GSESX
Goldman Sachs U.S. Equity Insights Fund
Goldman Sachs Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Jan 31, 2026 → Apr 30, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
EXXON MOBIL CORP 0 116,292 116,292 1.61% $17.95M
SYNOPSYS INC 0 28,460 28,460 1.23% $13.73M
KINDER MORGAN INC 0 350,289 350,289 1.03% $11.51M
CORNING INC 0 66,909 66,909 0.99% $10.99M
VERTEX PHARMACEUTICALS INC 0 25,555 25,555 0.98% $10.92M
WELLTOWER INC 0 43,303 43,303 0.84% $9.41M
HOWMET AEROSPACE INC 0 38,160 38,160 0.83% $9.27M
DR HORTON INC 0 57,813 57,813 0.80% $8.90M
AMETEK INC NEW 0 36,692 36,692 0.78% $8.64M
AMERIPRISE FINANCIAL INC 0 15,878 15,878 0.68% $7.54M
MICRON TECHNOLOGY INC 0 13,843 13,843 0.64% $7.16M
HCA HEALTHCARE INC 0 16,376 16,376 0.64% $7.11M
INVESCO LTD 0 247,998 247,998 0.58% $6.50M
BURLINGTON STORES INC 0 19,559 19,559 0.56% $6.26M
KIMBERLY CLARK CORP 0 55,514 55,514 0.49% $5.46M
EMERSON ELECTRIC CO 0 36,380 36,380 0.46% $5.11M
DANAHER CORP 0 28,389 28,389 0.46% $5.08M
ENCOMPASS HEALTH CORP 0 50,185 50,185 0.45% $5.02M
TECHNIPFMC PLC 0 55,601 55,601 0.38% $4.20M
AMRIZE LTD 0 71,021 71,021 0.34% $3.82M
CISCO SYSTEMS INC 0 40,203 40,203 0.33% $3.68M
CINTAS CORP 0 21,049 21,049 0.33% $3.68M
SOFI TECHNOLOGIES INC A 0 202,414 202,414 0.29% $3.26M
AVALONBAY COMMUNITIES INC REIT 0 17,476 17,476 0.29% $3.20M
AUTONATION INC 0 12,244 12,244 0.23% $2.60M
PLANET FITNESS INC CL A 0 37,923 37,923 0.23% $2.53M
APPLOVIN CORP 0 5,320 5,320 0.21% $2.37M
NXP SEMICONDUCTORS NV 0 8,061 8,061 0.21% $2.37M
BLACKROCK INC 0 2,066 2,066 0.20% $2.20M
GILEAD SCIENCES INC 0 15,743 15,743 0.18% $2.06M
MATCH GROUP INC 0 49,255 49,255 0.17% $1.84M
TENET HEALTHCARE CORP 0 10,075 10,075 0.16% $1.78M
ADV MICRO DEVICE 0 4,787 4,787 0.15% $1.70M
VISTRA CORP 0 8,321 8,321 0.12% $1.31M
BENTLEY SYSTEM-B 0 36,199 36,199 0.11% $1.18M
GLOBUS MEDICAL INC 0 12,461 12,461 0.10% $1.12M
ROKU INC CLASS A 0 8,763 8,763 0.09% $1.02M
PHILLIPS 66 0 4,468 4,468 0.07% $800.44K
ELF BEAUTY INC 0 12,118 12,118 0.07% $775.19K
EMCOR GROUP INC 0 844 844 0.07% $752.57K
BJS WHSL CLUB HLDGS INC 0 7,926 7,926 0.07% $744.17K
ZCS BRL 14.0087 05/12/25-01/04/27 CME 0 30 30 0.07% $724.46K
ROSS STORES INC 0 3,020 3,020 0.06% $687.93K
MEDLINE INC-A 0 14,891 14,891 0.06% $662.20K
STARBUCKS CORP 0 5,757 5,757 0.05% $606.38K
CLOUDFLARE INC-A 0 2,854 2,854 0.05% $584.98K
SPOTIFY TECHNOLOGY SA 0 873 873 0.03% $389.84K
