AN INVESTMENT IN A FUND IS NOT A BANK DEPOSIT AND IS NOT INSURED BY THE FEDERAL DEPOSIT INSURANCE CORPORATION OR ANY OTHER GOVERNMENT AGENCY. AN INVESTMENT IN A FUND INVOLVES INVESTMENT RISKS, AND YOU MAY LOSE MONEY IN A FUND. |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses |
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Total Annual Fund Operating Expenses |
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Fee Waiver1 |
( |
Total Annual Fund Operating Expenses After Fee Waiver |
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1 Year |
3 Years |
5 Years |
10 Years |
$ |
$ |
$ |
$ |
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1 Year |
Since Inception |
Inception Date | |
Goldman Sachs MarketBeta Emerging Markets Equity ETF |
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Returns Before Taxes |
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Returns After Taxes on Distributions |
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Returns After Taxes on Distributions and Sale of Fund Shares |
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Solactive GBS Emerging Markets Large & Mid Cap Index |
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MSCI Emerging Markets Index (Net, USD, Unhedged) |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses |
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Total Annual Fund Operating Expenses |
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Fee Waiver1 |
( |
Total Annual Fund Operating Expenses After Fee Waiver |
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1 Year |
3 Years |
5 Years |
10 Years |
$ |
$ |
$ |
$ |
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1 Year |
Since Inception |
Inception Date | |
Goldman Sachs MarketBeta International Equity ETF |
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Returns Before Taxes |
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Returns After Taxes on Distributions |
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Returns After Taxes on Distributions and Sale of Fund Shares |
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Solactive GBS Developed Markets ex North America Large & Mid Cap Index |
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MSCI World ex USA Index |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses |
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Total Annual Fund Operating Expenses |
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1 Year |
3 Years |
5 Years |
10 Years |
$ |
$ |
$ |
$ |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses |
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Total Annual Fund Operating Expenses |
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1 Year |
3 Years |
5 Years |
10 Years |
$ |
$ |
$ |
$ |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses |
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Total Annual Fund Operating Expenses |
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Fee Waiver1 |
( |
Total Annual Fund Operating Expenses After Fee Waiver |
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1 Year |
3 Years |
5 Years |
10 Years |
$ |
$ |
$ |
$ |
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1 Year |
Since Inception |
Inception Date | |
Goldman Sachs MarketBeta U.S. Equity ETF |
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Returns Before Taxes |
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Returns After Taxes on Distributions |
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Returns After Taxes on Distributions and Sale of Fund Shares |
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Solactive GBS United States Large & Mid Cap Index |
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S&P 500® Index |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
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Management Fee |
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Distribution and Service (12b-1) Fee |
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Other Expenses1 |
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Total Annual Fund Operating Expenses |
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1 Year |
3 Years |
$ |
$ |
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Portfolio Management |
Buying and Selling Fund Shares |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
Tax Information |
Payments to Broker-Dealers and Other Financial Intermediaries |
INVESTMENT OBJECTIVE |
PRINCIPAL INVESTMENT STRATEGIES |
