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- N-14/A Registration statement for investment companies business combination
- 99.17 EX-99.17.B: Prospectus
- 99.17 EX-99.17.C: Prospectus
- 99.17 EX-99.17.D: Prospectus
- 99.17 EX-99.17.E: Supplement
- 99.17 EX-99.17.F: Prospectus
- 99.17 EX-99.17.G: Prospectus
- 99.17 EX-99.17.H: Prospectus
- 99.17 EX-99.17.I: Supplement
- 99.17 EX-99.17.J: Prospectus
- 99.17 EX-99.17.K: Supplement
- 99.17 EX-99.17.L: Supplement
- 99.17 EX-99.17.M: Prospectus
- 99.17 EX-99.17.N: Supplement
- 99.17 EX-99.17.O: Supplement
- 99.17 EX-99.17.P: Prospectus
- 99.17 EX-99.17.Q: Supplement
- 99.17 EX-99.17.R: Prospectus
- 99.17 EX-99.17.S: Supplement
- 99.17 EX-99.17.T: Supplement
- 99.17 EX-99.17.U: Prospectus
- 99.17 EX-99.17.V: Prospectus
- 99.17 EX-99.17.W: Prospectus
- 99.17 EX-99.17.X: Prospectus
- 99.17 EX-99.17.Y: Prospectus
- 99.17 EX-99.17.Z: Supplement
- 99.17 EX-99.17.AA: Prospectus
- 99.17 EX-99.17.BB: Prospectus
- 99.17 EX-99.17.CC: Prospectus
- 99.17 EX-99.17.DD: Prospectus
- 99.17 EX-99.17.EE: Prospectus
- 99.17 EX-99.17.FF: Prospectus
- 99.17 EX-99.17.GG: Prospectus
- 99.17 EX-99.17.HH: Prospectus
- 99.17 EX-99.17.II: Supplement
- 99.17 EX-99.17.JJ: Supplement
- 99.17 EX-99.17.KK: Statement of Additional Information
- 99.17 EX-99.17.LL: Statement of Additional Information
- 99.17 EX-99.17.MM: Statement of Additional Information
- 99.17 EX-99.17.NN: Statement of Additional Information
- 99.17 EX-99.17.OO: Statement of Additional Information
- 99.17 EX-99.17.PP: Statement of Additional Information
- 99.17 EX-99.17.QQ: Statement of Additional Information
- 99.17 EX-99.17.RR: Statement of Additional Information
- 99.17 EX-99.17.SS: Annual Report to Shareholders
- 99.17 EX-99.17.TT: Annual Report to Shareholders
- 99.17 EX-99.17.UU: Annual Report to Shareholders
- 99.17 EX-99.17.VV: Annual Report to Shareholders
- 99.17 EX-99.17.WW: Annual Report to Shareholders
- 99.17 EX-99.17.XX: Annual Report to Shareholders
- 99.17 EX-99.17.YY: Annual Report to Shareholders
- 99.17 EX-99.17.ZZ: Annual Report to Shareholders
- 31 Jan 07 N-14/A Registration statement for investment companies business combination (amended)
- 24 Jan 07 N-14 Registration statement for investment companies business combination
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24 Jan 07 N-14/A Registration statement for investment companies business combination (amended)
- 24 Jan 07 N-14/A Registration statement for investment companies business combination (amended)
- 26 Sep 13 Registration statement for investment companies business combination
- 13 Dec 11 Registration statement for investment companies business combination
- 8 Feb 07 Registration statement for investment companies business combination
- 24 Jan 07 Registration statement for investment companies business combination (amended)
Goldman Sachs Trust (the “Trust”)
Goldman Sachs Asset Allocation Portfolios
Class A, B, C, Service and Institutional Shares of
Supplement dated September 8, 2006 to the
Goldman Sachs Specialty Funds
Class A, B, C, Service and Institutional Shares of
Supplement dated September 8, 2006 to the
Goldman Sachs Structured U.S. Equity Flex Fund
Class A, C and Institutional Shares
Supplement dated September 8, 2006 to the
Goldman Sachs Domestic Equity Funds
Class A, B, C, Service and Institutional Shares of
Supplement dated September 8, 2006 to the
Effective November 10, 2006, the Goldman Sachs High Yield and High Yield Municipal Funds will charge a 2% redemption fee on the redemption of shares (including by exchange) held for 60 calendar days or less. Prior to November 10, 2006 a redemption fee was imposed on the redemption of shares (including by exchange) of the Goldman Sachs High Yield Fund held for 30 calendar days or less and no redemption fee was imposed on the High Yield Municipal Fund. Accordingly, the first sentence of the second full paragraph under “Restrictions on Excessive Trading Practices — Policies and Procedures on Excessive Trading Practices” in the Shareholder Guide of the Prospectuses is hereby revised as follows:
To deter excessive shareholder trading, the International Equity Funds and certain Fixed Income Funds (which are offered in separate prospectuses) impose a redemption fee on redemptions made within 30 calendar days of purchase (60 calendar days with respect to Goldman Sachs High Yield Fund and High Yield Municipal Fund) subject to certain exceptions.
REDFEESTCK 9-06