The Goldman Sachs Group Inc (GS)

Industry Capital Markets

This stock can be held in an Investment ISA and an Investment Account
Sell

$614.40

Buy

$616.89

arrow-up$4.30 (+0.70%)

Goldman Sachs Group Inc is engaged in capital market activities. Its services primarily include investment banking operations.
Prices updated at 16 May 2025, 00:41 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
32,616m36,456m36,526m44,559m59,339m47,365m46,254m53,512m
--------
--------
--------
4,286m10,459m8,466m9,459m21,635m11,261m8,516m14,276m
--------
Sales, General and administrative12,241m13,068m13,092m13,710m18,272m15,960m16,128m17,352m
Interest expenses10,181m15,912m17,376m8,938m5,650m21,346m62,164m73,341m
Provision for income taxes6,846m2,022m2,117m3,020m5,409m2,225m2,223m4,121m
Operating expenses--------
Income before taxes11,132m12,481m10,583m12,479m27,044m13,486m10,739m18,397m
Net income available to common shareholders3,685m9,860m7,897m8,915m21,151m10,764m7,907m13,525m
9.1225.5321.1824.9460.25000130.4223.0541.07
Net interest income2,932m3,767m4,362m4,751m6,470m7,678m6,351m8,056m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)9.0125.2721.0324.7459.45000130.0622.8740.54
Free cash flow per share-27.7499-27.8498-46.925336.3051-36.0724124.5929-56.9488-268.4297
Book value/share200.3395205.4674232.6489236.7035288.8241324.219328.0203347.4834
Debt equity ratio3.2331152.9883642.8005112.6944852.6783512.4078192.3660762.316756

Balance sheet

20172018201920202021202220232024
Current assets--------
Current liabilities--------
Total capital309,841m326,212m309,294m321,950m373,392m371,434m364,772m371,865m
Total debt289,416m286,084m277,025m294,389m321,879m324,199m333,248m342,555m
Total equity82,243m90,185m90,265m95,932m109,926m117,189m116,905m121,996m
Total non current liabilities--------
Loans227,598m236,027m219,029m226,018m263,466m254,245m247,867m249,869m
Total assets916,776m931,796m992,968m1,163,028m1,463,988m1,441,799m1,641,594m1,675,972m
Total liabilities--------
Cash and cash equivalents110,051m130,547m133,546m155,842m261,036m241,825m241,577m182,092m
Common stock375m368m347m344m334m335m323m311m

Cash flow

20172018201920202021202220232024
Cash at beginning of period121,711m110,051m130,547m133,546m155,842m261,036m241,825m241,577m
Cash dividends paid-1,769m-1,810m-2,104m-2,336m-2,725m-3,682m-4,189m-4,497m
-20,927m12,439m15,425m-20,037m-3,746m4,960m-14,903m-15,303m
Investments (gains) losses-29,116m-22,677m-24,236m-34,356m-30,465m-75,960m-17,312m-49,624m
110,051m130,547m133,546m155,842m261,036m241,825m241,577m182,092m
Net income--------
-17,742m20,421m23,868m-13,728m921m8,708m-12,587m-13,212m
-3,185m-7,982m-8,443m-6,309m-4,667m-3,748m-2,316m-2,091m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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