,000
MERRILL LYNCH REV REPO 4.310% 06/25/25 DD 06/24/25
8,100,000 8,100,000
MERRILL LYNCH REV REPO 4.310% 07/21/25 DD 07/18/25
10,400,000 10,400,000
MERRILL LYNCH REV REPO 4.320% 03/19/25 DD 03/18/25
66,200,000 66,200,000
MERRILL LYNCH REV REPO 4.320% 04/08/25 DD 04/07/25
3,800,000 3,800,000
MERRILL LYNCH REV REPO 4.320% 04/17/25 DD 04/16/25
65,300,000 65,300,000
MERRILL LYNCH REV REPO 4.320% 05/08/25 DD 05/07/25
9,200,000 9,200,000
MERRILL LYNCH REV REPO 4.320% 05/19/25 DD 05/16/25
9,300,000 9,300,000
MERRILL LYNCH REV REPO 4.330% 01/07/25 DD 01/06/25
39,500,000 39,500,000
MERRILL LYNCH REV REPO 4.330% 02/13/25 DD 02/12/25
70,000,000 70,000,000
MERRILL LYNCH REV REPO 4.330% 02/21/25 DD 02/20/25
70,900,000 70,900,000
MERRILL LYNCH REV REPO 4.330% 03/26/25 DD 03/25/25
67,500,000 67,500,000
MERRILL LYNCH REV REPO 4.330% 05/14/25 DD 05/13/25
10,800,000 10,800,000
MERRILL LYNCH REV REPO 4.330% 06/10/25 DD 06/09/25
10,700,000 10,700,000
MERRILL LYNCH REV REPO 4.330% 07/22/25 DD 07/21/25
64,000,000 64,000,000
MERRILL LYNCH REV REPO 4.340% 01/14/25 DD 01/13/25
38,700,000 38,700,000
MERRILL LYNCH REV REPO 4.340% 02/27/25 DD 02/26/25
8,800,000 8,800,000
MERRILL LYNCH REV REPO 4.340% 03/17/25 DD 03/14/25
65,700,000 65,700,000
MERRILL LYNCH REV REPO 4.340% 03/18/25 DD 03/17/25
65,700,000 65,700,000
MERRILL LYNCH REV REPO 4.340% 04/21/25 DD 04/17/25
51,100,000 51,100,000
MERRILL LYNCH REV REPO 4.340% 05/06/25 DD 05/05/25
66,200,000 66,200,000
MERRILL LYNCH REV REPO 4.340% 05/07/25 DD 05/06/25
9,300,000 9,300,000
MERRILL LYNCH REV REPO 4.340% 08/15/25 DD 08/14/25
9,800,000 9,800,000
MERRILL LYNCH REV REPO 4.350% 02/14/25 DD 02/13/25
69,700,000 69,700,000
MERRILL LYNCH REV REPO 4.350% 04/22/25 DD 04/21/25
58,900,000 58,900,000
MERRILL LYNCH REV REPO 4.350% 05/16/25 DD 05/15/25
10,400,000 10,400,000
MERRILL LYNCH REV REPO 4.350% 05/30/25 DD 05/29/25
10,200,000 10,200,000
MERRILL LYNCH REV REPO 4.350% 07/18/25 DD 07/17/25
10,500,000 10,500,000
41
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
MERRILL LYNCH REV REPO 4.360% 03/06/25 DD 03/05/25
70,300,000 70,300,000
MERRILL LYNCH REV REPO 4.360% 03/31/25 DD 03/28/25
67,100,000 67,100,000
MERRILL LYNCH REV REPO 4.360% 04/07/25 DD 04/04/25
66,700,000 66,700,000
MERRILL LYNCH REV REPO 4.360% 04/14/25 DD 04/11/25
8,700,000 8,700,000
MERRILL LYNCH REV REPO 4.360% 05/29/25 DD 05/28/25
69,900,000 69,900,000
MERRILL LYNCH REV REPO 4.360% 08/21/25 DD 08/20/25
100,000 100,000
MERRILL LYNCH REV REPO 4.370% 04/03/25 DD 04/02/25
70,600,000 70,600,000
MERRILL LYNCH REV REPO 4.370% 07/30/25 DD 07/29/25
8,400,000 8,400,000
MERRILL LYNCH REV REPO 4.370% 08/07/25 DD 08/06/25
60,500,000 60,500,000
MERRILL LYNCH REV REPO 4.380% 04/02/25 DD 04/01/25
67,600,000 67,600,000
MERRILL LYNCH REV REPO 4.380% 04/15/25 DD 04/14/25
62,900,000 62,900,000