BILL HOLDINGS INC 0 10,161 10,161 0.03% $386.12K
BAKER HUGHES CO 0 2,841 2,841 0.02% $197.93K
BROOKFIELD ASSET MANAGEMENT LTD A 0 2,998 2,998 0.01% $143.93K
UNITED AIRLINES HOLDINGS INC 0 1,432 1,432 0.01% $128.88K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
GENERAL ELECTRIC CO 61,594 0 -61,594 0.00% -$18.90M
CITIGROUP INC 138,707 0 -138,707 0.00% -$16.05M
VISA INC-CLASS A 49,587 0 -49,587 0.00% -$15.96M
REGENERON PHARMACEUTICALS INC 17,431 0 -17,431 0.00% -$12.92M
EXPEDIA INC 46,270 0 -46,270 0.00% -$12.25M
CHEVRON CORP 67,673 0 -67,673 0.00% -$11.97M
MORGAN STANLEY 64,276 0 -64,276 0.00% -$11.75M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 109,288 0 -109,288 0.00% -$10.12M
INVITATION HOMES INC 358,841 0 -358,841 0.00% -$9.59M
PALO ALTO NETWORKS INC 49,947 0 -49,947 0.00% -$8.84M
INTL BUS MACH CORP 25,666 0 -25,666 0.00% -$7.87M
AMERICAN EXPRESS CO 18,341 0 -18,341 0.00% -$6.46M
ABBVIE INC 27,652 0 -27,652 0.00% -$6.17M
QUEST DIAGNOSTICS INC 29,518 0 -29,518 0.00% -$5.52M
INTUIT INC 9,724 0 -9,724 0.00% -$4.85M
FAIR ISAAC CORP 3,128 0 -3,128 0.00% -$4.58M
YUM! BRANDS INC 28,210 0 -28,210 0.00% -$4.39M
CHEMED CORP 8,993 0 -8,993 0.00% -$3.84M
EQUIFAX INC 18,966 0 -18,966 0.00% -$3.82M
METLIFE INC 40,795 0 -40,795 0.00% -$3.22M
MEDPACE HOLDINGS INC 5,364 0 -5,364 0.00% -$3.12M
SS&C TECHNOLOGIE 37,790 0 -37,790 0.00% -$3.09M
AXALTA COATING SYSTEMS LTD 83,253 0 -83,253 0.00% -$2.80M
BRISTOL-MYERS SQUIBB CO 44,115 0 -44,115 0.00% -$2.43M
ROPER TECHNOLOGIES INC 6,174 0 -6,174 0.00% -$2.29M
REPUBLIC SVCS 10,413 0 -10,413 0.00% -$2.24M
ERIE INDEMNITY CO CL A 7,849 0 -7,849 0.00% -$2.22M
UNITEDHEALTH GRP 7,710 0 -7,710 0.00% -$2.21M
AIRBNB INC CLASS A 16,314 0 -16,314 0.00% -$2.11M
EVERCORE INC A 5,912 0 -5,912 0.00% -$2.09M
CACI INTL-A 3,271 0 -3,271 0.00% -$2.03M
DUTCH BROS INC-A 34,270 0 -34,270 0.00% -$1.86M
WEST PHARMACEUTICAL SVCS INC 7,438 0 -7,438 0.00% -$1.72M
FOX CORPORATION B 24,857 0 -24,857 0.00% -$1.63M
SAMSARA INC-CL A 54,999 0 -54,999 0.00% -$1.54M
NVR INC 191 0 -191 0.00% -$1.46M
GRAND CANYON EDUCATION INC 8,198 0 -8,198 0.00% -$1.43M
CORTEVA INC 18,353 0 -18,353 0.00% -$1.34M
MATTEL INC 63,628 0 -63,628 0.00% -$1.33M
Southern Copper Corporation COM USD0.01 6,936 0 -6,936 0.00% -$1.32M
OTIS WORLDWIDE CORP 12,178 0 -12,178 0.00% -$1.04M
APA CORP 38,110 0 -38,110 0.00% -$1.01M
