09/26/2025 | Press release | Distributed by Public on 09/26/2025 12:46
UNDER
THE SECURITIES ACT OF 1933
|
☒
|
Pre-Effective Amendment No.
Post-Effective Amendment No. 240
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☒
|
UNDER
THE INVESTMENT COMPANY ACT OF 1940
|
☒
|
Amendment No. 246
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☒
|
☐
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immediately upon filing pursuant to Rule 485, paragraph (b)
|
☐
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On _______________ pursuant to Rule 485, paragraph (b)
|
☐
|
60 days after filing pursuant to Rule 485, paragraph (a)(1)
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☐
|
on _________________ pursuant to Rule 485, paragraph (a)(1)
|
☒
|
75 days after filing pursuant to Rule 485, paragraph (a)(2)
|
☐
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on _________________ pursuant to Rule 485, paragraph (a)(2)
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☐
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This post-effective amendment designates a new effective date for a previously filed post-effective amendment.
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Fund Summaries
|
|
State Street® My2027 High Yield Corporate Bond ETF
|
1
|
State Street® My2028 High Yield Corporate Bond ETF
|
7
|
State Street® My2029 High Yield Corporate Bond ETF
|
13
|
State Street® My2030 High Yield Corporate Bond ETF
|
19
|
State Street® My2031 High Yield Corporate Bond ETF
|
25
|
Additional Strategies Information
|
31
|
Additional Risk Information
|
32
|
Management
|
41
|
Additional Purchase and Sale Information
|
44
|
Distributions
|
44
|
Portfolio Holdings Disclosure
|
45
|
Additional Tax Information
|
45
|
General Information
|
48
|
Financial Highlights
|
49
|
Where to Learn More About the Funds
|
Back Cover
|
Investment Objective
|
The State Street My2027 High Yield Corporate Bond ETF (the "Fund") seeks to maximize current income
while seeking preservation of capital.
|
Management fees
|
[ ]%
|
Distribution and service (12b-1) fees
|
None
|
Other expenses1
|
[ ]%
|
Total annual Fund operating expenses
|
[ ]%
|
Year 1
|
Year 3
|
$[ ]
|
$[ ]
|
Investment Objective
|
The State Street My2028 High Yield Corporate Bond ETF (the "Fund") seeks to maximize current income
while seeking preservation of capital.
|
Management fees
|
[ ]%
|
Distribution and service (12b-1) fees
|
None
|
Other expenses1
|
[ ]%
|
Total annual Fund operating expenses
|
[ ]%
|
Year 1
|
Year 3
|
$[ ]
|
$[ ]
|
Investment Objective
|
The State Street My2029 High Yield Corporate Bond ETF (the "Fund") seeks to maximize current income
while seeking preservation of capital.
|
Management fees
|
[ ]%
|
Distribution and service (12b-1) fees
|
None
|
Other expenses1
|
[ ]%
|
Total annual Fund operating expenses
|
[ ]%
|
Year 1
|
Year 3
|
$[ ]
|
$[ ]
|
Investment Objective
|
The State Street My2030 High Yield Corporate Bond ETF (the "Fund") seeks to maximize current income
while seeking preservation of capital.
|
Management fees
|
[ ]%
|
Distribution and service (12b-1) fees
|
None
|
Other expenses1
|
[ ]%
|
Total annual Fund operating expenses
|
[ ]%
|
Year 1
|
Year 3
|
$[ ]
|
$[ ]
|
Investment Objective
|
The State Street My2031 High Yield Corporate Bond ETF (the "Fund") seeks to maximize current income
while seeking preservation of capital.
|
Management fees
|
[ ]%
|
Distribution and service (12b-1) fees
|
None
|
Other expenses1
|
[ ]%
|
Total annual Fund operating expenses
|
[ ]%
|
Year 1
|
Year 3
|
$[ ]
|
$[ ]
|
FUND
|
TICKER
|
STATE STREET MY2027 HIGH YIELD CORPORATE BOND ETF
|
[ ]
|
STATE STREET MY2028 HIGH YIELD CORPORATE BOND ETF
|
[ ]
|
STATE STREET MY2029 HIGH YIELD CORPORATE BOND ETF
|
[ ]
|
STATE STREET MY2030 HIGH YIELD CORPORATE BOND ETF
|
[ ]
|
STATE STREET MY2031 HIGH YIELD CORPORATE BOND ETF
|
[ ]
|
General Description of the Trust
|
3
|
Investment Policies
|
3
|
Special Considerations and Risks
|
22
|
Investment Restrictions
|
27
|
Exchange Listing and Trading
|
28
|
Management of the Trust
|
28
|
Investment Advisory and Other Services
|
37
|
Brokerage Transactions
|
41
|
Book Entry Only System
|
43
|
Control Persons and Principal Holders of Securities
|
44
|
Purchase and Redemption of Creation Units
|
44
|
Determination of Net Asset Value
|
50
|
Dividends and Distributions
|
51
|
Taxes
|
51
|
Capital Stock and Other Securities
|
57
|
Counsel and Independent Registered Public Accounting Firm
|
58
|
Local Market Holiday Schedules
|
58
|
Financial Statements
|
58
|
Appendices
|
A-1
|
Name, Address
and Year of Birth
|
Position(s)
With
Funds
|
Term of
Office and
Length of
Time Served
|
Principal
Occupation(s)
During Past
Five Years
|
Number of
Portfolios
in Fund
Complex
Overseen
by Trustee†
|
Other
Directorships
Held by
Trustee
During Past
Five Years
|
INDEPENDENT TRUSTEES
|
|||||
DWIGHT D. CHURCHILL
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1953
|
Independent
Trustee,
Chairman;
Trustee
Committee,
Chairman
|
Term:
Unlimited
Served:
since April
2010
|
Self-employed
consultant since 2010.
|
[153]
|
Affiliated Managers
Group, Inc. (Director)
(2010 - present).
|
CARL G. VERBONCOEUR
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1952
|
Independent
Trustee
|
Term:
Unlimited
Served:
since April
2010
|
Self-employed
consultant since 2009.
|
[153]
|
None.
|
CLARE S. RICHER
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1958
|
Independent
Trustee
|
Term:
Unlimited
Served:
since July
2018
|
Retired.
|
[153]
|
Principal Financial
Group (Director and
Financial Committee
Chair) (2020 - present);
Bain Capital Specialty
Finance (Director) (2019
- present); Bain Capital
Private Credit (Director)
(2022 - present);
University of Notre
Dame (Trustee) (2015 -
present).
|
SANDRA G. SPONEM
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1958
|
Independent
Trustee, Audit
Committee
Chair
|
Term:
Unlimited
Served:
since July
2018
|
Retired.
|
[153]
|
Rydex Series Funds (52
portfolios), Rydex
Dynamic Funds (8
portfolios) and Rydex
Variable Trust (49
|
Name, Address
and Year of Birth
|
Position(s)
With
Funds
|
Term of
Office and
Length of
Time Served
|
Principal
Occupation(s)
During Past
Five Years
|
Number of
Portfolios
in Fund
Complex
Overseen
by Trustee†
|
Other
Directorships
Held by
Trustee
During Past
Five Years
|
portfolios) (Trustee)
(2016 - present);
Guggenheim Strategy
Funds Trust (3
portfolios), Guggenheim
Funds Trust (18
portfolios), Guggenheim
Taxable Municipal Bond
& Investment Grade
Debt Trust, Guggenheim
Strategic Opportunities
Fund, Guggenheim
Variable Funds Trust (14
portfolios), and
Transparent Value Trust
(5 portfolios) (Trustee)
(2019-present);
Guggenheim Active
Allocation Fund
(Trustee)
(2021-present);
Fiduciary/Claymore
Energy Infrastructure
Fund (Trustee)
(2019-2022);
Guggenheim Enhanced
Equity Income Fund and
Guggenheim Credit
Allocation Fund
(Trustee) (2019-2021);
and Guggenheim
Energy & Income Fund
(Trustee) (2015 - 2023).