MERRILL LYNCH REV REPO 4.380% 05/05/25 DD 05/02/25
66,200,000 66,200,000
MERRILL LYNCH REV REPO 4.380% 08/26/25 DD 08/25/25
10,700,000 10,700,000
MERRILL LYNCH REV REPO 4.390% 01/24/25 DD 01/23/25
48,100,000 48,100,000
MERRILL LYNCH REV REPO 4.390% 02/04/25 DD 02/03/25
43,300,000 43,300,000
MERRILL LYNCH REV REPO 4.390% 07/31/25 DD 07/30/25
100,000 100,000
MERRILL LYNCH REV REPO 4.390% 08/06/25 DD 08/05/25
60,900,000 60,900,000
MERRILL LYNCH REV REPO 4.390% 08/18/25 DD 08/15/25
59,600,000 59,600,000
MERRILL LYNCH REV REPO 4.400% 01/03/25 DD 01/02/25
5,800,000 5,800,000
MERRILL LYNCH REV REPO 4.400% 04/29/25 DD 04/28/25
69,300,000 69,300,000
MERRILL LYNCH REV REPO 4.400% 05/30/25 DD 05/29/25
59,700,000 59,700,000
MERRILL LYNCH REV REPO 4.400% 07/30/25 DD 07/29/25
2,500,000 2,500,000
MERRILL LYNCH REV REPO 4.400% 08/19/25 DD 08/18/25
59,600,000 59,600,000
MERRILL LYNCH REV REPO 4.400% 09/04/25 DD 09/03/25
10,600,000 10,600,000
MERRILL LYNCH REV REPO 4.400% 09/11/25 DD 09/10/25
10,900,000 10,900,000
MERRILL LYNCH REV REPO 4.410% 03/28/25 DD 03/27/25
67,000,000 67,000,000
MERRILL LYNCH REV REPO 4.410% 04/01/25 DD 03/31/25
68,000,000 68,000,000
MERRILL LYNCH REV REPO 4.410% 04/16/25 DD 04/15/25
64,700,000 64,700,000
MERRILL LYNCH REV REPO 4.410% 07/03/25 DD 07/02/25
10,600,000 10,600,000
MERRILL LYNCH REV REPO 4.420% 04/30/25 DD 04/29/25
69,200,000 69,200,000
MERRILL LYNCH REV REPO 4.420% 06/30/25 DD 06/27/25
10,500,000 10,500,000
MERRILL LYNCH REV REPO 4.420% 07/30/25 DD 07/29/25
63,300,000 63,300,000
MERRILL LYNCH REV REPO 4.430% 04/09/25 DD 04/08/25
60,400,000 60,400,000
MERRILL LYNCH REV REPO 4.430% 09/11/25 DD 09/10/25
60,300,000 60,300,000
MERRILL LYNCH REV REPO 4.440% 08/27/25 DD 08/26/25
100,000 100,000
MERRILL LYNCH REV REPO 4.440% 09/03/25 DD 09/02/25
62,500,000 62,500,000
MERRILL LYNCH REV REPO 4.460% 04/10/25 DD 04/09/25
7,900,000 7,900,000
MERRILL LYNCH REV REPO 4.460% 07/03/25 DD 07/02/25
62,100,000 62,100,000
MERRILL LYNCH REV REPO 4.470% 09/15/25 DD 09/12/25
62,800,000 62,800,000
REGIONS BANK REV REPO 3.660% 12/23/25 DD 12/22/25
60,700,000 60,700,000
REGIONS BANK REV REPO 3.680% 12/12/25 DD 12/11/25
73,700,000 73,700,000
REGIONS BANK REV REPO 3.690% 12/18/25 DD 12/17/25
100,000 100,000
REGIONS BANK REV REPO 3.700% 12/22/25 DD 12/19/25
43,400,000 43,400,000
REGIONS BANK REV REPO 3.710% 12/15/25 DD 12/12/25
73,500,000 73,500,000
REGIONS BANK REV REPO 3.710% 12/17/25 DD 12/16/25
73,100,000 73,100,000
REGIONS BANK REV REPO 3.720% 12/26/25 DD 12/24/25
10,800,000 10,800,000
REGIONS BANK REV REPO 3.770% 12/31/25 DD 12/30/25
73,600,000 73,600,000
REGIONS BANK REV REPO 3.800% 12/16/25 DD 12/15/25
72,500,000 72,500,000
REGIONS BANK REV REPO 3.820% 12/29/25 DD 12/26/25
73,800,000 73,800,000
REGIONS BANK REV REPO 3.890% 11/21/25 DD 11/20/25
7,100,000 7,100,000
REGIONS BANK REV REPO 3.920% 11/07/25 DD 11/06/25