FIRST SOLAR INC 4,214 0 -4,214 0.00% -$950.34K
MCDONALDS CORP 2,968 0 -2,968 0.00% -$934.92K
ALLEGRO MICROSYSTEMS INC 24,165 0 -24,165 0.00% -$891.93K
ZOETIS INC CL A 6,381 0 -6,381 0.00% -$796.48K
CITIZENS FINANCIAL GROUP INC 11,790 0 -11,790 0.00% -$742.53K
DELTA AIR LI 9,101 0 -9,101 0.00% -$599.66K
VIKING THERAPEUTICS INC 20,157 0 -20,157 0.00% -$585.36K
CHEWY INC- CL A 19,449 0 -19,449 0.00% -$566.16K
CROCS INC 6,190 0 -6,190 0.00% -$519.46K
SBA COMMUNICATIONS CORP 2,328 0 -2,328 0.00% -$428.61K
MACYS INC 21,106 0 -21,106 0.00% -$422.54K
ALEXANDRIA REAL ES EQ INC REIT 7,149 0 -7,149 0.00% -$390.62K
INSULET CORP 920 0 -920 0.00% -$235.35K
STIFEL FINANCIAL CORP 1,727 0 -1,727 0.00% -$212.94K
XAV HEALTH CARE 58 0 -58 0.00% -$41.23K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
BROADCOM INC 116,123 116,722 599 4.37% $10.25M
META PLATFORMS INC CL A 43,629 58,486 14,857 3.21% $4.53M
JPMORGAN CHASE and CO 63,221 85,140 21,919 2.39% $7.33M
CVS HEALTH CORP 75,199 168,753 93,554 1.26% $8.45M
PALANTIR TECHNOLOGIES INC 89,029 97,912 8,883 1.22% $569.78K
LINDE PLC 10,879 26,284 15,405 1.18% $8.20M
VULCAN MATERIALS CO 8,443 41,231 32,788 1.12% $9.90M
ILLINOIS TOOL WORKS INC 31,459 46,589 15,130 1.08% $3.80M
LOEWS CORP 95,353 104,785 9,432 1.06% $1.73M
CLEAN HARBORS INC 3,015 36,172 33,157 1.02% $10.53M
T-MOBILE US INC 41,386 53,603 12,217 0.94% $2.32M
BORGWARNER INC 132,291 171,055 38,764 0.87% $3.47M
TYSON FOODS INC CL A 131,265 151,407 20,142 0.87% $1.13M
XPO LOGISTICS INC 6,005 41,153 35,148 0.81% $8.17M
SYSCO CORP 80,192 119,944 39,752 0.80% $2.24M
ONEMAIN HOLDINGS INC 70,640 141,860 71,220 0.75% $3.71M
METTLER-TOLEDO INTL INC 3,679 6,195 2,516 0.71% $2.86M
WATSCO INC 8,324 17,016 8,692 0.67% $4.23M
ARAMARK 46,582 155,180 108,598 0.64% $5.30M
OLLIES BARGAIN OUTLET HOLDINGS INC 19,237 79,587 60,350 0.62% $4.76M
BANK OF NEW YORK MELLON CORP 8,915 48,272 39,357 0.58% $5.42M
REDDIT INC-A 19,824 42,332 22,508 0.56% $2.66M
MOTOROLA SOLUTIONS INC 7,445 13,769 6,324 0.54% $3.05M
MICROCHIP TECHNOLOGY 23,569 61,661 38,092 0.51% $3.94M
TEXTRON INC 30,008 49,679 19,671 0.43% $2.12M
GENTEX CORP 83,451 118,140 34,689 0.25% $810.01K
EVERUS CONSTRUCTION GROUP INC 9,233 13,105 3,872 0.17% $1.12M
CARVANA CO CL A 1,479 3,991 2,512 0.14% $986.40K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
APPLE INC 346,385 314,526 -31,859 7.66% -$4.53M
NVIDIA CORP 519,004 426,012 -92,992 7.63% -$14.18M