ADDITIONAL BENCHMARK INFORMATION |
OTHER INVESTMENT PRACTICES AND SECURITIES |
10 Percent of total assets (including securities lending collateral) (italic type) 10 Percent of net assets (excluding borrowings for investment purposes) (roman type) • No specific percentage limitation on usage; limited only by the objective and strategies of the Fund. A Fund may only invest up to 20% of its assets in securities and other instruments not included in its underlying index. |
MarketBeta® Emerging Markets Equity ETF |
MarketBeta® International Equity ETF |
MarketBeta® Russell 1000 Growth Equity ETF |
MarketBeta® Russell 1000 Value Equity ETF |
MarketBeta® U.S. Equity ETF |
MarketBeta® International Small Cap Equity ETF |
Investment Practices |
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Borrowings |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
Derivatives, including futures, options and swaps |
• |
• |
• |
• |
• |
• |
Foreign Currency Transactions (including forward contracts) |
• |
• |
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• |
Illiquid Investments* |
15 |
15 |
15 |
15 |
15 |
15 |
Initial Public Offerings (“IPO”) |
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• |
• |
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Investment Company Securities (including ETFs)** |
10 |
10 |
10 |
10 |
10 |
10 |
Preferred Stock, Warrants and Stock Purchase Rights |
• |
• |
• |
• |
• |
• |
Repurchase Agreements |
• |
• |
• |
• |
• |
• |
Securities Lending |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
33 1∕3 |
10 Percent of net assets (excluding borrowings for investment purposes) (roman type) • No specific percentage limitation on usage; limited only by the objective and strategies of the Fund. The Fund may only invest up to 20% of its assets in securities and other instruments not index. |
MarketBeta® Emerging Markets Equity ETF |
MarketBeta® International Equity ETF |
MarketBeta® Russell 1000 Growth Equity ETF |
MarketBeta® Russell 1000 Value Equity ETF |
MarketBeta® U.S. Equity ETF |
MarketBeta® International Small Cap Equity ETF |
Investment Securities |
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Emerging Country Securities |
• |
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Equity Investments |
• |
• |
• |
• |
• |
• |
Foreign Securities |
• |
• |
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• |
Real Estate Investment Trusts (“REITs”) |
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• |
• |
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✓ Principal Risk • Additional Risk |
MarketBeta® Emerging Markets Equity ETF |
MarketBeta® International Equity ETF |
MarketBeta® Russell 1000 Growth Equity ETF |
MarketBeta® Russell 1000 Value Equity ETF |
MarketBeta® U.S. Equity ETF |
MarketBeta® International Small Cap Equity ETF |
Absence of Active Market Risk |
• |
• |
• |
• |
• |
• |
Asian Investment Risk |
• |
• |
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|
• |
Authorized Participant Concentration Risk |
• |
• |
• |
• |
• |
• |
Calculation Methodology Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Cash Transactions Risk |
✓ |
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Cybersecurity Risk |
• |
• |
• |
• |
• |
• |
Depository Receipts Risk |
✓ |
✓ |
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|
|
✓ |
Derivatives Risk |
• |
• |
• |
• |
• |
• |
Diversification Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Emerging Countries Risk |
✓ |
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European Investment Risk |
|
✓ |
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|
✓ |
Expenses Risk |
✓ |
• |
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|
|
• |
Foreign Custody Risk |
• |
• |
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|
• |
Foreign Risk |
✓ |
✓ |
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✓ |
Geographic Risk |
✓ |
✓ |
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✓ |
✓ |
Greater China Risk |
✓ |
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Index Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Industry Concentration Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Initial Public Offering (“IPO”) Risk |
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|
• |
• |
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Investment Style Risk |
|
|
✓ |
✓ |
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Japan Risk |
|
✓ |
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|
✓ |
Large Shareholder Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Liquidity Risk |