|
|||||
CAROLYN M. CLANCY
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1960
|
Independent
Trustee
|
Term
Unlimited
Served:
since
October
2022
|
Retired. Executive Vice
President, Head of
Strategy, Analytics and
Market Readiness,
Fidelity Investments
(April 2020 - June
2021); Executive Vice
President, Head of
Broker Dealer Business,
Fidelity Investments
(July 2017 - March
2020).
|
[153]
|
Assumption University
(Trustee) (2011 - 2021)
and (2022 - present);
Big Sister Association of
Greater Boston
(Director) (2016 - 2023).
|
KRISTI L. ROWSELL
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1966
|
Independent
Trustee
|
Term
Unlimited
Served:
since
October
2022
|
Partner and President,
Harris Associates (2010
- 2021).
|
[153]
|
Harris Oakmark ETF
Trust (1 portfolio)
(Trustee) 2024-present);
Harris Associates
Investment Trust (8
portfolios) (Trustee)
(2010 - present); Board
of Governors,
Investment Company
Institute (Member) (2018
- present); Habitat for
Humanity Chicago
(Director) (2015 -
present).
|
JAMES E. ROSS*
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1965
|
Independent
Trustee
|
Term:
Unlimited
Served:
since April
2010
|
President, Winnisquam
Capital LLC (December
2022 - present);
Non-Executive
Chairman, Fusion
Acquisition Corp II
|
[175]
|
Investment Managers
Series Trust (50
Portfolios) (2022 -
present); The Select
Sector SPDR Trust (11
portfolios) (2005 -
|
Name, Address
and Year of Birth
|
Position(s)
With
Funds
|
Term of
Office and
Length of
Time Served
|
Principal
Occupation(s)
During Past
Five Years
|
Number of
Portfolios
in Fund
Complex
Overseen
by Trustee†
|
Other
Directorships
Held by
Trustee
During Past
Five Years
|
(February 2020 -
present); Non-Executive
Chairman, Fusion
Acquisition Corp. (June
2020 - September
2021); Retired Chairman
and Director, SSGA
Funds Management, Inc.
(2005 - March 2020);
Retired Executive Vice
President, State Street
Investment Management
(2012 - March 2020);
Retired Chief Executive
Officer and Manager,
State Street Global
Advisors Funds
Distributors, LLC (May
2017 - March 2020).
|
present); SSGA SPDR
ETFs Europe I plc
(Director) (2016 - 2020);
SSGA SPDR ETFs
Europe II plc (Director)
(2016 - 2020); State
Street Navigator
Securities Lending Trust
(2016 - 2020); SSGA
Funds (2014 - 2020);
State Street Institutional
Investment Trust (2007
-2020); State Street
Master Funds (2007
-2020).
|
||||
INTERESTED TRUSTEE
|
|||||
JEANNE LAPORTA**
c/o SSGA Active Trust
One Congress Street
Boston, MA 02114
1965
|
Interested
Trustee
|
Term
Unlimited
Served:
since
November
2024
|
Chair and Director,
SSGA Funds
Management, Inc.
(October 2024 -
Present); Senior
Managing Director, State
Street Investment
Management (August
2024 - Present); Chief
Administrative Officer at
ClearAlpha
Technologies LP
(FinTech startup)
(January 2021 - August
2024); Senior Managing
Director at State Street
Investment Management
(July 2016 - 2021);
Manager of State Street
Global Advisors Funds
Distributors, LLC (May
2017 - 2021); Director
of SSGA Funds
Management, Inc.
(March 2020 - 2021);
President of State Street
Institutional Funds and
State Street Variable
Insurance Series Funds,
Inc. (April 2014 - March
2020).
|
[233]
|
Interested Trustee,
Select Sector SPDR
Trust (November
2024-present).
Interested Trustee/
Director of Elfun
Diversified Fund, Elfun
Government Money
Market Fund, Elfun
Income Fund, Elfun
International Equity
Fund, Elfun Tax-Exempt
Income Fund, Elfun
Trusts, State Street
Navigator Securities
Lending Trust, SSGA
Funds, State Street
Variable Insurance
Series Funds, Inc., State
Street Master Funds,
and State Street
Institutional Investment
Trust (January 2025 -
present).
Interested Trustee, Elfun
Government Money
Market Fund, Elfun
Tax-Exempt Income
Fund, Elfun Income
Fund, Elfun Diversified
Fund, Elfun International
Equity Fund, and Elfun
Trusts (2016 - 2021).
|
Name, Address
and Year of Birth
|
Position(s)
With Funds
|
Term of
Office and
Length of
Time Served
|
Principal Occupation(s)
During Past Five Years
|
ANN M. CARPENTER
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1966
|
President and
Principal Executive
Officer; Deputy
Treasurer
|
Term: Unlimited
Served: since
May 2023 (with
respect to
President and
Principal
Executive
Officer);
Term: Unlimited
Served: since
February 2016
(with respect to
Deputy
Treasurer)
|
Chief Operating Officer, SSGA Funds Management, Inc.
(April 2005 - present)*; Managing Director, State Street
Investment Management (April 2005 - present).*
|
BRUCE S. ROSENBERG
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1961
|
Treasurer and
Principal Financial
Officer
|
Term: Unlimited
Served: since
February 2016
|
Managing Director, State Street Investment
Management and SSGA Funds Management, Inc. (July
2015 - present).
|
CHAD C. HALLETT
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1969
|
Deputy Treasurer
|
Term: Unlimited
Served: since
February 2016
|
Vice President, State Street Investment Management
and SSGA Funds Management, Inc. (November 2014 -
present).
|
ANDREW J. DELORME
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1975
|
Chief Legal Officer
|
Term: Unlimited
Served: since
February 2024
|
Managing Director and Managing Counsel, State Street
Investment Management (March 2023 - present);
Counsel, K&L Gates (February 2021 - March 2023);
Vice President and Senior Counsel, State Street
Investment Management (August 2014 - February
2021).
|
DAVID URMAN
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1985
|
Secretary
|
Term: Unlimited
Served: since
August 2019
|
Vice President and Senior Counsel, State Street
Investment Management (April 2019 - present).
|
DAVID BARR
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1974
|
Assistant Secretary
|
Term: Unlimited
Served: since
November 2020
|
Vice President and Senior Counsel, State Street
Investment Management (October 2019 - present).
|
E. GERARD MAIORANA, JR.
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1971
|
Assistant Secretary
|
Term: Unlimited
Served: since
May 2023
|
Assistant Vice President, State Street Investment
Management (July 2014 - present).
|
DARLENE ANDERSON-VASQUEZ
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1968
|
Deputy Treasurer
|
Term: Unlimited
Served: since
November 2016
|
Managing Director, State Street Investment
Management and SSGA Funds Management, Inc. (May
2016 - present).
|
ARTHUR A. JENSEN
SSGA Funds Management, Inc.