63,400,000 63,400,000
REGIONS BANK REV REPO 3.930% 11/20/25 DD 11/19/25
11,300,000 11,300,000
REGIONS BANK REV REPO 3.930% 12/08/25 DD 12/05/25
10,800,000 10,800,000
REGIONS BANK REV REPO 3.940% 11/06/25 DD 11/05/25
74,200,000 74,200,000
REGIONS BANK REV REPO 3.940% 12/11/25 DD 12/10/25
73,900,000 73,900,000
REGIONS BANK REV REPO 3.960% 11/07/25 DD 11/06/25
9,800,000 9,800,000
42
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
REGIONS BANK REV REPO 3.960% 11/25/25 DD 11/24/25
9,800,000 9,800,000
REGIONS BANK REV REPO 3.960% 12/10/25 DD 12/09/25
74,200,000 74,200,000
REGIONS BANK REV REPO 3.970% 12/08/25 DD 12/05/25
63,000,000 63,000,000
REGIONS BANK REV REPO 4.000% 10/31/25 DD 10/30/25
10,800,000 10,800,000
REGIONS BANK REV REPO 4.000% 11/05/25 DD 11/04/25
10,800,000 10,800,000
REGIONS BANK REV REPO 4.000% 11/14/25 DD 11/13/25
11,000,000 11,000,000
REGIONS BANK REV REPO 4.000% 11/18/25 DD 11/17/25
62,700,000 62,700,000
REGIONS BANK REV REPO 4.000% 12/09/25 DD 12/08/25
11,200,000 11,200,000
REGIONS BANK REV REPO 4.030% 11/26/25 DD 11/25/25
10,600,000 10,600,000
REGIONS BANK REV REPO 4.040% 11/13/25 DD 11/12/25
10,100,000 10,100,000
REGIONS BANK REV REPO 4.040% 11/17/25 DD 11/14/25
62,900,000 62,900,000
REGIONS BANK REV REPO 4.040% 12/03/25 DD 12/02/25
11,000,000 11,000,000
REGIONS BANK REV REPO 4.060% 11/28/25 DD 11/26/25
61,300,000 61,300,000
REGIONS BANK REV REPO 4.100% 11/28/25 DD 11/26/25
10,600,000 10,600,000
REGIONS BANK REV REPO 4.110% 10/09/25 DD 10/08/25
11,000,000 11,000,000
REGIONS BANK REV REPO 4.120% 10/10/25 DD 10/09/25
73,100,000 73,100,000
REGIONS BANK REV REPO 4.130% 09/19/25 DD 09/18/25
74,800,000 74,800,000
REGIONS BANK REV REPO 4.130% 09/24/25 DD 09/23/25
62,000,000 62,000,000
REGIONS BANK REV REPO 4.130% 09/25/25 DD 09/24/25
62,000,000 62,000,000
REGIONS BANK REV REPO 4.130% 10/14/25 DD 10/10/25
62,900,000 62,900,000
REGIONS BANK REV REPO 4.140% 10/14/25 DD 10/10/25
10,800,000 10,800,000
REGIONS BANK REV REPO 4.140% 10/20/25 DD 10/17/25
10,000,000 10,000,000
REGIONS BANK REV REPO 4.150% 09/23/25 DD 09/22/25
62,600,000 62,600,000
REGIONS BANK REV REPO 4.160% 11/04/25 DD 11/03/25
10,900,000 10,900,000
REGIONS BANK REV REPO 4.170% 09/23/25 DD 09/22/25
9,900,000 9,900,000
REGIONS BANK REV REPO 4.170% 09/29/25 DD 09/26/25
11,300,000 11,300,000
REGIONS BANK REV REPO 4.180% 09/22/25 DD 09/19/25
10,700,000 10,700,000
REGIONS BANK REV REPO 4.180% 09/30/25 DD 09/29/25
10,900,000 10,900,000
REGIONS BANK REV REPO 4.180% 10/06/25 DD 10/03/25
9,600,000 9,600,000
REGIONS BANK REV REPO 4.180% 10/21/25 DD 10/20/25
10,200,000 10,200,000
REGIONS BANK REV REPO 4.180% 12/01/25 DD 11/28/25
71,600,000 71,600,000
REGIONS BANK REV REPO 4.190% 10/08/25 DD 10/07/25
10,700,000 10,700,000
REGIONS BANK REV REPO 4.200% 09/26/25 DD 09/25/25
11,100,000 11,100,000
