Goldman Sachs (GS) prices 5.50% senior notes due May 29, 2046 under MTN program
Rhea-AI Filing Summary
The Goldman Sachs Group, Inc. is offering fixed rate senior notes due May 29, 2046 with an annual interest rate of 5.50%. The trade date is May 27, 2026 and the original issue date is May 29, 2026. Notes will pay interest each year on May 29, beginning May 29, 2027, be issued in denominations of $1,000, and will be issued in book-entry form through DTC.
The notes will not be listed on an exchange, will be described under Goldman Sachs’ Medium-Term Notes, Series N program, and will be governed by the company’s senior debt indenture dated July 16, 2008. Pricing details (original issue price and underwriting concession) and certain distribution mechanics are stated as ranges and vary by investor category in the pricing supplement.
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Insights
Goldman Sachs is issuing 20-year fixed-rate senior notes at a stated 5.50% coupon.
The offering sets a fixed interest coupon of 5.50% with annual payments on May 29 and a stated maturity of May 29, 2046. Notes are senior unsecured obligations issued under the existing indenture and will be issued in book-entry form through DTC.
Distribution is via Goldman Sachs & Co. LLC with original issue price and concessions disclosed as variable ranges for certain investor categories; pricing mechanics and any concessions will be set on the trade date. Cash‑flow treatment and listing status are explicit: notes will not be exchange‑listed and will settle through DTC.
Standard prospectus language highlights issuer rights and investor tax considerations.
The supplement confirms full and covenant defeasance rights and that interest accrues using a 30/360 (ISDA) day count. It also states FATCA withholding rules apply and that the offering is subject to FINRA Rule 5121 conflict‑of‑interest procedures for affiliated underwriting.
Investors in certain jurisdictions are excluded (EEA retail, Hong Kong retail, Japan, Singapore restrictions). The prospectus notes that pricing terms will be finalized on the trade date and that some original issue prices vary by investor category.

