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- S-3ASR Automatic shelf registration
- 1.1 Form of Amended and Restated Distribution Agreement - Series B
- 1.2 Form of Amended and Restricted Distribution Agreement - Series D
- 1.4 Form of Underwriting Agreement - 1999 Indenture
- 1.5 Form of Underwriting Agreement - 2008 Indenture
- 1.10 Form of Underwriting Agreement for Preferred Stock and Depositary Shares
- 1.12 Form of Amended and Restated Distribution Agreement - Series a
- 1.13 Form of Amended and Restated Distribution Agreement - Series E
- 4.40 Form of Floating Rate Senior Debt - 2008 Indenture
- 4.42 Form of Fixed Rate Senior Debt - 2008 Indenture
- 4.45 Form of Floating Rate Medium -Term Note, Series D
- 4.47 Form of Fixed Rate Medium-term Note, Series D
- 4.55 Specimen Master Medium-term Note, Series D
- 4.70 Form of Floating Rate Medium-term Note, Series E
- 4.72 Form of Fixed Rate Medium-term Note, Series E
- 4.75 Specimen Master Medium-term Note, Series E
- 5.1 Opinion of Richards, Layton & Finger, P. A.
- 5.2 Opinion of Sullivan & Cromwell LLP - Omnibus
- 5.3 Opinion of Sullivan & Cromwell LLP - Guarantees of Specified CDS
- 5.4 Opinion of Sullivan & Cromwell LLP - Guarantees of Notes and Deposit Notes
- 5.5 Opinion of Sidley Austin LLP
- 8.1 Tax Opinion of Sullivan & Cromwell LLP
- 8.2 Tax Opinion of Sidley Austin LLP
- 15.1 Letter Re Unaudited Interim Financial Information
- 23.1 Consent of Independent Registered Public Accounting Firm
- 25.1 Statement of Eligibility - GSG 1999 Indenture
- 25.2 Statement of Eligibility - GSG 2008 Indenture
- 25.3 Statement of Eligibility - GSG Sub Indenture
- 25.4 Statement of Eligibility - GSG Warrant Indenture
- 25.5 Statement of Eligibility - GS Cap I Trust Agreement
- 25.6 Statement of Eligibility - GS Cap II Trust Agreement
- 25.7 Statement of Eligibility - GS Cap III Trust Agreement
- 25.8 Statement of Eligibility - GS Cap IV Trust Agreement
- 25.9 Statement of Eligibility - GS Cap V Trust Agreement
- 25.10 Statement of Eligibility - GS Cap VI Trust Agreement
- 25.11 Statement of Eligibility - GS Cap I Guarantee
- 25.12 Statement of Eligibility - GS Cap II Guarantee
- 25.13 Statement of Eligibility - GS Cap III Guarantee
- 25.14 Statement of Eligibility - GS Cap IV Guarantee
- 25.15 Statement of Eligibility - GS Cap V Guarantee
- 25.16 Statement of Eligibility - GS Cap VI Guarantee
- 25.17 Statement of Eligibility - GSFC 2007 Indenture
- 25.18 Statement of Eligibility - GSFC 2008 Indenture
- 25.19 Statement of Eligibility - Murray I Trust Agreement
- 25.20 Statement of Eligibility - Vesey I Trust Agreement
- 25.21 Statement of Eligibility - Murray I Guarantee
- 25.22 Statement of Eligibility - Vesey I Guarantee
Exhibit 15.1
September 15, 2014
Securities and Exchange Commission
100 F Street N.E.
Washington, D.C. 20549
Commissioners:
We are aware that our reports dated May 8, 2014 and August 6, 2014 on our reviews of the condensed consolidated statement of financial condition of The Goldman Sachs Group, Inc. and subsidiaries (the “Company”) as of March 31, 2014, the related condensed consolidated statements of earnings for the three months ended March 31, 2014 and 2013, the condensed consolidated statement of changes in shareholders’ equity for the three months ended March 31, 2014, the condensed consolidated statements of cash flows for the three months ended March 31, 2014 and 2013, and the condensed consolidated statements of comprehensive income for the three months ended March 31, 2014 and 2013 and the condensed consolidated statement of financial condition of the Company as of June 30, 2014, the related condensed consolidated statements of earnings for the three and six months ended June 30, 2014 and 2013, the condensed consolidated statement of changes in shareholders’ equity for the six months ended June 30, 2014, the condensed consolidated statements of cash flows for the six months ended June 30, 2014 and 2013, and the condensed consolidated statements of comprehensive income for the three and six months ended June 30, 2014 and 2013, are incorporated by reference in the Company’s Registration Statement on Form S-3 dated September 15, 2014 (the “Registration Statement”). Pursuant to Rule 436(c) under the Securities Act of 1933, such reports should not be considered a part of the Registration Statement, and are not reports within the meaning of Sections 7 and 11 of that Act.
Very truly yours,
/s/ PricewaterhouseCoopers LLP