GERIX
Goldman Sachs Emerging Markets Equity Insights Fund
Goldman Sachs Trust

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
371
Top-10 weight
38.41%
Effective holdings ?
27
Crowding ?
365.1

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TSMC 7,784,000 $540.38M 15.47%
2 SAMSUNG ELECTRONICS CO LTD 1,681,755 $253.25M 7.25%
3 SK HYNIX INC 176,506 $157.40M 4.51%
4 TENCENT HOLDINGS LTD 1,756,400 $106.67M 3.05%
5 BABA-W 3,598,700 $59.31M 1.70%
6 HDFC BANK LTD 6,196,323 $50.68M 1.45%
7 GRUPO F BANORT-O 4,106,752 $44.59M 1.28%
8 AXIA ENERGIA 3,329,500 $41.72M 1.19%
9 PETROBRAS-PREF 4,095,100 $40.59M 1.16%
10 BHARTI AIRTEL LIMITED 1,805,907 $36.10M 1.03%
11 PKN ORLEN 923,896 $33.96M 0.97%
12 KB FINANCIAL GRO 309,593 $33.90M 0.97%
13 ACCTON TECH 460,000 $33.69M 0.96%
14 GEELY AUTOMOBILE 11,374,000 $33.25M 0.95%
15 DELTA ELEC 470,000 $32.96M 0.94%
16 JD-SW 2,114,550 $32.04M 0.92%
17 Receive CONTEMPORARY A-A Pay Overnight Rate -1 497,300 $31.93M 0.91%
18 GOLDMAN SACHS TRUST CENTRAL GOVERNME 31,210,075 $31.21M 0.89%
19 SAMSUNG HEAVY IN 1,386,509 $30.54M 0.87%
20 CHINA HONGQIAO 7,001,000 $29.64M 0.85%
21 Vale S.A. SPONS ADS REPR 1 COM NPV VALE US 1,806,200 $29.55M 0.85%
22 NASPERS NPV NPN 512,728 $27.76M 0.79%
23 SAMSUNG ELE-PREF 255,009 $27.52M 0.79%
24 ASIA VITAL 297,000 $27.19M 0.78%
25 HITACHI ENERGY I 74,930 $26.62M 0.76%
26 SAUDI ARABIAN OI 3,490,539 $25.89M 0.74%
27 SHINHAN FINANCIA 376,429 $25.56M 0.73%
28 BEONE MEDICINE-H 1,111,300 $25.23M 0.72%
29 BANCO DE CHILE 132,173,250 $24.78M 0.71%
30 ITAU UNIBAN-PREF 2,762,300 $24.09M 0.69%
31 ICBC-H 26,359,000 $23.75M 0.68%
32 WOORI FINANCIAL 1,021,096 $23.29M 0.67%
33 STATE BANK IND 2,025,732 $22.91M 0.66%
34 RIYAD BANK 3,892,172 $21.53M 0.62%
35 KOREA SHIPBUILDI 68,681 $21.51M 0.62%
36 TRIP.COM GROUP L 389,350 $21.02M 0.60%
37 GRUPO MEXICO-B 1,837,640 $20.11M 0.58%
38 KUAISHOU-W 3,571,400 $19.88M 0.57%
39 HINDALCO INDS 1,779,772 $19.55M 0.56%
40 BHARAT PETROL 6,053,260 $19.27M 0.55%
41 BIZLINK HOLDING 210,000 $18.86M 0.54%
42 EICHER MOTORS LTD COMMON STOCK EIM 245,407 $18.47M 0.53%
43 ASE TECHNOLOGY H 1,163,000 $18.23M 0.52%
44 TCL TECHNOLOGY-A 28,241,760 $17.69M 0.51%
45 TRIPOD TECH CORP 1,226,000 $17.66M 0.51%
46 LAURUS LABS LTD 1,491,913 $17.42M 0.50%
47 3SBIO INC 5,724,500 $17.12M 0.49%
48 LARSEN and TOUBRO LTD 398,474 $16.93M 0.48%
49 SITC 4,025,000 $16.85M 0.48%
50 ADV INFO SVC-F 1,612,100 $16.84M 0.48%
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