1600 Summer Street
Stamford, CT 06905
1966
|
Deputy Treasurer
|
Term: Unlimited
Served: since
August 2017
|
Vice President, State Street Investment Management
and SSGA Funds Management, Inc. (July 2016 -
present).
|
DAVID LANCASTER
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1971
|
Assistant Treasurer
|
Term: Unlimited
Served: since
November 2020
|
Vice President, State Street Investment Management
and SSGA Funds Management, Inc. (July 2017 -
present).*
|
Name, Address
and Year of Birth
|
Position(s)
With Funds
|
Term of
Office and
Length of
Time Served
|
Principal Occupation(s)
During Past Five Years
|
JOHN BETTENCOURT
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1976
|
Assistant Treasurer
|
Term: Unlimited
Served: since
May 2022
|
Vice President, State Street Investment Management
and SSGA Funds Management Inc. (March 2020 -
present).
|
VEDRAN VUKOVIC
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1985
|
Assistant Treasurer
|
Term: Unlimited
Served: since
February 2024
|
Vice President, State Street Investment Management
(2023 - present); Assistant Vice President, Brown
Brothers Harriman & Co. (2011 - 2023).
|
BRIAN HARRIS
SSGA Funds Management, Inc.
One Congress Street
Boston, MA 02114
1973
|
Chief Compliance
Officer; Anti-Money
Laundering Officer;
Code of Ethics
Compliance Officer
|
Term: Unlimited
Served: since
November 2013
|
Managing Director, State Street Investment
Management and SSGA Funds Management, Inc. (June
2013 - present); Chief Compliance Officer, SSGA Funds
Management, Inc. (June 2023 - Present).*
|
Name of Trustee
|
Aggregate
Compensation
from the Trust
|
Pension or
Retirement
Benefits
Accrued as
Part of Trust
Expenses
|
Estimated
Annual
Benefits Upon
Retirement
|
Total
Compensation
from the Trust and
Fund Complex
Paid to Trustees (1)
|
Independent Trustees:
|
||||
Carl G. Verboncoeur
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Dwight D. Churchill
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Clare S. Richer
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Sandra G. Sponem
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Carolyn M. Clancy
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Kristi L. Roswell
|
$[ ]
|
$0
|
$0
|
$[ ]
|
James E. Ross
|
$[ ]
|
$0
|
$0
|
$[ ]
|
Interested Trustee:
|
||||
Jeanne LaPorta(2)
|
N/A
|
N/A
|
N/A
|
N/A
|
Name of Trustee
|
Fund
|
Dollar Range of Equity
Securities in the Trust
|
Aggregate Dollar Range of Equity
Securities in All
Funds Overseen
by Trustee in Family of
Investment Companies(1)
|
Independent Trustees:
|
|||
Dwight D. Churchill
|
SPDR Blackstone Senior Loan ETF
|
Over $100,000
|
Over $100,000
|
Carl G. Verboncoeur
|
None
|
None
|
$50,001-$100,000
|
Clare S. Richer
|
SPDR DoubleLine Total Return Tactical ETF
|
$50,001 - $100,000
|
Over $100,000
|
Sandra G. Sponem
|
SPDR Blackstone Senior Loan ETF
|
$50,001 - $100,000
|
Over $100,000
|
Carolyn M. Clancy
|
SPDR Blackstone High Income ETF
|
$10,001 - $50,000
|
Over $100,000
|
SPDR Blackstone Senior Loan ETF
|
$10,001 - $50,000
|
||
Kristi L. Rowsell
|
SPDR DoubleLine Total Return Tactical ETF
|
$50,001 - $100,000
|
Over $100,000
|
James E. Ross
|
None
|
None
|
Over $100,000
|
Interested Trustee:
|
|||
Jeanne LaPorta
|
None
|
None
|
None
|
Portfolio Manager
|
Registered
Investment
Company
Accounts
|
Assets
Managed
(billions)*
|
Other Pooled
Investment
Vehicle
Accounts
|
Assets
Managed
(billions)*
|
Other
Accounts
|
Assets
Managed
(billions)*
|
Total
Assets
Managed
(billions)
|
John Mele
|
[ ]
|
$[ ]
|
[ ]
|
$[ ]
|
[ ]
|
$[ ]
|
$[ ]
|
Kyle Kelly
|
[ ]
|
$[ ]
|
[ ]
|
$[ ]
|
[ ]
|
$[ ]
|
$[ ]
|
Fund
|
Transaction
Fee*, **
|
Maximum
Transaction
Fee*, **
|
State Street My2027 High Yield Corporate Bond ETF
|
$[ ]
|
$[ ]
|
Fund
|
Transaction
Fee*, **
|
Maximum
Transaction
Fee*, **
|
State Street My2028 High Yield Corporate Bond ETF
|
$[ ]
|
$[ ]
|
State Street My2029 High Yield Corporate Bond ETF
|
$[ ]
|
$[ ]
|
State Street My2030 High Yield Corporate Bond ETF
|
$[ ]
|
$[ ]
|
State Street My2031 High Yield Corporate Bond ETF
|
$[ ]
|
$[ ]
|
AAA
|
An obligation rated 'AAA' has the highest rating assigned by S&P Global Ratings. The obligor's
capacity to meet its financial commitments on the obligation is extremely strong.
|
AA
|
An obligation rated 'AA' differs from the highest-rated obligations only to a small degree. The
obligor's capacity to meet its financial commitments on the obligation is very strong.
|
A
|
An obligation rated 'A' is somewhat more susceptible to the adverse effects of changes in
circumstances and economic conditions than obligations in higher-rated categories. However,
the obligor's capacity to meet its financial commitments on the obligation is still strong.
|
BBB
|
An obligation rated 'BBB' exhibits adequate protection parameters. However, adverse economic
conditions or changing circumstances are more likely to weaken the obligor's capacity to meet
its financial commitments on the obligation.
|
BB, B, CCC, CC, and C
|
Obligations rated 'BB', 'B', 'CCC', 'CC', and 'C' are regarded as having significant speculative
characteristics. 'BB' indicates the least degree of speculation and 'C' the highest. While such
obligations will likely have some quality and protective characteristics, these may be outweighed
by large uncertainties or major exposure to adverse conditions.
|
BB
|
An obligation rated 'BB' is less vulnerable to nonpayment than other speculative issues.
However, it faces major ongoing uncertainties or exposure to adverse business, financial, or
economic conditions that could lead to the obligor's inadequate capacity to meet its financial
commitments on the obligation.
|
B
|
An obligation rated 'B' is more vulnerable to nonpayment than obligations rated 'BB', but the
obligor currently has the capacity to meet its financial commitments on the obligation. Adverse
business, financial, or economic conditions will likely impair the obligor's capacity or willingness
to meet its financial commitments on the obligation.
|
CCC
|
An obligation rated 'CCC' is currently vulnerable to nonpayment and is dependent upon
favorable business, financial, and economic conditions for the obligor to meet its financial
commitments on the obligation. In the event of adverse business, financial, or economic
conditions, the obligor is not likely to have the capacity to meet its financial commitments on the
obligation.
|
CC
|
An obligation rated 'CC' is currently highly vulnerable to nonpayment. The 'CC' rating is used
when a default has not yet occurred but S&P Global Ratings expects default to be a virtual
certainty, regardless of the anticipated time to default.
|
C
|
An obligation rated 'C' is currently highly vulnerable to nonpayment, and the obligation is
expected to have lower relative seniority or lower ultimate recovery compared with obligations
that are rated higher.
|
D
|
An obligation rated 'D' is in default or in breach of an imputed promise. For non-hybrid capital
instruments, the 'D' rating category is used when payments on an obligation are not made on
the date due, unless S&P Global Ratings believes that such payments will be made within five
business days in the absence of a stated grace period or within the earlier of the stated grace
period or 30 calendar days. The 'D' rating also will be used upon the filing of a bankruptcy
petition or the taking of similar action and where default on an obligation is a virtual certainty, for
example due to automatic stay provisions. A rating on an obligation is lowered to 'D' if it is
subject to a distressed debt restructuring.
