Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep

Data updated: 2026-05-26

C000237873 — Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep data: holdings, portfolio allocation, expenses, performance, cashflows, risk and SEC filings. United States Financials Equity · $9.77M AUM · 0.97% expense ratio · 15.4% 1-yr return. From SEC regulatory filings.

C000237873 Fund Overview

Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep is a US mutual fund managed by Goldman Sachs Variable Insurance Trust, categorised as United States Financials Equity. ABC INVEST provides holdings, performance, costs, cashflows, risk data, prospectus documents and SEC filings, sourced from SEC filings.

  • Type: US mutual fund
  • Manager: Goldman Sachs Variable Insurance Trust
  • Category: United States Financials Equity
  • Assets under management: $9.77M
  • 1-year return: 15.4%
  • SEC CIK: 0001046292
  • SEC series ID: S000077435
  • Share class ID: C000237873

C000237873 Holdings

Top 10 holdings of Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assets
Goldman Sachs Financial Square Government Fund15.88%
Vanguard S&P 500 ETF13.45%
iShares Core S&P 500 ETF13.37%
State Street SPDR S&P 500 ETF Trust13.31%
United States Treasury8.90%
United States Treasury7.71%
United States Treasury7.18%
Morgan Stanley & Co. International PLC6.55%
Fed Home Ln Discount Nt4.22%
Fed Home Ln Discount Nt2.37%

View all C000237873 holdings

C000237873 Portfolio Allocation

Asset-class allocation of Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep by percentage of net assets, from the latest SEC N-PORT filing.

Asset classAllocation
Equity56.0%
Cash & Equivalents28.3%
Fixed Income8.6%
Derivatives0.3%

C000237873 Performance

Total returns for C000237873 (as of 2026-08-01), from SEC filings.

PeriodTotal return
YTD-2.1%
1 year15.4%
3 years (annualised)12.2%

C000237873 Risk Information

Risk metrics for C000237873, derived from monthly returns in SEC filings.

  • 1-year volatility (annualised): 7.1%

C000237873 Costs and Fees

C000237873 costs about $97 per $10,000 invested per year in fund expenses.

  • Net expense ratio: 0.97%
  • Gross expense ratio: 5.11%
  • Portfolio turnover: 0%
  • Brokerage commissions: 0.29 bps of average net assets (SEC N-CEN)

C000237873 Cashflows

Over the 12 months to 2026-03, Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep had net inflows of $2.94M, from monthly SEC N-PORT filings.

MonthNet flow
2026-03$712.78K
2026-02$16.75K
2026-01$33.13K
2025-12$873.38K
2025-11$50.91K
2025-10$223.49K

C000237873 Debt Constituents

Largest debt holdings of Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep by percentage of net assets, from the latest SEC N-PORT filing.

Debt holding% of net assets
Fed Home Ln Discount Nt4.22%
Fed Home Ln Discount Nt2.37%
Fed Home Ln Discount Nt1.01%
Fed Home Ln Discount Nt1.01%

C000237873 Prospectus and SEC Filings

Official Goldman Sachs Variable Insurance Trust Buffered S&P 500 Fund - Mar/Sep filings on SEC EDGAR — prospectus, portfolio holdings and annual reports.

Related Funds

Other United States Financials Equity funds tracked on ABC INVEST:

Data Sources

ABC INVEST compiles this page from public filings made to the U.S. Securities and Exchange Commission (SEC) through EDGAR: portfolio holdings and monthly cashflows from Form N-PORT, expenses and returns from fund prospectuses (Form 485BPOS) and the SEC DERA Risk/Return Summary data sets, annual data from Form N-CEN, and shareholder reports from Form N-CSR.