• |
• |
• |
• |
• |
• |
Market Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Market Trading Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Mid-Cap Risk |
|
|
✓ |
✓ |
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Mid-Cap and Small-Cap Risk |
✓ |
✓ |
|
|
✓ |
✓ |
REIT Risk |
|
|
• |
• |
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|
Secondary Listing Risk |
• |
• |
• |
• |
• |
• |
Seed Investor Risk |
|
|
✓ |
✓ |
|
✓ |
Stock Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Tracking Error Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
Trading Issues Risk |
• |
• |
• |
• |
• |
• |
Valuation Risk |
✓ |
✓ |
✓ |
✓ |
✓ |
✓ |
INVESTMENT ADVISER |
Investment Adviser |
Fund |
Goldman Sachs Asset Management, L.P. (“GSAM”) 200 West Street New York, NY 10282 |
MarketBeta® Emerging Markets Equity ETF MarketBeta® International Equity ETF MarketBeta® Russell 1000 Growth Equity ETF MarketBeta® Russell 1000 Value Equity ETF MarketBeta® U.S. Equity ETF MarketBeta® International Small Cap Equity ETF |
MANAGEMENT FEE AND OTHER EXPENSES |
Fund |
Fee as a Percentage of Average Daily Net Assets |
MarketBeta® Emerging Markets Equity ETF |
0.45% |
MarketBeta® International Equity ETF |
0.25% |
MarketBeta® Russell 1000 Growth Equity ETF |
0.12% |
MarketBeta® Russell 1000 Value Equity ETF |
0.12% |
MarketBeta® U.S. Equity ETF |
0.09% |
MarketBeta® International Small Cap Equity ETF |
0.30% |
FUND MANAGER |
Name and Title |
Fund Responsibility |
Primarily Responsible |
Five Year Employment History |
Raj Garigipati Managing Director |
Portfolio Manager— |
Since |
Mr. Garigipati joined the ETF Portfolio Management team in 2015. He is the global head of the ETF Portfolio Management team within the Quantitative Equity Solutions team, a role he has held since 2016. |
MarketBeta® Emerging Markets Equity ETF |
2020 | ||
MarketBeta® International Equity ETF |
2020 | ||
MarketBeta® Russell 1000 Growth Equity ETF |
2023 | ||
MarketBeta® Russell 1000 Value Equity ETF |
2023 | ||
MarketBeta® U.S. Equity ETF |
2020 | ||
MarketBeta® International Small Cap Equity ETF |
Inception | ||
Gauri Sekaria Vice President |
Portfolio Manager— |
Since |
Ms. Sekaria rejoined the Investment Adviser in 2019. She is a member of the ETF Portfolio Management team within the Quantitative Equity Solutions team. Ms. Sekaria originally joined the Investment Adviser in 2005. |
MarketBeta® Emerging Markets Equity ETF |
2024 | ||
MarketBeta® International Equity ETF |
2024 | ||
MarketBeta® Russell 1000 Growth Equity ETF |
2024 | ||
MarketBeta® Russell 1000 Value Equity ETF |
2024 | ||
MarketBeta® U.S. Equity ETF |
2024 | ||
MarketBeta® International Small Cap Equity ETF |
Inception |
DISTRIBUTOR |
TRANSFER AGENT, CUSTODIAN AND PROVIDER OF ADMINISTRATIVE SERVICES |
ACTIVITIES OF GOLDMAN SACHS AND ITS AFFILIATES AND OTHER ACCOUNTS MANAGED BY GOLDMAN SACHS |
Buying and Selling Shares |
Payments to Broker-Dealers and Other Financial Intermediaries |
Net Asset Value |
NAV = |
(Value of Assets of the Fund) – (Liabilities of the Fund) |
|
Number of Outstanding Shares of the Fund |
Book Entry |
Creations and Redemptions |
DISTRIBUTIONS |
TAXES ON CREATIONS AND REDEMPTIONS OF CREATION UNITS |
SALES OF FUND SHARES |
OTHER INFORMATION |
PREMIUM/DISCOUNT INFORMATION |
CONTINUOUS OFFERING |
DISTRIBUTION AND SERVICE PLAN |
A. General Portfolio Risks |
B. Other Portfolio Risks |
C. Portfolio Securities and Techniques |
|
MarketBeta® Emerging Markets Equity ETF | ||||
|
For the Fiscal Year Ended August 31, |
For the Period May 12, 2020* to August 31, 2020 | |||
|
2024 |
2023 |
2022 |
2021 | |
Per Share Operating Performance: | |||||
Net asset value, beginning of period |
$40.81 |
$41.23 |
$55.68 |
$48.15 |
$39.60 |
Net investment income(a) |
1.06 |
0.96 |
1.35 (b) |
0.89 |
0.49 |
Net realized and unrealized gain (loss) |
4.35 |
(0.34 ) |
(11.93 ) |
8.14 |
8.06 |
Total from investment operations |
5.41 |
0.62 |
(10.58 ) |
9.03 |
8.55 |
Distributions to shareholders from net investment income |
(0.49 ) |
(1.04 ) |
(3.87 ) |
(1.50 ) |
– |
Net asset value, end of period |
$45.73 |
$40.81 |
$41.23 |
$55.68 |
$48.15 |
Market price, end of period |
$45.73 |
$40.81 |
$41.16 |
$55.72 |
$48.36 |
Total Return at Net Asset Value(c) |
13.50 % |
1.61 % |
(20.01 )% |
19.35 % |
21.54 % |
Net assets, end of period (in 000’s) |
$116,609 |
$26,524 |
$32,981 |
$36,191 |
$38,517 |
Ratio of net expenses to average net assets |
0.36 % |
0.36 % |
0.36 % |
0.36 % |
0.36 %(d) |
Ratio of total expenses to average net assets |