|
Aaa
|
Obligations rated Aaa are judged to be of the highest quality, subject to the lowest level of credit risk.
|
Aa
|
Obligations rated Aa are judged to be of high quality and are subject to very low credit risk.
|
A
|
Obligations rated A are judged to be upper-medium grade and are subject to low credit risk.
|
Baa
|
Obligations rated Baa are judged to be medium-grade and subject to moderate credit risk and as such may
possess certain speculative characteristics.
|
Ba
|
Obligations rated Ba are judged to be speculative and are subject to substantial credit risk.
|
B
|
Obligations rated B are considered speculative and are subject to high credit risk.
|
Caa
|
Obligations rated Caa are judged to be speculative of poor standing and are subject to very high credit risk.
|
Ca
|
Obligations rated Ca are highly speculative and are likely in, or very near, default, with some prospect of recovery
of principal and interest.
|
C
|
Obligations rated C are the lowest rated and are typically in default, with little prospect for recovery of principal or
interest.
|
Adopted (SPDR Series Trust/SPDR Index Shares Funds):
|
May 31, 2006
|
Updated:
|
August 1, 2007
|
Amended:
|
May 29, 2009
|
Amended:
|
November 19, 2010
|
Adopted (SSGA Active Trust)/Amended:
|
May 25, 2011
|
Amended:
|
February 25, 2016
|
Amended:
|
August 17, 2023
|
(a)(i)
|
Declaration of Trust of SSGA Active Trust (the "Trust" or the "Registrant"), dated March 30, 2011 (the "Declaration
of Trust"), is incorporated herein by reference to Exhibit (a) to the Registrant's initial Registration Statement on Form
N-1A, as filed with the U.S. Securities and Exchange Commission (the "SEC") on April 1, 2011.
|
(a)(ii)
|
Amendment No. 1, dated December 5, 2014, to the Declaration of Trust is incorporated herein by reference to Exhibit
(a)(ii) of Post-Effective Amendment No. 50 to the Registrant's Registration Statement on Form N-1A, as filed with the
SEC on August 27, 2015.
|
(a)(iii)
|
Amendment No. 2, dated February 20, 2025, to the Declaration of Trust is incorporated herein by reference to Exhibit
(a)(iii) of Post-Effective Amendment No. 231 to the Registrant's Registration Statement on Form N-1A, as filed with
the SEC on February 26, 2025.
|
(b)
|
Registrant's Amended and Restated By-Laws, dated February 20, 2025, are incorporated herein by reference to Exhibit
(b) of Post-Effective Amendment No. 231 to the Registrant's Registration Statement on Form N-1A, as filed with the
SEC on February 26, 2025.
|
(c)
|
Not applicable.
|
(d)(i)(1)
|
Investment Advisory Agreement, dated April 25, 2012, between the Trust and SSGA Funds Management, Inc.
("SSGA FM") (the "Advisory Agreement") is incorporated herein by reference to Exhibit (d)(i) of Post-Effective
Amendment No. 11 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on October 9,
2013.
|
(d)(i)(2)
|
Exhibit A (Schedule of Series), dated September 10, 2025, to the Advisory Agreement is incorporated herein by
reference to Exhibit (d)(i)(2) of Post-Effective Amendment No. 239 to the Registrant's Registration Statement on Form
N-1A, as filed with the SEC on September 10, 2025.
|
(d)(i)(3)
|
Revised Exhibit A (Schedule of Series) to the Advisory Agreement, reflecting the addition of the State Street My2027
High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street My2029 High
Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street My2031 High
Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(d)(ii)
|
Investment Sub-Advisory Agreement, dated March 27, 2013, between SSGA FM and Blackstone Liquid Credit
Strategies, LLC (formerly, GSO/Blackstone Debt Funds Management, LLC) ("Blackstone") is incorporated herein by
reference to Exhibit (d)(iii) of Post-Effective Amendment No. 11 to the Registrant's Registration Statement on Form
N-1A, as filed with the SEC on October 9, 2013.
|
(d)(iii)
|
Investment Sub-Advisory Agreement, dated February 23, 2015, between SSGA FM and DoubleLine Capital LP
("DoubleLine") is incorporated herein by reference to Exhibit (d)(vi) of Post-Effective Amendment No. 43 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 23, 2015.
|
(d)(iv)
|
Investment Sub-Advisory Agreement, dated January 26, 2021, between SSGA FM and Nuveen Asset Management,
LLC ("Nuveen Asset Management") is incorporated herein by reference to Exhibit (d)(iv) of Post-Effective
Amendment No. 198 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 1, 2022.
|
(d)(v)
|
Investment Sub-Advisory Agreement, dated September 15, 2021, between SSGA FM and Loomis, Sayles &
Company, L.P. ("Loomis") is incorporated herein by reference to Exhibit (d)(v) of Post-Effective Amendment No. 180
to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 27, 2021.
|
(d)(vi)
|
Investment Sub-Advisory Agreement, dated August 15, 2024, between SSGA FM and Galaxy Digital Capital
Management LP ("Galaxy") is incorporated herein by reference to Exhibit (d)(vi) of Post-Effective Amendment No.
219 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 9, 2024.
|
(d)(vii)
|
Investment Sub-Advisory Agreement, dated February 28, 2025, between SSGA FM and Bridgewater Associates, LP
("Bridgewater") is incorporated herein by reference to Exhibit (d)(vii) of Post-Effective Amendment No. 232 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on March 5, 2025.
|
(e)(i)(1)
|
Amended and Restated Distribution Agreement, dated May 1, 2017, between the Trust and State Street Global
Advisors Funds Distributors, LLC ("SSGA FD") (the "Distribution Agreement") is incorporated herein by reference
to Exhibit (e)(i)(1) of Post-Effective Amendment No. 137 to the Registrant's Registration Statement on Form N-1A, as
filed with the SEC on October 30, 2017.
|
(e)(i)(2)
|
Annex I (Schedule of Series), dated September 10, 2025, to the Distribution Agreement is incorporated herein by
reference to Exhibit (e)(i)(2) of Post-Effective Amendment No. 239 to the Registrant's Registration Statement on Form
N-1A, as filed with the SEC on September 10, 2025.
|
(e)(i)(3)
|
Amended Annex I (Schedule of Series) to the Distribution Agreement, reflecting the addition of the State Street
My2027 High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street My2029
High Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street My2031
High Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(e)(ii)
|
Form of Authorized Participant Agreement is incorporated herein by reference to Exhibit (e)(ii) of Pre-Effective
Amendment No. 2 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on January 6,
2012.
|
(f)
|
Not applicable.
|
(g)(i)(1)
|
Custodian Agreement, dated April 18, 2012, between the Trust and State Street Bank and Trust Company (the
"Custodian Agreement") is incorporated herein by reference to Exhibit (g)(i) of Post-Effective Amendment No. 11 to
the Registrant's Registration Statement on Form N-1A, as filed with the SEC on October 9, 2013.
|
(g)(i)(2)
|
Amendment, dated September 30, 2020, to the Custodian Agreement is incorporated herein by reference to Exhibit
(g)(i)(2) of Post-Effective Amendment No. 163 to the Registrant's Registration Statement on Form N-1A, as filed with
the SEC on November 20, 2020.
|
(g)(i)(3)
|
Appendix A (Schedule of Series), dated September 10, 2025, to the Custodian Agreement is incorporated herein by
reference to Exhibit (g)(i)(3) of Post-Effective Amendment No. 239 to the Registrant's Registration Statement on Form
N-1A, as filed with the SEC on September 10, 2025.