REGIONS BANK REV REPO 4.200% 10/06/25 DD 10/03/25
62,300,000 62,300,000
REGIONS BANK REV REPO 4.200% 10/23/25 DD 10/22/25
10,900,000 10,900,000
REGIONS BANK REV REPO 4.230% 10/03/25 DD 10/02/25
10,500,000 10,500,000
REGIONS BANK REV REPO 4.240% 10/06/25 DD 10/03/25
100,000 100,000
REGIONS BANK REV REPO 4.250% 10/01/25 DD 09/30/25
9,900,000 9,900,000
REGIONS BANK REV REPO 4.250% 10/27/25 DD 10/24/25
71,600,000 71,600,000
REGIONS BANK REV REPO 4.250% 10/28/25 DD 10/27/25
75,400,000 75,400,000
REGIONS BANK REV REPO 4.250% 10/30/25 DD 10/29/25
10,500,000 10,500,000
REGIONS BANK REV REPO 4.260% 10/24/25 DD 10/23/25
10,500,000 10,500,000
REGIONS BANK REV REPO 4.260% 11/03/25 DD 10/31/25
10,900,000 10,900,000
REGIONS BANK REV REPO 4.270% 10/22/25 DD 10/21/25
10,200,000 10,200,000
REGIONS BANK REV REPO 4.280% 10/20/25 DD 10/17/25
58,800,000 58,800,000
REGIONS BANK REV REPO 4.310% 10/16/25 DD 10/15/25
9,800,000 9,800,000
REGIONS BANK REV REPO 4.320% 10/17/25 DD 10/16/25
11,000,000 11,000,000
REGIONS BANK REV REPO 4.340% 10/29/25 DD 10/28/25
10,000,000 10,000,000
REGIONS BANK REV REPO 4.390% 09/11/25 DD 09/10/25
1,700,000 1,700,000
REGIONS BANK REV REPO 4.400% 09/18/25 DD 09/17/25
11,700,000 11,700,000
REGIONS BANK REV REPO 4.410% 09/12/25 DD 09/11/25
11,000,000 11,000,000
REGIONS BANK REV REPO 4.420% 09/09/25 DD 09/08/25
62,700,000 62,700,000
REGIONS BANK REV REPO 4.440% 09/10/25 DD 09/09/25
10,500,000 10,500,000
REGIONS BANK REV REPO 4.460% 09/09/25 DD 09/08/25
9,500,000 9,500,000
REGIONS BANK REV REPO 4.470% 09/08/25 DD 09/05/25
10,200,000 10,200,000
REGIONS BANK REV REPO 4.480% 09/15/25 DD 09/12/25
10,500,000 10,500,000
43
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
REGIONS BANK REV REPO 4.520% 09/16/25 DD 09/15/25
62,600,000 62,600,000
REGIONS BANK REV REPO 4.570% 09/16/25 DD 09/15/25
10,700,000 10,700,000
TORONTO DOMINION REV REPO 4.330% 03/14/25 DD 03/13/25
70,100,000 70,100,000
TORONTO DOMINION REV REPO 4.330% 06/09/25 DD 06/06/25
51,300,000 51,300,000
TORONTO DOMINION REV REPO 4.420% 03/27/25 DD 03/26/25
10,100,000 10,100,000
Total Securities Purchased Under Agreements to Resell $ 16,935,100,000
Fixed Income Securities
ELMWOOD CLO 19 LTD 6A AR2 144A VAR RT 10/17/38 DD 10/06/25 590,000 $ 591,413
JACKSON NATIONAL LIFE DISC 12/05/25 2,395,000 2,391,058
Total Fixed Income Securities $ 2,982,471
Common Stock
AALBERTS NV 14,324 $ 523,347
AP MOLLER - MAERSK A/S 439 872,577
BALOISE HOLDING AG 1,494 392,774
BANCO SANTANDER SA 139,762 1,357,474
CONTINENTAL AG 8,377 589,289
DEUTSCHE BOERSE AG 2,193 672,534
EGUARANTEE INC 21,300 211,911
FERRARI NV 2,999 1,228,510
JAMES HARDIE INDUSTRIES PLC 20,737 554,799
KERING SA 937 252,823
KONINKLIJKE KPN NV 240,147 1,086,002
MITSUBISHI CHEMICAL GROUP CORP 56,840 315,782
NIDEC CORP 14,900 226,084
NIPPON SANSO HOLDINGS CORP 11,100 385,879
OSAKA GAS CO LTD 33,200 928,014
