bf/NYSE:GS_icon.png

XETRA:GOS

Goldman Sachs Group, Inc.

  • Stock

EUR

Last Close

491.71

26/07 20:00

Market Cap

154.42B

Beta: 1.40

Volume Today

1.64M

Avg: 453

PE Ratio

16.61

PFCF: −71.61

Dividend Yield

2.73%

Payout:52.81%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
8.04B
-
8.48B
5.44%
6.08B
28.24%
7.40B
21.62%
4.29B
42.07%
10.46B
144.03%
8.47B
19.06%
9.46B
11.73%
21.64B
128.72%
11.26B
47.95%
8.52B
24.38%
depreciation and amortization
1.32B
-
1.34B
1.13%
991M
25.88%
998M
0.71%
1.15B
15.43%
1.33B
15.28%
1.70B
28.31%
1.90B
11.62%
2.02B
5.94%
2.46B
21.84%
4.86B
97.80%
deferred income tax
29M
-
495M
1,606.90%
425M
14.14%
551M
29.65%
5.46B
890.56%
-2.65B
148.46%
-334M
87.37%
-833M
149.40%
5M
100.60%
-2.41B
48,340%
-1.36B
43.62%
stock based compensation
2.02B
-
2.08B
3.47%
2.27B
8.97%
2.11B
7.09%
1.77B
16.20%
1.83B
3.50%
2.02B
10.21%
1.92B
4.86%
2.35B
22.29%
4.08B
73.89%
2.08B
48.93%
change in working capital
-6.65B
-
-19.73B
196.57%
-2.78B
85.93%
-5.49B
97.80%
-30.29B
451.68%
8.93B
129.49%
10.97B
22.78%
-29.27B
366.87%
-25.44B
13.10%
-9.39B
63.07%
-725M
92.28%
accounts receivables
-7.69B
-
-30.89B
301.60%
21.97B
171.12%
35.01B
59.36%
inventory
accounts payables
1.63B
-
other working capital
-8.28B
-
-19.73B
138.17%
-2.78B
85.93%
-5.49B
97.80%
-30.29B
451.68%
8.93B
129.49%
18.66B
108.89%
1.62B
91.31%
-47.41B
3,022.93%
-44.41B
6.33%
-725M
98.37%
other non cash items
-211M
-
-289M
36.97%
-34M
88.24%
3M
108.82%
-114M
3,900%
514M
550.88%
1.04B
103.31%
3.10B
196.36%
357M
88.47%
2.71B
660.50%
-3.66B
234.81%
net cash provided by operating activities
4.54B
-
-7.62B
267.80%
6.96B
191.32%
5.57B
19.98%
-17.74B
418.53%
20.42B
215.10%
23.87B
16.88%
-13.73B
157.52%
921M
106.71%
8.71B
845.49%
9.71B
11.53%
investments in property plant and equipment
-706M
-
-678M
3.97%
-1.83B
170.35%
-2.88B
56.90%
-3.19B
10.74%
-7.98B
150.61%
-8.44B
5.78%
-6.31B
25.28%
-4.67B
26.03%
-3.75B
19.69%
-2.32B
38.21%
acquisitions net
-2.27B
-
-1.73B
23.83%
-1.81B
4.39%
14.92B
925.33%
-2.38B
115.97%
-162M
93.20%
-803M
395.68%
-231M
71.23%
3.93B
1,802.60%
-2.12B
153.78%
487M
123.03%
purchases of investments
-738M
-
-1M
-
-1.17B
117,000%
-9.85B
741.42%
-3.79B
61.53%
-29.77B
685.57%
-48.67B
63.47%
-39.91B
17.99%
-60.54B
51.67%
-40.26B
33.50%
sales maturities of investments
3.32B
-
1.51B
54.40%
1.02B
32.69%
1.51B
48.38%
2.89B
90.94%
411M
85.76%
17.81B
4,233.82%
29.06B
63.13%
45.70B
57.28%
12.96B
71.64%
26.85B
107.14%
other investing activites
-8.33B
-
-14.01B
68.22%
-15.95B
13.83%
-3.12B