|
(g)(i)(4)
|
Amended Appendix A (Schedule of Series) to the Custodian Agreement, reflecting the addition of the State Street
My2027 High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street My2029
High Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street My2031
High Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(h)(i)(1)
|
Administration Agreement, dated June 1, 2015, between the Trust and SSGA FM (the "Administration Agreement") is
incorporated herein by reference to Exhibit (h)(i) of Post-Effective Amendment No. 58 to the Registrant's Registration
Statement on Form N-1A, as filed with the SEC on October 28, 2015.
|
(h)(i)(2)
|
Schedule A (Schedule of Series), dated September 10, 2025, to the Administration Agreement is incorporated herein
by reference to Exhibit (h)(i)(2) of Post-Effective Amendment No. 239 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on September 10, 2025.
|
(h)(i)(3)
|
Amended Schedule A (Schedule of Series) to the Administration Agreement, reflecting the addition of the State Street
My2027 High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street My2029
High Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street My2031
High Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(h)(ii)(1)
|
Master Sub-Administration Agreement, dated June 1, 2015, between SSGA FM and State Street Bank and Trust
Company (the "Sub-Administration Agreement") is incorporated herein by reference to Exhibit (h)(ii) of Post-
Effective Amendment No. 58 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
October 28, 2015.
|
(h)(ii)(2)
|
Amendment, dated June 29, 2018, to the Sub-Administration Agreement is incorporated herein by reference to Exhibit
(h)(ii)(2) of Post-Effective Amendment No. 142 to the Registrant's Registration Statement on Form N-1A, as filed
with the SEC on October 29, 2018.
|
(h)(ii)(3)
|
Amendment, dated August 14, 2019, to the Sub-Administration Agreement is incorporated herein by reference to
Exhibit (h)(ii)(3) of Post-Effective Amendment No. 212 to the Registrant's Registration Statement on Form N-1A, as
filed with the SEC on August 23, 2023.
|
(h)(ii)(4)
|
Schedule A (Schedule of Series), dated September 10, 2025, to the Sub-Administration Agreement is incorporated
herein by reference to Exhibit (h)(ii)(4) of Post-Effective Amendment No. 239 to the Registrant's Registration
Statement on Form N-1A, as filed with the SEC on September 10, 2025.
|
(h)(ii)(5)
|
Amended Schedule A (Schedule of Series) to the Sub-Administration Agreement, reflecting the addition of the State
Street My2027 High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street
My2029 High Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street
My2031 High Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(h)(iii)(1)
|
Transfer Agency and Service Agreement, dated April 18, 2012, between the Trust and State Street Bank and Trust
Company (the "Transfer Agency and Service Agreement") is incorporated herein by reference to Exhibit (h)(ii) of
Post-Effective Amendment No. 11 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
October 9, 2013.
|
(h)(iii)(2)
|
Schedule A (Schedule of Series), dated September 10, 2025, to the Transfer Agency and Service Agreement is
incorporated herein by reference to Exhibit (h)(iii)(2) of Post-Effective Amendment No. 239 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on September 10, 2025.
|
(h)(iii)(3)
|
Amended Schedule A (Schedule of Series) to the Transfer Agency and Service Agreement, reflecting the addition of
the State Street My2027 High Yield Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State
Street My2029 High Yield Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State
Street My2031 High Yield Corporate Bond ETF, to be filed by subsequent amendment.
|
(h)(iv)(1)
|
Master Amended and Restated Securities Lending Authorization Agreement, dated January 6, 2017, between the Trust
and State Street Bank and Trust Company (the "Securities Lending Authorization Agreement") is incorporated herein
by reference to Exhibit (h)(v) of Post-Effective Amendment No. 141 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on August 29, 2018.
|
(h)(iv)(2)
|
First Amendment, dated April 12, 2019, to the Securities Lending Authorization Agreement is incorporated herein by
reference to Exhibit (h)(v)(2) of Post-Effective Amendment No. 147 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on August 29, 2019.
|
(h)(iv)(3)
|
Second Amendment, dated September 6, 2019, to the Securities Lending Authorization Agreement is incorporated
herein by reference to Exhibit (h)(iv)(3) of Post-Effective Amendment No. 158 to the Registrant's Registration
Statement on Form N-1A, as filed with the SEC on August 28, 2020.
|
(h)(iv)(4)
|
Third Amendment, dated October 31, 2019, to the Securities Lending Authorization Agreement is incorporated herein
by reference to Exhibit (h)(iv)(4) of Post-Effective Amendment No. 212 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on August 23, 2023.
|
(h)(iv)(5)
|
Fourth Amendment, dated January 1, 2022, to the Securities Lending Authorization Agreement is incorporated herein
by reference to Exhibit (h)(iv)(5) of Post-Effective Amendment No. 212 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on August 23, 2023.
|
(h)(iv)(6)
|
Fifth Amendment, dated February 24, 2022, to the Securities Lending Authorization Agreement is incorporated herein
by reference to Exhibit (h)(iv)(6) of Post-Effective Amendment No. 212 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on August 23, 2023.
|
(h)(iv)(7)
|
Sixth Amendment, dated September 6, 2023, to the Securities Lending Authorization Agreement is incorporated
herein by reference to Exhibit (h)(iv)(7) of Post-Effective Amendment No. 213 to the Registrant's Registration
Statement on Form N-1A, as filed with the SEC on October 26, 2023.
|
(h)(iv)(8)
|
Seventh Amendment, dated March 28, 2024, to the Securities Lending Authorization Agreement is incorporated
herein by reference to Exhibit (h)(iv)(8) of Post-Effective Amendment No. 214 to the Registrant's Registration
Statement on Form N-1A, as filed with the SEC on June 21, 2024.
|
(h)(iv)(9)
|
Eighth Amendment, dated July 3, 2024, to the Securities Lending Authorization Agreement is incorporated herein by
reference to Exhibit (h)(iv)(9) of Post-Effective Amendment No. 222 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on October 24, 2024.
|
(h)(iv)(10)
|
Ninth Amendment, dated January 3, 2025, to the Securities Lending Authorization Agreement is incorporated herein
by reference to Exhibit (h)(iv)(10) of Post-Effective Amendment No. 230 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on February 25, 2025.
|
(h)(v)
|
Form of Fund of Funds Investment Agreement is incorporated herein by reference to Exhibit (h)(v) of Post-Effective
Amendment No. 194 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on February 16,
2022.
|
(h)(vi)
|
Agreement to Provide Firm Bid Quotations and Obligations to Purchase, dated February 25, 2025, between the
Registrant and Apollo Global Securities, LLC is incorporated herein by reference to Exhibit (h)(vi) of Post-Effective
Amendment No. 232 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on March 5,
2025.
|
(h)(vii)
|
Agreement to Provide Firm Bid Quotations and Obligations to Purchase, dated August 28, 2025, between the
Registrant and Apollo Global Securities, LLC is incorporated herein by reference to Exhibit (h)(vii) of Post-Effective
Amendment No. 238 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on August 27,
2025.
|
(i)(i)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR® SSGA Multi-Asset Real
Return ETF, SPDR SSGA Income Allocation ETF, SPDR SSGA Conservative Global Allocation ETF, SPDR SSGA
Global Allocation ETF, SPDR SSGA Aggressive Global Allocation ETF, SPDR Blackstone/GSO Senior Loan ETF,
SPDR SSGA Ultra Short Term Bond ETF, SPDR MFS Systematic Core Equity ETF, SPDR MFS Systematic Growth
Equity ETF, SPDR MFS Systematic Value Equity ETF, SPDR SSGA Risk Aware ETF, SPDR DoubleLine Total Return
Tactical ETF, and State Street Clarion Global Infrastructure & MLP Portfolio, is incorporated herein by reference to
Exhibit (i) of Post-Effective Amendment No. 58 to the Registrant's Registration Statement on Form N-1A, as filed
with the SEC on October 28, 2015.