ROTORK PLC 5,687 24,670
RYANAIR HOLDINGS PLC 14,135 380,825
SONY FINANCIAL GROUP INC 274,361 311,772
TECK RESOURCES LTD CL B SUB-VTG 9,150 408,238
TOYOTA INDUSTRIES CORP 1,598 174,698
VALTERRA PLATINUM LIMITED 4,325 160,050
YOKOHAMA FINANCIAL GROUP INC 99,400 724,320
ZIJIN GOLD INTERNATIONAL CO LT HK/02259 18,460 335,552
Total Common Stock $ 12,117,924
Derivatives
ALUMINUM HG FUTURE (LME) EXP JAN 25 11 $ (41,071)
ALUMINUM HG FUTURE (LME) EXP JAN 26 9 (35)
ARGUS EURO-BOB ROTTE FUT (ISF) EXP AUG 25 1 (2,110)
ARGUS EURO-BOB ROTTE FUT (ISF) EXP JUL 25 1 158
ARGUS EURO-BOB ROTTE FUT (ISF) EXP SEP 25 1 (4,860)
COCOA FUTURE (NYB) EXP DEC 25 1 (50,885)
COCOA FUTURE (NYB) EXP JUL 25 3 38,741
COCOA FUTURE (NYB) EXP MAY 25 3 (77,257)
COCOA FUTURE (NYB) EXP SEP 25 3 (32,986)
COFFEE 'C' FUTURE (NYB) EXP DEC 25 1 (246,452)
COFFEE 'C' FUTURE (NYB) EXP MAY 26 2 (17,582)
COFFEE 'C' FUTURE (NYB) EXP SEP 25 1 68,741
COPPER FUTURE (CMX) EXP DEC 25 8 (67,085)
COPPER FUTURE (CMX) EXP JUL 25 28 45,183
COPPER FUTURE (CMX) EXP MAY 25 4 22,084
COPPER FUTURE (CMX) EXP SEP 25 9 209,706
COPPER FUTURE (LME) EXP AUG 25 6 (38,899)
44
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
COPPER FUTURE (LME) EXP JUL 25 10 (23,342)
COPPER FUTURE (LME) EXP SEP 25 5 (12,620)
CORN FUTURE (CBT) EXP MAY 26 25 (7,282)
CORN FUTURE (CBT) EXP SEP 25 85 120,187
COTTON NO 2 FUTURE (NYB) EXP DEC 25 32 18,958
COTTON NO 2 FUTURE (NYB) EXP MAY 26 6 5,952
ECX EMISSION EXP MAR 26 6 16,428
ECX EMISSION FUTURE (EDX) EXP DEC 25 15 (88,821)
GAS OIL FUTURE (ICE) EXP APR 26 19 (56,713)
GAS OIL FUTURE (ICE) EXP DEC 26 8 (13,293)
GAS OIL FUTURE (ICE) EXP JUL 25 31 (406,802)
GAS OIL FUTURE (ICE) EXP MAY 26 10 32,932
GAS OIL FUTURE (ICE) EXP NOV 25 10 54,302
GAS OIL FUTURE (ICE) EXP OCT 25 19 (95,390)
GAS OIL FUTURE (IPE) EXP AUG 25 33 1,693
GASOLINE RBOB FUTURE (NYM EXP JUL 25 20 20,948
GASOLINE RBOB FUTURE (NYM) EXP APR 26 7 (25,611)
GASOLINE RBOB FUTURE (NYM) EXP AUG 25 7 (7,837)
GASOLINE RBOB FUTURE (NYM) EXP FEB 26 - (1,175)
GASOLINE RBOB FUTURE (NYM) EXP JAN 26 9 (3,699)
GASOLINE RBOB FUTURE (NYM) EXP MAR 25 11 2,522
GASOLINE RBOB FUTURE (NYM) EXP MAY 25 24 (91,033)
GASOLINE RBOB FUTURE (NYM) EXP NOV 25 13 (19,307)
GASOLINE RBOB FUTURE (NYM) EXP OCT 26 2 1,754
GASOLINE RBOB FUTURE (NYM) EXP SEP 26 2 (418)
GLOBEX NATURL GAS FUTURE (NYM) EXP AUG 25 11 22,053
GLOBEX NATURL GAS FUTURE (NYM) EXP JUL 25 1 (2,760)
GLOBEX NATURL GAS FUTURE (NYM) EXP SEP 25 15 27,957
GOLD 100 OZ FUTURE (CMX) EXP AUG 25 32 208,955
GOLD 100 OZ FUTURE (CMX) EXP DEC 25 39 (1,107,575)
GOLD 100 OZ FUTURE (CMX) EXP JUN 25 34 (809,588)
GOLD 100 OZ FUTURE (CMX) EXP MAR 25 94 59,206
GOLD 100 OZ FUTURE (CMX) EXP OCT 25 14 (538,244)
HEATING OIL FUTURE (NYM) EXP APR 26 7 39,787
HENRY HB LD1 (IFE) EXP FEB 27 1 922
HENRY HB LD1 (IFE) EXP JAN 27 1 922