80.46%
-16.58B
431.99%
-11.15B
32.73%
-3.03B
72.84%
-8.20B
170.82%
-35.52B
333.01%
-22.52B
36.59%
-2.08B
90.79%
net cash used for investing activites
-8.73B
-
-14.91B
70.82%
-18.57B
24.58%
9.27B
149.91%
-29.12B
414.09%
-22.68B
22.11%
-24.24B
6.87%
-34.36B
41.76%
-30.46B
11.33%
-75.96B
149.34%
-17.31B
77.21%
debt repayment
-34.10B
-
-37.38B
9.62%
-36.02B
3.64%
-43.93B
21.96%
-35.48B
19.23%
-46.73B
31.69%
-51.61B
10.45%
-59.19B
14.68%
-59.20B
0.02%
-46.21B
21.93%
-3.57B
92.27%
common stock issued
65M
-
123M
89.23%
259M
110.57%
6M
97.68%
7M
16.67%
38M
442.86%
59.91B
157,568.42%
133.58B
122.96%
204.04B
52.74%
1.50B
-
common stock repurchased
-6.17B
-
-5.47B
11.43%
-4.13B
24.39%
-7.25B
75.31%
-7.86B
8.41%
-3.98B
49.37%
-6.43B
61.72%
-2.28B
64.60%
-7.88B
245.70%
-3.50B
55.56%
-5.80B
65.60%
dividends paid
-1.30B
-
-1.45B
11.67%
-1.68B
15.61%
-1.71B
1.49%
-1.77B
3.69%
-1.81B
2.32%
-2.10B
16.24%
-2.34B
11.03%
-2.73B
16.65%
-3.68B
35.12%
-4.19B
13.77%
other financing activites
34.16B
-
63.18B
84.94%
70.70B
11.89%
66.31B
6.20%
80.30B
21.09%
75.23B
6.32%
3.60B
95.21%
599M
83.37%
497M
17.03%
113.00B
22,635.81%
39.86B
64.73%
net cash used provided by financing activities
-7.35B
-
19.00B
358.45%
29.12B
53.26%
13.43B
53.87%
35.20B
162.05%
22.75B
35.36%
3.37B
85.20%
70.38B
1,990.29%
134.74B
91.44%
59.60B
55.76%
27.80B
53.36%
effect of forex changes on cash
4.81B
-
-5.38B
211.86%
-11.56B
115.01%
1.85B
116.01%
net change in cash
-11.54B
-
-3.53B
69.37%
17.50B
595.47%
28.27B
61.51%
-11.66B
141.24%
20.50B
275.78%
3.00B
85.37%
22.30B
643.45%
105.19B
371.81%
-19.21B
118.26%
9.71B
150.55%
cash at beginning of period
72.67B
-
61.13B
15.87%
57.60B
5.78%
93.44B
62.22%
121.71B
30.26%
110.05B
9.58%
130.55B
18.62%
133.55B
2.30%
155.84B
16.70%
261.04B
67.50%
241.82B
7.36%
cash at end of period
61.13B
-
57.60B
5.78%
75.11B
30.39%
121.71B
62.05%
110.05B
9.58%
130.55B
18.62%
133.55B
2.30%
155.84B
16.70%
261.04B
67.50%
241.82B
7.36%
251.54B
4.02%
operating cash flow
4.54B
-
-7.62B
267.80%
6.96B
191.32%
5.57B
19.98%
-17.74B
418.53%
20.42B
215.10%
23.87B
16.88%
-13.73B
157.52%
921M
106.71%
8.71B
845.49%
9.71B
11.53%
capital expenditure
-706M
-
-678M
3.97%
-1.83B
170.35%
-2.88B
56.90%
-3.19B
10.74%
-7.98B
150.61%
-8.44B
5.78%
-6.31B
25.28%
-4.67B
26.03%
-3.75B
19.69%
-2.32B
38.21%
free cash flow
3.84B
-
-8.30B
316.34%
5.13B
161.78%
2.69B
47.46%
-20.93B
876.80%
12.44B
159.44%
15.43B
24.01%
-20.04B
229.90%
-3.75B
81.30%
4.96B
232.41%
7.40B
49.11%

All numbers in EUR (except ratios and percentages)