|
(i)(ii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the State Street Disciplined Global Equity
Portfolio, is incorporated herein by reference to Exhibit (i) of Post-Effective Amendment No. 72 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on February 18, 2016.
|
(i)(iii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR® DoubleLine® Short Duration
Total Return Tactical ETF, is incorporated herein by reference to Exhibit (i) of Post-Effective Amendment No. 82 to
the Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 12, 2016.
|
(i)(iv)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR® DoubleLine® Emerging
Markets Fixed Income ETF, is incorporated herein by reference to Exhibit (i) of Post-Effective Amendment No. 83 to
the Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 12, 2016.
|
(i)(v)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR® SSGA US Sector Rotation
ETF and SPDR® SSGA Fixed Income Sector Rotation ETF, is incorporated herein by reference to Exhibit (i)(v) of
Post-Effective Amendment No. 145 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
April 1, 2019.
|
(i)(vi)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Nuveen Municipal Bond ETF,
is incorporated herein by reference to Exhibit (i)(vi) of Post-Effective Amendment No. 167 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on February 2, 2021.
|
(i)(vii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Loomis Sayles Opportunistic
Bond ETF, is incorporated herein by reference to Exhibit (i)(vii) of Post-Effective Amendment No. 180 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 27, 2021.
|
(i)(viii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Blackstone High Income ETF,
is incorporated herein by reference to Exhibit (i)(viii) of Post-Effective Amendment No. 194 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on February 16, 2022.
|
(i)(ix)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Nuveen Municipal Bond ESG
ETF, is incorporated herein by reference to Exhibit (i)(ix) of Post-Effective Amendment No. 198 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on April 1, 2022.
|
(i)(x)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR SSGA US Equity Premium
Income ETF, is incorporated herein by reference to Exhibit (i)(x) of Post-Effective Amendment No. 218 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 4, 2024.
|
(i)(xi)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Galaxy Digital Asset
Ecosystem ETF, SPDR Galaxy Transformative Tech Accelerators ETF, and SPDR Galaxy Hedged Digital Asset
Ecosystem ETF, is incorporated herein by reference to Exhibit (i)(xi) of Post-Effective Amendment No. 219 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 9, 2024.
|
(i)(xii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR SSGA My2026 Corporate
Bond ETF, SPDR SSGA My2026 Municipal Bond ETF, SPDR SSGA My2027 Corporate Bond ETF, SPDR SSGA
My 2027 Municipal Bond ETF, SPDR SSGA My2028 Corporate Bond ETF, SPDR SSGA My2028 Municipal Bond
ETF, SPDR SSGA My2029 Corporate Bond ETF, SPDR SSGA My2029 Municipal Bond ETF, SPDR SSGA My2030
Corporate Bond ETF, SPDR SSGA My2030 Municipal Bond ETF, SPDR SSGA My2031 Corporate Bond ETF, SPDR
SSGA My2032 Corporate Bond ETF, SPDR SSGA My2033 Corporate Bond ETF and SPDR SSGA My2034
Corporate Bond ETF, is incorporated herein by reference to Exhibit (i)(xii) of Post-Effective Amendment No. 221 to
the Registrant's Registration Statement on Form N-1A, as filed with the SEC on September 23, 2024.
|
(i)(xiii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR SSGA IG Public & Private
Credit ETF, is incorporated herein by reference to Exhibit (i)(xiii) of Post-Effective Amendment No. 231 to the
Registrant's Registration Statement on Form N-1A, as filed with the SEC on February 26, 2025.
|
(i)(xiv)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR Bridgewater All Weather ETF,
is incorporated herein by reference to Exhibit (i)(xiv) of Post-Effective Amendment No. 232 to the Registrant's
Registration Statement on Form N-1A, as filed with the SEC on March 5, 2025.
|
(i)(xv)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the State Street Short Duration IG Public
& Private Credit ETF, is incorporated herein by reference to Exhibit (i)(xv) of Post-Effective Amendment No. 238 to
the Registrant's Registration Statement on Form N-1A, as filed with the SEC on August 27, 2025.
|
(i)(xvi)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the SPDR SSGA My2031 Municipal
Bond ETF and SPDR SSGA My2035 Corporate Bond ETF, is incorporated herein by reference to Exhibit (i)(xvi) of
Post-Effective Amendment No. 239 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
September 10, 2025.
|
(i)(xvii)
|
Opinion and consent of counsel, Morgan, Lewis & Bockius LLP, relating to the State Street My2027 High Yield
Corporate Bond ETF, State Street My2028 High Yield Corporate Bond ETF, State Street My2029 High Yield
Corporate Bond ETF, State Street My2030 High Yield Corporate Bond ETF and State Street My2031 High Yield
Corporate Bond ETF, to be filed by subsequent amendment.
|
(j)
|
Not applicable.
|
(k)
|
Not applicable.
|
(l)
|
Form of Seed Capital Subscription Agreement is incorporated herein by reference to Exhibit (l) of Pre-Effective
Amendment No. 4 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 20, 2012.
|
(m)
|
Not applicable.
|
(n)
|
Not applicable.
|
(o)
|
Not applicable.
|
(p)(i)
|
Registrant's Code of Ethics, adopted February 22, 2011, and last revised September 23, 2020, is incorporated herein
by reference to Exhibit (p)(i) of Post-Effective Amendment No. 233 to the Registrant's Registration Statement on
Form N-1A, as filed with the SEC on May 27, 2025.
|
(p)(ii)
|
Code of Ethics of SSGA FM, dated March 31, 2025, is incorporated herein by reference to Exhibit (p)(ii) of Post-
Effective Amendment No. 233 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
May 27, 2025.
|
(p)(iii)
|
Code of Ethics of Blackstone, dated January 2024, is incorporated herein by reference to Exhibit (p)(iii) of Post-
Effective Amendment No. 222 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
October 24, 2024.
|
(p)(iv)
|
Code of Ethics of DoubleLine, dated February 15, 2022, is incorporated herein by reference to Exhibit (p)(iv) of Post-
Effective Amendment No. 222 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
October 24, 2024.
|
(p)(v)
|
Code of Ethics of Nuveen Asset Management, dated July 10, 2024, is incorporated herein by reference to Exhibit
(p)(v) of Post-Effective Amendment No. 222 to the Registrant's Registration Statement on Form N-1A, as filed with
the SEC on October 24, 2024.
|
(p)(vi)
|
Code of Ethics of Loomis, effective January 14, 2000, and as amended November 30, 2023, is incorporated herein by
reference to Exhibit (p)(vi) of Post-Effective Amendment No. 222 to the Registrant's Registration Statement on Form
N-1A, as filed with the SEC on October 24, 2024.
|
(p)(vii)
|
Code of Ethics of Galaxy, dated November 2023, is incorporated herein by reference to Exhibit (p)(vii) of Post-
Effective Amendment No. 219 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
September 9, 2024.
|
(p)(viii)
|
Code of Ethics of Bridgewater, dated October 3, 2024, is incorporated herein by reference to Exhibit (p)(viii) of Post-
Effective Amendment No. 232 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
March 5, 2025.
|
(p)(ix)
|
Code of Ethics for the Independent Trustees is incorporated herein by reference to Exhibit (p)(viii) of Post-Effective
Amendment No. 198 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on April 1, 2022.
|
(q)(i)
|
Power of Attorney for Mses. Clancy, Richer, Rowsell and Sponem and Messrs. Churchill, Ross, Verboncoeur and
Rosenberg, dated May 18, 2023, is incorporated herein by reference to Exhibit (q) of Post-Effective Amendment No.