HENRY HB LD1 (IFE) EXP MAR 27 1 922
HENRY HB LD1 FUT (IFE) EXP APR 27 1 922
HENRY HB LD1 FUT (IFE) EXP DEC 27 1 922
HENRY HB LD1 FUT (IFE) EXP MAY 27 1 922
HENRY HB LD1 FUT (IFE) EXP NOV 27 1 922
HENRY HB LD1 FUT (IFE) EXP OCT 27 1 922
HENRY HUB LD1 FUT (IFE) EXP AUG 27 1 922
HENRY HUB LD1 FUT (IFE) EXP JUL 27 1 922
HENRY HUB LD1 FUT (IFE) EXP JUN 27 1 922
HENRY HUB LD1 FUT (IFE) EXP SEP 27 1 922
IRON ORE 62% (SGX) EXP JAN 26 85 (19,465)
IRON ORE 62% (SGX) EXP JUL 25 85 (13,375)
IRON ORE 62% (SGX) EXP MAY 25 78 (40,365)
IRON ORE 62% (SGX) EXP NOV 25 53 14,280
IRON ORE 62% (SGX) EXP SEP 25 81 (20,130)
KC HRW WHEAT FUTURE (CBT) EXP DEC 25 45 29,370
KC HRW WHEAT FUTURE (CBT) EXP SEP 25 53 (72,844)
LEAD FUTURE (LME) EXP JAN 25 10 585
LEAD FUTURE (LME) EXP JAN 26 10 (39)
LEAD FUTURE (LME) EXP JUL 25 5 (930)
45
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
LEAD FUTURE (LME) EXP MAY 25 14 (25,364)
LEAD FUTURE (LME) EXP NOV 25 1 809
LEAD FUTURE (LME) EXP SEP 25 1 (1,007)
LEAN HOGS FUTURE (CME) EXP AUG 25 19 (67,043)
LEAN HOGS FUTURE (CME) EXP DEC 25 23 8,461
LEAN HOGS FUTURE (CME) EXP FEB 26 25 18,701
LEAN HOGS FUTURE (CME) EXP JUL 25 19 (35,818)
LEAN HOGS FUTURE (CME) EXP JUN 25 22 50,336
LEAN HOGS FUTURE (CME) EXP OCT 25 22 11,135
LIVE CATTLE FUTURE (CME) EXP AUG 25 13 66,587
LIVE CATTLE FUTURE (CME) EXP DEC 25 14 36,116
LIVE CATTLE FUTURE (CME) EXP FEB 26 16 (53,486)
LIVE CATTLE FUTURE (CME) EXP JUN 25 12 46,992
LIVE CATTLE FUTURE (CME) EXP OCT 25 16 118,209
LOW SU GASOIL G FUTURE (ICE) EXP DEC 25 2 28,945
LOW SU GASOIL G FUTURE (ICE) EXP FEB 26 22 57,776
LOW SU GASOIL G FUTURE (ICE) EXP JAN 26 46 102,043
LOW SU GASOIL G FUTURE (ICE) EXP SEP 25 22 65,577
MT BELV ETHAN 5DE FUTURE (NYM) EXP JAN 26 5 (1,859)
MT BELV ETHAN 5DE FUTURE (NYM) EXP MAR 26 1 (788)
NAT GAS EUR FUTURE (NYM) PUT AUG 22 003.400 ED 07/28/25 1 (4,120)
NAT GAS EUR FUTURE (NYM) PUT AUG 25 03.30 ED 07/28/25 1 (3,120)
NAT GAS EUR FUTURE JUN 25 PUT JUN 25 03.10 ED 05/27/25 3 (550)
NAT GAS EUR OPT FUTURE (NYM) JUL 25 PUT JUN 25 003.500 ED 06/25/25 3 (2,820)
NAT GAS EUR OPT FUTURE (NYM) PUT JUL 25 003.250 ED 07/28/25 10 (26,200)
NAT GAS EUR OPT FUTURE (NYM) PUT AUG 25 003.000 ED 08/26/25 13 (36,790)
NATURAL GAS FUTURE (ICE) EXP APR 25 10 (15,955)
NATURAL GAS FUTURE (ICE) EXP AUG 25 5 9,123
NATURAL GAS FUTURE (ICE) EXP DEC 25 10 19,083
NATURAL GAS FUTURE (ICE) EXP FEB 26 15 54,083
NATURAL GAS FUTURE (ICE) EXP JAN 26 10 6,018
NATURAL GAS FUTURE (ICE) EXP MAY 25 10 (66,692)
NATURAL GAS FUTURE (ICE) EXP NOV 25 10 (10,160)
NATURAL GAS FUTURE (ICE) EXP OCT 25 10 8,580
NATURAL GAS FUTURE (ICE) EXP SEP 25 10 17,471
NATURAL GAS FUTURE (NYM) EXP AUG 25 3 (16,779)
NATURAL GAS FUTURE (NYM) EXP DEC 25 48 (23,990)
NATURAL GAS FUTURE (NYM) EXP FEB 26 29 (57,816)
NATURAL GAS FUTURE (NYM) EXP JUN 25 51 (63,085)
NATURAL GAS FUTURE (NYM) EXP NOV 25 43 (135,101)