ALPHABET INC CL C 174,809 157,271 -17,538 5.39% $889.99K
MICROSOFT CORP 177,085 134,700 -42,385 4.93% -$21.27M
AMAZON.COM INC 236,457 193,311 -43,146 4.60% -$5.35M
BERKSHIRE HATH-B 60,904 51,922 -8,982 2.21% -$4.68M
TESLA INC 56,196 55,957 -239 1.92% -$2.83M
MASTERCARD INC CL A 39,753 37,398 -2,355 1.69% -$2.61M
TEXAS INSTRUMENTS INC 68,265 63,095 -5,170 1.59% $3.02M
TJX COS INC 104,259 92,205 -12,054 1.30% -$1.17M
LILLY ELI and CO 15,000 14,715 -285 1.23% -$1.80M
BANK OF AMERICA CORPORATION 352,611 242,826 -109,785 1.17% -$5.78M
KIRBY CORP 104,918 83,764 -21,154 1.13% $265.18K
JOHNSON&JOHNSON 108,376 43,376 -65,000 0.90% -$14.66M
SYNCHRONY FINANCIAL 158,068 116,648 -41,420 0.80% -$2.59M
MUELLER INDUSTRIES INC 98,900 60,260 -38,640 0.73% -$5.30M
COCA-COLA CO/THE 245,015 103,293 -141,722 0.73% -$10.19M
ORACLE CORP 74,874 48,098 -26,776 0.70% -$4.56M
FORTINET INC 122,834 89,318 -33,516 0.68% -$2.45M
CME GROUP INC CL A 52,425 24,802 -27,623 0.64% -$8.02M
ROYAL CARIBBEAN CRUISES LTD 31,105 26,017 -5,088 0.62% -$3.24M
BOSTON SCIENTIFIC CORP 122,605 116,397 -6,208 0.60% -$4.76M
MEDTRONIC PLC 66,743 62,026 -4,717 0.45% -$1.85M
FOX CORP CL A 126,976 78,186 -48,790 0.45% -$4.28M
SANDISK CORPORATION 5,984 4,231 -1,753 0.42% $1.19M
CONOCOPHILLIPS 39,302 27,478 -11,824 0.31% -$640.26K
CARRIER GLOBAL CORP 79,273 47,650 -31,623 0.29% -$1.52M
RTX CORP 94,969 17,608 -77,361 0.28% -$15.98M
WESTERN DIGITAL CORP 9,974 6,087 -3,887 0.24% $149.13K
CAMDEN PROP TR 79,148 17,876 -61,272 0.17% -$6.75M
ANTERO RESOURCES 58,528 35,446 -23,082 0.12% -$737.05K
BIRKENSTOCK HOLDING LTD 34,626 33,377 -1,249 0.12% -$14.45K
WASTE CONNECTIONS INC 10,511 7,626 -2,885 0.11% -$505.49K
MONEYMKT 2,606,624 1,212,525 -1,394,099 0.11% -$1.39M
NOV INC 193,904 42,944 -150,960 0.08% -$2.68M
COMFORT SYSTEMS USA INC 1,618 342 -1,276 0.06% -$1.22M
MASTEC INC 8,007 1,327 -6,680 0.05% -$1.40M
DOLBY LABORATORIES INC CL A 73,888 7,993 -65,895 0.05% -$4.23M
VIKING HOLDINGS LTD 53,264 5,904 -47,360 0.04% -$3.36M
UNIVERSAL HLTH-B 35,361 2,639 -32,722 0.04% -$6.67M
MARKETAXESS HLDGS INC 4,401 2,480 -1,921 0.03% -$354.95K
COINBASE GLOBAL INC 2,048 995 -1,053 0.02% -$212.00K
CASEY'S GENERAL 8,517 223 -8,294 0.02% -$4.98M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
MARATHON PETROLEUM CORP 3,197 3,197 0 0.07% $230.50K

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