212 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on August 23, 2023.
|
(q)(ii)
|
Power of Attorney, dated November 8, 2024, for Ms. LaPorta is incorporated herein by reference to Exhibit (q)(ii) of
Post-Effective Amendment No. 223 to the Registrant's Registration Statement on Form N-1A, as filed with the SEC on
November 19, 2024.
|
Name
|
Principal Occupation
|
Jeanne LaPorta
|
Chairperson, Director and President; Executive Vice President of SSGA
|
Sean Driscoll
|
Director of SSGA FM; Managing Director of SSGA
|
Apea Amoa
|
Director of SSGA FM; Chief Financial Officer of SSGA
|
Brian Harris
|
Chief Compliance Officer of SSGA FM; Managing Director of SSGA
|
Steven Hamm
|
Treasurer of SSGA FM; Vice President of SSGA
|
Sean O'Malley, Esq.
|
Chief Legal Officer of SSGA FM; General Counsel of SSGA
|
Ann M. Carpenter
|
Chief Operating Officer of SSGA FM; Managing Director of SSGA
|
Tim Corbett
|
Chief Risk Officer of SSGA FM; Senior Vice President/Senior Managing Director of SSGA
|
Christyann Weltens
|
Derivates Risk Manager; Vice President of SSGA
|
David Ireland
|
CTA Chief Marketing Officer; Senior Vice President/Senior Managing Director of SSGA
|
David Urman, Esq.
|
Clerk of SSGA FM; Vice President and Senior Counsel of SSGA
|
Name
|
Position with and Name of Other Company
|
BLACKSTONE
ALTERNATIVE CREDIT
ADVISORS LP
|
MANAGING MEMBER
|
ZABLE, ROBERT, DANIEL
|
HEAD OF BLACKSTONE CREDIT'S LIQUID CREDIT STRATEGIES UNIT
|
SMITH, DANIEL, HARLAN
|
CHAIRMAN OF BLACKSTONE CREDIT'S LIQUID CREDIT STRATEGIES UNIT
|
BEENEY, MARISA, JANEL
|
GENERAL COUNSEL OF BLACKSTONE CREDIT
|
BOUGIAMAS, PANAYIOTA
|
CHIEF COMPLIANCE OFFICER OF BLACKSTONE LIQUID CREDIT STRATEGIES LLC
|
IANNARONE, THOMAS,
LAWRENCE
|
CHIEF OPERATING OFFICER OF BLACKSTONE LIQUID CREDIT STRATEGIES LLC
|
SCOTT, DONALD,
DWIGHT
|
PRESIDENT OF BLACKSTONE CREDIT
|
VONZUBEN, HEATHER,
CAREY
|
CHIEF OPERATING OFFICER OF BLACKSTONE CREDIT
|
KRESGE, KEVIN,
MICHAEL
|
HEAD OF FINANCE FOR BLACKSTONE CREDIT
|
Name
|
Position with and Name of Other Company
|
GUNDLACH, JEFFREY,
EDWARD
|
CHIEF EXECUTIVE OFFICER; CHIEF INVESTMENT OFFICER; DIRECTOR; LIMITED
PARTNER;EXECUTIVE COMMITTEE MEMBER
|
DOUBLELINE CAPITAL
GP LLC
|
GENERAL PARTNER
|
OAKTREE FUND GP II,
L.P.
|
LIMITED PARTNER
|
CHASE, HENRY, VANN
|
CHIEF FINANCIAL OFFICER; LIMITED PARTNER;EXECUTIVE COMMITTEE MEMBER
|
LARISCY, EARL, ALLAN
|
GENERAL COUNSEL; LIMITED PARTNER;EXECUTIVE COMMITTEE MEMBER
|
REDELL, RONALD,
ROBERT
|
EXECUTIVE COMMITTEE MEMBER; LIMITED PARTNER
|
SANTA ANA III, CRIS
|
CHIEF RISK OFFICER, EXECUTIVE COMMITTEE MEMBER, LIMITED PARTNER
|
VAN EVERY, BARBARA,
RUTH
|
EXECUTIVE COMMITTEE MEMBER; CHIEF MARKETING OFFICER; LIMITED PARTNER
|
MOORE, CASEY, LEE
|
CHIEF TECHNOLOGY OFFICER; EXECUTIVE COMMITTEE MEMBER; LIMITED PARTNER
|
SHERMAN, JEFFREY,
JOHN
|
EXECUTIVE COMMITTEE MEMBER; DEPUTY CHIEF INVESTMENT OFFICER; LIMITED
PARTNER
|
GUIA, YOUSE, ENRIQUE
|
CHIEF COMPLIANCE OFFICER; EXECUTIVE COMMITTEE MEMBER
|
ELAM, JOAN, LYNEA
|
CHIEF HUMAN RESOURCES OFFICER; EXECUTIVE COMMITTEE MEMBER; LIMITED
PARTNER
|
TOWNZEN, PATRICK,
AARON
|
CHIEF OPERATING OFFICER; EXECUTIVE COMMITTEE MEMBER; LIMITED PARTNER
|
Name
|
Position with and Name of Other Company
|
William T. Huffman
|
President
|
Stuart J. Cohen
|
Managing Director and Head of Legal
|
Travis M. Pauley
|
Chief Compliance Officer
|
Jon Stevens
|
Senior Managing Director
|
Megan Sendlak
|
Controller
|
Saira Malik
|
Executive Vice President
|
Name and Position with Loomis
|
Name and Principal Business Address of
Other Company
|
Connection with Other
Company
|
Kevin P. Charleston
Chairman, Chief Executive Officer,
President and Director
|
Loomis Sayles Funds I
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
Loomis Sayles Funds II
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Natixis Funds Trust I
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Natixis Funds Trust II
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Natixis Funds Trust IV
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Natixis ETF Trust
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Natixis ETF Trust II
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Gateway Trust
888 Boylston Street, Boston, MA 02199
|
Trustee
|
|
Loomis Sayles Distributors, Inc.
One Financial Center, Boston, MA 02111
|
Director
|
|
Loomis Sayles Investments Limited
The Economist Plaza, 25 St. James's
Street, London, England SW1A 1 HA
|
Representative of Loomis Sayles as a
corporate Director
|
|
Loomis Sayles Trust Company, LLC
One Financial Center, Boston, MA 02111
|
Manager and President
|
|
Loomis Sayles Investments Asia Pte. Ltd.