NATURAL GAS FUTURE (NYM) EXP SEP 25 38 132,205
NICKEL FUTURE (LME) EXP JAN 25 5 (17,334)
NICKEL FUTURE (LME) EXP JAN 26 7 (27)
NICKEL FUTURE (LME) EXP JUL 25 1 (20,331)
NICKEL FUTURE (LME) EXP MAY 25 3 -
NICKEL FUTURE (LME) EXP NOV 25 5 (3,839)
NICKEL FUTURE (LME) EXP SEP 25 2 (4,920)
NY HARB ULSD FUTURE (NYM) EXP APR 25 1 (11,573)
NY HARB ULSD FUTURE (NYM) EXP AUG 25 7 (27,761)
NY HARB ULSD FUTURE (NYM) EXP DEC 25 2 (83,847)
NY HARB ULSD FUTURE (NYM) EXP FEB 26 4 7,093
NY HARB ULSD FUTURE (NYM) EXP JAN 26 18 45,144
NY HARB ULSD FUTURE (NYM) EXP JUL 25 - 1,471
NY HARB ULSD FUTURE (NYM) EXP MAY 25 8 (4,572)
NY HARB ULSD FUTURE (NYM) EXP NOV 25 13 (7,776)
NY HARB ULSD FUTURE (NYM) EXP OCT 25 5 (23,718)
46
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
NY HARB ULSD FUTURE (NYM) EXP SEP 25 6 29,532
PALLADIUM FUTURE (NYM) EXP DEC 25 3 28,360
PALLADIUM FUTURE (NYM) EXP JUN 25 2 (1,518)
PALLADIUM FUTURE (NYM) EXP SEP 25 2 7,365
PLATINUM FUTURE (NYM) EXP JAN 26 8 34,593
PLATINUM FUTURE (NYM) EXP JUL 25 1 (21,163)
PLATINUM FUTURE (NYM) EXP OCT 25 3 39,052
PRI ALUMINUM FUTURE (LME) EXP JUL 25 24 (6,847)
PRI ALUMINUM FUTURE (LME) EXP MAY 25 7 (12,967)
PRI ALUMINUM FUTURE (LME) EXP NOV 25 10 (12,181)
PRI ALUMINUM FUTURE (LME) EXP SEP 25 17 (50,976)
SILVER FUTURE (CMX) EXP DEC 25 1 31,106
SILVER FUTURE (CMX) EXP JUL 25 15 103,941
SILVER FUTURE (CMX) EXP MAY 25 15 52,414
SILVER FUTURE (CMX) EXP SEP 25 9 163,211
SNG KEROS V SNG GA FUT (ISF) EXP FEB 25 5 (2,591)
SNG KEROS VS SNG GASOIL (ISF) EXP NOV 25 9 1,629
SNG KEROS VS SNG GASOIL EXP DEC 24 4 8,624
SOYBEAN FUTURE (CBT) EXP JAN 26 4 37,006
SOYBEAN FUTURE (CBT) EXP MAY 26 6 (27,886)
SOYBEAN MEAL FUTURE (CBT) EXP DEC 25 59 (138,161)
SOYBEAN MEAL FUTURE (CBT) EXP JAN 26 56 284,402
SOYBEAN MEAL FUTURE (CBT) EXP MAY 26 1 (45,078)
SOYBEAN OIL FUTURE (CBT) EXP DEC 25 13 (27,287)
SOYBEAN OIL FUTURE (CBT) EXP JAN 26 2 460
SOYBEAN OIL FUTURE (CBT) EXP MAY 26 7 (534)
SUGAR #11 WORLD FUTURE (NYB) EXP MAY 26 32 15,757
SUGAR #11 WORLD FUTURE (NYB) EXP OCT 25 34 20,488
TTF NAT GAS F FUTURE (EDX) EXP DEC 25 17 4,046
TTF NAT GAS F FUTURE (EDX) EXP NOV 25 7 (8,642)
TTF NAT GAS F FUTURE (EDX) EXP OCT 25 12 17,080
UK NATURAL GAS FU FUTURE (ICE) EXP JUN 25 5 (2,767)
US 10YR NOTE FUTURE (CBT) EXP DEC 25 90 (80,292)
US 10YR NOTE FUTURE (CBT) EXP JUN 25 6 226,293
US 10YR TREAS NTS FUTURE (CBT) EXP SEP 25 72 (149,192)
US 10YR ULTRA FUTURE (CBT) EXP DEC 25 50 (76,722)
US 10YR ULTRA FUTURE (CBT) EXP JUN 25 16 12,711
US 10YR ULTRA FUTURE (CBT) EXP SEP 25 41 (34,688)
US 2YR NOTE FUTURE (CBT) EXP DEC 25 562 107,631
US 2YR NOTE FUTURE (CBT) EXP JUN 25 393 12,882
US 2YR NOTE FUTURE (CBT) EXP SEP 25 520 196,869
US 5YR NOTE FUTURE (CBT) EXP DEC 25 170 (41,452)
US 5YR TREAS NTS FUTURE (CBT) EXP JUN 25 19 8,308
US 5YR TREAS NTS FUTURE (CBT) EXP SEP 25 90 (60,753)