0.45 % |
0.45 % |
0.45 % |
0.45 % |
0.45 %(d) |
Ratio of net investment income to average net assets |
2.47 % |
2.40 % |
2.87 %(b) |
1.63 % |
3.60 %(d) |
Portfolio turnover rate(e) |
7 % |
13 % |
18 % |
21 % |
23 % |
|
MarketBeta® International Equity ETF | ||||
|
For the Fiscal Year Ended August 31, |
For the Period May 12, 2020* to August 31, 2020 | |||
|
2024 |
2023 |
2022 |
2021 | |
Per Share Operating Performance: | |||||
Net asset value, beginning of period |
$50.87 |
$44.63 |
$57.61 |
$46.79 |
$40.14 |
Net investment income(a) |
1.44 |
1.45 |
1.63 |
1.28 |
0.30 |
Net realized and unrealized gain (loss) |
8.22 |
6.17 |
(12.83 ) |
10.84 |
6.35 |
Total from investment operations |
9.66 |
7.62 |
(11.20 ) |
12.12 |
6.65 |
Distributions to shareholders from net investment income |
(1.27 ) |
(1.38 ) |
(1.78 ) |
(1.30 ) |
– |
Net asset value, end of period |
$59.26 |
$50.87 |
$44.63 |
$57.61 |
$46.79 |
Market price, end of period |
$59.31 |
$50.84 |
$44.33 |
$57.80 |
$46.82 |
Total Return at Net Asset Value(b) |
19.21 % |
17.22 % |
(19.80 )% |
26.20 % |
16.57 % |
Net assets, end of period (in 000’s) |
$888,933 |
$437,479 |
$357,050 |
$357,192 |
$280,723 |
Ratio of net expenses to average net assets |
0.20 % |
0.20 % |
0.20 % |
0.20 % |
0.20 %(c) |
Ratio of total expenses to average net assets |
0.25 % |
0.25 % |
0.25 % |
0.25 % |
0.25 %(c) |
Ratio of net investment income to average net assets |
2.66 % |
2.96 % |
3.15 % |
2.41 % |
2.15 %(c) |
Portfolio turnover rate(d) |
4 % |
4 % |
7 % |
5 % |
1 % |
|
MarketBeta® Russell 1000 Growth Equity ETF |
|
For the Period November 28, 2023* to August 31, 2024 |
Per Share Operating Performance: | |
Net asset value, beginning of period |
$40.15 |
Net investment income(a) |
0.24 |
Net realized and unrealized gain |
9.89 |
Total from investment operations |
10.13 |
Distributions to shareholders from net investment income |
(0.21 ) |
Net asset value, end of period |
$50.07 |
Market price, end of period |
$50.05 |
Total Return at Net Asset Value(b) |
25.26 % |
Net assets, end of period (in 000’s) |
$290,406 |
Ratio of net expenses to average net assets |
0.12 %(c) |
Ratio of net investment income to average net assets |
0.69 %(c) |
Portfolio turnover rate(d) |
29 % |
|
MarketBeta® Russell 1000 Value Equity ETF |
|
For the Period November 28, 2023* to August 31, 2024 |
Per Share Operating Performance: | |
Net asset value, beginning of period |
$39.86 |
Net investment income(a) |
0.69 |
Net realized and unrealized gain |
8.31 |
Total from investment operations |
9.00 |
Distributions to shareholders from net investment income |
(0.47 ) |
Net asset value, end of period |
$48.39 |
Market price, end of period |
$48.40 |
Total Return at Net Asset Value(b) |
22.67 % |
Net assets, end of period (in 000’s) |
$514,178 |
Ratio of net expenses to average net assets |
0.12 %(c) |
Ratio of net investment income to average net assets |
2.04 %(c) |
Portfolio turnover rate(d) |
18 % |
|
MarketBeta® U.S. Equity ETF | ||||
|
For the Fiscal Year Ended August 31, |
For the Period May 12, 2020* to August 31, 2020 | |||
|
2024 |
2023 |
2022 |
2021 | |
Per Share Operating Performance: | |||||
Net asset value, beginning of period |
$61.63 |
$53.96 |
$63.07 |
$48.62 |
$39.20 |
Net investment income(a) |
0.95 |
0.89 |
0.82 |
0.74 |
0.22 |
Net realized and unrealized gain (loss) |
15.76 |
7.67 |
(9.20 ) |
14.46 |
9.20 |
Total from investment operations |
16.71 |
8.56 |
(8.38 ) |
15.20 |
9.42 |
Distributions to shareholders from net investment income |
(0.89 ) |
(0.89 ) |
(0.73 ) |
(0.75 ) |
– |
Net asset value, end of period |
$77.45 |
$61.63 |
$53.96 |
$63.07 |
$48.62 |
Market price, end of period |
$77.45 |
$61.68 |
$53.97 |
$63.09 |
$48.69 |
Total Return at Net Asset Value(b) |
27.33 % |
16.12 % |
(13.41 )% |
31.60 % |
24.03 % |
Net assets, end of period (in 000’s) |
$2,381,637 |
$1,016,937 |
$ 685,236 |
$ 428,861 |
$257,663 |
Ratio of net expenses to average net assets |
0.07 % |
0.07 % |
0.07 % |
0.07 % |
0.07 %(c) |
Ratio of total expenses to average net assets |
0.09 % |
0.09 % |
0.09 % |
0.09 % |
0.09 %(c) |
Ratio of net investment income to average net assets |
1.39 % |
1.59 % |
1.40 % |
1.36 % |
1.62 %(c) |
Portfolio turnover rate(d) |
3 % |
3 % |
3 % |
4 % |
1 % |
FOR MORE INFORMATION |
|
Shareholders/Authorized Participants |
Financial Advisors |
◼ By telephone: |
1-800-621-2550 |
1-800-292-4726 |
◼ By mail: |
Goldman Sachs Funds 71 South Wacker Drive, Suite 1200 Chicago, IL 60606 |
|
◼ On the Internet: |
SEC EDGAR database – http://www.sec.gov |
|