10 Collyer Quay #14-06, Ocean Financial
Centre, Singapore 049315
|
Director
|
|
Loomis Sayles Operating Services, LLC
One Financial Center, Boston, MA 02111
(dissolved 12/20/22)
|
Director, Chairman and President (2020 -
2022)
|
Name and Position with Loomis
|
Name and Principal Business Address of
Other Company
|
Connection with Other
Company
|
NIM-os, LLC
One Financial Center, Boston, MA 02111
|
Manager
|
|
Matthew J. Eagan
Co-Head and Portfolio Manager, Full
Discretion, and Director
|
None.
|
None.
|
Daniel J. Fuss
Vice Chairman and Director
|
Loomis Sayles Funds I
888 Boylston Street, Boston, MA 02199
|
Executive Vice President (2003 - 2021)
|
Loomis Sayles Funds II
888 Boylston Street, Boston, MA 02199
|
Executive Vice President (2003 - 2021)
|
|
John R. Gidman
Chief Operating Officer and Director
|
Loomis Sayles Operating Services, LLC
One Financial Center, Boston, MA 02111
(dissolved 12/20/22)
|
Director and Chief Executive Officer
(2020 - 2022)
|
NIM-os, LLC
One Financial Center, Boston, MA 02111
|
Manager
|
|
David L. Giunta
Director
|
Natixis Investment Managers
888 Boylston Street, Boston, MA 02199
|
President and Chief Executive Officer, US
|
Natixis Advisors, LLC
888 Boylston Street, Boston, MA 02199
|
President and Chief Executive Officer
|
|
Compliance, Risk and Internal Control
Committee (formerly known as Natixis
Distribution Corporation)
888 Boylston Street, Boston, MA 02199
|
Chairman, President and Chief Executive
Officer
|
|
Natixis Distribution, LLC
888 Boylston Street, Boston, MA 02199
|
President and Chief Executive Officer
|
|
Loomis Sayles Funds I
888 Boylston Street, Boston, MA 02199
|
Trustee and Executive Vice President
|
|
Loomis Sayles Funds II
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Natixis Funds Trust I
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Natixis Funds Trust II
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Natixis Funds Trust IV
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Natixis ETF Trust
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Natixis ETF Trust II
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
Gateway Trust
888 Boylston Street, Boston, MA 02199
|
Trustee, President and Chief Executive
Officer
|
|
NIM-os, LLC
One Financial Center, Boston, MA 02111
|
Manager
|
|
Aziz V. Hamzaogullari
Chief Investment Officer of the Growth
Equity Strategies, Portfolio Manager and
Director
|
None.
|
None.
|
Kinji Kato
Director
|
Natixis Investment Managers Japan
Ark Hills South Tower 8F, 4-5, Roppongi
1-chome, Minato-ku, Tokyo 106-0032
Japan
|
Honorary Chairman
|
Maurice Leger
Head of Global Distribution and Director
|
Loomis Sayles Trust Company, LLC
One Financial Center, Boston, MA 02111
|
Manager
|
Richard G. Raczkowski
Co-Head and Portfolio Manager, Relative
Return, and Director
|
None.
|
None.
|
Name and Position with Loomis
|
Name and Principal Business Address of
Other Company
|
Connection with Other
Company
|
Rebecca O'Brien Radford
General Counsel, Secretary and Director
(1/1/23 to present); Deputy General
Counsel (2021 - 2023)
|
Loomis Sayles Distributors, Inc.
One Financial Center, Boston, MA 02111
|
Director
|
Loomis Sayles Investments Limited
The Economist Plaza, 25 St. James's
Street, London, England SW1A 1 HA
|
General Counsel and Secretary
|
|
Loomis Sayles Trust Company, LLC
One Financial Center, Boston, MA 02111
|
Manager and Secretary
|
|
Loomis Sayles Operating Services, LLC
One Financial Center, Boston, MA 02111
(dissolved 12/20/22)
|
Director and Secretary (2020 - 2022)
|
|
NIM-os, LLC
One Financial Center, Boston, MA 02111
|
Manager and General Counsel
|
|
John F. Russell
Head of Human Resources and Director
|
None.
|
None.
|
Timothy F. Ryan
Director
|
Natixis Investment Managers
888 Boylston Street, Boston, MA 02199
|
Chief Executive Officer and Head of Asset
& Wealth Management
|
Susan L. Sieker
Chief Financial Officer and Director
|
Loomis Sayles Investments Limited
The Economist Plaza, 25 St. James's
Street, London, England SW1A 1 HA
|
Chief Financial Officer
|
Loomis Sayles Trust Company, LLC
One Financial Center, Boston, MA 02111
|
Manager and Chief Financial Officer
|
|
NIM-os, LLC
One Financial Center, Boston, MA 02111
|
Manager and Chief Financial Officer
|
|
Elaine M. Stokes
Co-Head and Portfolio Manager, Full
Discretion, and Director
|
None.
|
None.
|
David L. Waldman
Deputy Chief Investment Officer (2013 -
2021), Chief Investment Officer (2021 to
present) and Director
|
None.
|
None.
|
Name
|
Position with and Name of Other Company
|
GALAXY DIGITAL CAPITAL MANAGEMENT GP LLC
|
GENERAL PARTNER
|
GALAXY DIGITAL LP
|
LIMITED PARTNER
|
Siegel, Andrew, Neal
|
GENERAL COUNSEL AND AUTHORIZED PERSON
|
Kurz, Stephen, Janus
|
HEAD, ASSET MANAGEMENT DIVISION, AND
AUTHORIZED PERSON
|
Ferraro, Christopher
|
PRESIDENT
|
Paquette, Anthony Philip
|
CHIEF FINANCIAL OFFICER
|
Srivastava, Lagan
|
CHIEF COMPLIANCE OFFICER
|
Name
|
Position with and Name of Other Company
|
Nir Bar Dea
|
Chief Executive Officer
|
Greg Jensen
|
Co-Chief Investment Officer
|
Bob Prince
|
Co-Chief Investment Officer
|
Karen Karniol-Tambour
|
Co-Chief Investment Officer
|
Name and Principal
Business Address*
|
Positions and Offices with Underwriter
|
Positions and Offices
with the Trust
|
Jeanne LaPorta
|
Chairperson and Manager
|
Interested Trustee
|
Allison Bonds Mazza
|
President and Manager
|
None
|
Editha V. Tenorio
|
Chief Financial Officer
|
None
|
Sean O'Malley
|
Chief Legal Officer
|
None
|
Mark Trabucco
|
Chief Compliance Officer and Anti-Money Laundering Officer
|
None
|
Jessica Cross
|
Secretary
|
None
|
Sean Driscoll
|
Manager
|
None
|
David Maxham
|
Manager
|
None
|
Christine Stokes
|
Manager
|
None
|
John Tucker
|
Manager
|
None
|
SSGA ACTIVE TRUST
|
|
By:
|
/s/ Ann M. Carpenter
|
Ann M. Carpenter
|
|
President
|
Signature
|
Title
|
Date
|
/s/ Carolyn M. Clancy*
|
Trustee
|
September 26, 2025
|
Carolyn M. Clancy
|
||
/s/ Dwight D. Churchill*
|
Trustee
|
September 26, 2025
|
Dwight D. Churchill
|
||
/s/ Clare S. Richer*
|
Trustee
|
September 26, 2025
|
Clare S. Richer
|
||
/s/ Kristi L. Rowsell*
|
Trustee
|
September 26, 2025
|
Kristi L. Rowsell
|
||
/s/ Sandra G. Sponem*
|
Trustee
|
September 26, 2025
|
Sandra G. Sponem
|
||
/s/ Carl G. Verboncoeur*
|
Trustee
|
September 26, 2025
|
Carl G. Verboncoeur
|
||
/s/ Jeanne LaPorta*
|
Trustee
|
September 26, 2025
|
Jeanne LaPorta
|
||
/s/ James E. Ross*
|
Trustee
|
September 26, 2025
|
James E. Ross
|
||
/s/ Ann M. Carpenter
|
President and Principal Executive Officer
|
September 26, 2025
|
Ann M. Carpenter
|
||
/s/ Bruce S. Rosenberg
|
Treasurer and Principal Financial Officer (Principal
Accounting Officer)
|
September 26, 2025
|
Bruce S. Rosenberg
|
*By:
|
/s/ Edmund Gerard Maiorana, Jr.
|
Edmund Gerard Maiorana, Jr.
As Attorney-in-Fact
Pursuant to Powers of Attorney
|