GOLDMAN SACHS EQUITY PORTFOLIOS, INC.
Supplement dated September 18, 1995 to
Statement of Additional Information dated June 1, 1995
The following replaces Appendix B and Appendix C
The Company may from time to time use comparisons, graphs or
charts in advertisements to depict the following types of
information:
the performance of various types of securities (common
stocks, small company stocks, long-term government
bonds, treasury bills and certificates of deposit)
over time. However, the characteristics of these
securities are not identical to, and may be very
different from, those of a Fund's portfolio;
the dollar and non-dollar based returns of various
market indices (i.e., Morgan Stanley Capital
International EAFE Index, FT-Actuaries Europe &
Pacific Index and the Standard & Poor's Index of 500
Common Stocks) over varying periods of time;
total stock market capitalizations of specific
countries and regions on a global basis;
performance of securities markets of specific
countries and regions; and
value of a dollar amount invested in a particular
market or type of security over different periods of
time.
In addition, the Company may from time to time include
rankings of Goldman, Sachs & Co.'s research department by
publications such as the Institutional Investor and the Wall Street
Journal in advertisements.