US TREAS BD FUTURE (CBT) EXP DEC 25 37 (82,181)
US TREAS BD FUTURE (CBT) EXP JUN 25 44 171,111
US TREAS BD FUTURE (CBT) EXP SEP 25 46 (117,509)
US ULTRA BOND (CBT) EXP DEC 25 12 (1,221)
US ULTRA BOND (CBT) EXP JUN 25 5 11,607
US ULTRA BOND (CBT) EXP SEP 25 2 4,335
WHEAT FUTURE (CBT) EXP DEC 25 95 125,482
WHEAT FUTURE (CBT) EXP SEP 25 90 89,641
WTI CRUDE FUTURE (ICE) EXP AUG 25 18 (114,749)
WTI CRUDE FUTURE (ICE) EXP FEB 26 15 (19,235)
WTI CRUDE FUTURE (ICE) EXP JAN 26 15 (27,666)
WTI CRUDE FUTURE (ICE) EXP SEP 25 32 (90,325)
47
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4i - Schedule of Assets (Acquired and Disposed of Within Year)
December 31, 2025
Identity of issue, borrower, lessor, or similar party, including maturity date, Proceeds of
rate of interest, collateral, par or maturity value Shares / Par Value Dispositions
WTI CRUDE FUTURE (NYM) EXP JAN CALL NOV 25 072.000 ED 11/17/25 5 (961)
WTI CRUDE FUTURE (NYM) EXP JAN PUT NOV 25 055.000 ED 11/17/25 5 6,439
WTI CRUDE FUTURE (NYM) JUN 25 PUT JUN 25 066.000 ED 05/15/25 1 2,810
WTI CRUDE FUTURE (NYM) JUN 26 PUT JUN 18 058.000 ED 05/14/26 6 26,296
WTI CRUDE FUTURE JUN 25 CALL JUN 26 66.00 ED 05/14/26 6 (17,453)
ZINC FUTURE (LME) EXP JAN 25 5 (4,616)
ZINC FUTURE (LME) EXP JAN 26 7 (27)
ZINC FUTURE (LME) EXP JUL 25 11 (25,124)
ZINC FUTURE (LME) EXP MAY 25 2 (7,383)
ZINC FUTURE (LME) EXP NOV 25 2 9,504
ZINC FUTURE (LME) EXP SEP 25 9 (3,752)
Total Derivatives $ (2,349,531)
Total Acquired and Disposed of Within the Year $ 16,947,850,864
Note: Par value is reflected in the underlying currency of the security, where applicable.
48
THE GOLDMAN SACHS 401(k) PLAN
PLAN NUMBER: 001 / EIN: 13-4019460
Schedule H, Line 4j - Schedule of Reportable Transactions
December 31, 2025
Identity of issue, borrower, lessor or
similar party
Purchase price Number of transactions (purchases) Selling price Number of transactions (sales) Cost Current value
of asset on transaction date
Net gain or (loss)
Series of Transactions
DREYFUS INS RSRV PR MONEY 6546 $ - - $ 1,119,796,972 1,619 $ 1,119,796,972 $ 1,119,796,972 $ -
DREYFUS INS RSRV PR MONEY 6546 $ 1,108,817,799 1,465 $ - - $ - $ 1,108,817,799 $ -
49
SIGNATURES
The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Administrative Committee (or other persons who administer the employee benefit plan) has duly caused the annual report to be signed on its behalf by the undersigned hereunto duly authorized.
THE GOLDMAN SACHS 401(k) PLAN
Members of the Administrative Committee
By: /s/ Nita Birla
Name: Nita Birla
By: /s/ Katie Gulasey
Name: Katie Gulasey
By: /s/ Doug Naumann
Name: Doug Naumann
Date: June 12, 2026
INDEX TO EXHIBITS
Exhibit No. Description
23 Consent of PricewaterhouseCoopers LLP, Independent Registered Public Accounting Firm
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