The Goldman Sachs Group, Inc. logo

The Goldman Sachs Group, Inc.

GS-PD

NYSEFinancial ServicesFinancial - Capital Markets

Previous close

$18.73

−$0.03 · -0.16%

Aug 21, 4:00 PM ET

GS-PD company overview

Regular session · ET · Market data may be delayed.

GoAI snapshot

AI-powered factor overview

Jul 10, 2026

GoAI score

Buy

Favorable setup — positive multi-factor alignment

Valuation

90

Deep Value

Momentum

35

Weakening

Sentiment

58

Mixed

Risk resilience

77

Moderate Risk

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Company profile

Company website

The Goldman Sachs Group, Inc. is a prominent global financial services firm, delivering an extensive array of financial solutions to a diverse client base, including corporations, other financial institutions, governmental bodies, and individual clients across the globe. Its operations are structured into four key business divisions: Investment Banking, Global Markets, Asset Management, and Consumer & Wealth Management. The Investment Banking segment offers specialized financial advisory services, encompassing strategic counsel for mergers, acquisitions, divestitures, corporate defense, reorganizations, and spin-offs. It also provides various lending solutions, such as middle-market, relationship-based, and acquisition financing, alongside transaction banking services. Furthermore, it handles underwriting for both equity instruments (like common and preferred stock, convertible securities) and a wide range of debt products (including investment-grade, high-yield, bank/bridge loans, and emerging/growth-market debt), and originates structured financial products. The Global Markets division focuses on executing client transactions involving cash and derivative instruments, managing credit and interest rate products, and facilitating equity intermediation and financing. It also provides crucial clearing, settlement, and custody services, along with products related to mortgages, foreign exchange, commodities, and equities. Through its Asset Management arm, the company oversees investments across numerous asset classes, including stocks, bonds, hedge funds, credit funds, private equity, real estate, currencies, and commodities. It crafts bespoke investment advisory strategies and makes direct investments in corporate, real estate, and infrastructure ventures. The Consumer & Wealth Management segment delivers comprehensive wealth advisory and banking services, which include financial planning, investment management, deposit services, and various lending options. It also offers private banking, unsecured loans, and accepts both savings and time deposits. Established in 1869, the company maintains its headquarters in New York City.

Industry
Financial - Capital Markets
Sector
Financial Services
Headquarters
US
CEO
David Solomon
Listed since
Jun 7, 2006
Employees
47,400

Market position

Day range

Current $18.73

52-week range

Current $18.73

Open
$18.745
Previous close
$18.76
Volume
89.19K
0.68× average
Average volume
130.62K
Average daily volume
Market cap
199.36B USD
Beta
1.29
Market reference 1
50-day average
$18.9291
-1.05% below average
200-day average
$19.3822
-3.37% below average

Financials

Financial snapshot

Latest / TTM

Valuation & yield

Enterprise value
720.14B USD
P/E (TTM)
15.83×
P/B (TTM)
2.54×
P/S (TTM)
2.6×
EV / EBITDA
29.96×
Earnings yield
6.25%
Free cash flow yield
-17.18%
Dividend yield
1.64%

Profitability & efficiency

Gross margin
57.29%
Operating margin
24.81%
Net margin
17.78%
Return on equity
13.74%
Return on assets
0.95%
Return on invested capital
1.92%

Financial health

Debt / equity
6.04×
Current ratio
0.83×
Altman Z-score
0.25
Piotroski F-score
6 of 9

Financial statements

Margin trends

Profitability as a percentage of reported revenue.

Gross marginOperating marginNet margin
Gross, operating, and net margin trends99%66%33%-0%Gross margin, FY2021: 90.76%Gross margin, FY2022: 64.98%Gross margin, FY2023: 41.71%Gross margin, FY2024: 41.12%Gross margin, FY2025: 47.48%Operating margin, FY2021: 41.61%Operating margin, FY2022: 19.63%Operating margin, FY2023: 9.91%Operating margin, FY2024: 14.50%Operating margin, FY2025: 17.47%Net margin, FY2021: 33.29%Net margin, FY2022: 16.39%Net margin, FY2023: 7.85%Net margin, FY2024: 11.25%Net margin, FY2025: 13.73%FY2021FY2022FY2023FY2024FY2025
Gross margin FY2021 90.76%. Gross margin FY2022 64.98%. Gross margin FY2023 41.71%. Gross margin FY2024 41.12%. Gross margin FY2025 47.48%. Operating margin FY2021 41.61%. Operating margin FY2022 19.63%. Operating margin FY2023 9.91%. Operating margin FY2024 14.50%. Operating margin FY2025 17.47%. Net margin FY2021 33.29%. Net margin FY2022 16.39%. Net margin FY2023 7.85%. Net margin FY2024 11.25%. Net margin FY2025 13.73%.

Income trends

Revenue

125.1B USD-1.38%

Operating income

21.85B USD+18.78%

Net income

17.18B USD+20.31%
Income trends across reported periods138.69B USD91.35B USD44.02B USD−3.32B USDRevenue, FY2021: 64.99B USDRevenue, FY2022: 68.71B USDRevenue, FY2023: 108.42B USDRevenue, FY2024: 126.85B USDRevenue, FY2025: 125.1B USDOperating income, FY2021: 27.04B USDOperating income, FY2022: 13.49B USDOperating income, FY2023: 10.74B USDOperating income, FY2024: 18.4B USDOperating income, FY2025: 21.85B USDNet income, FY2021: 21.64B USDNet income, FY2022: 11.26B USDNet income, FY2023: 8.52B USDNet income, FY2024: 14.28B USDNet income, FY2025: 17.18B USDFY2021FY2022FY2023FY2024FY2025
Revenue FY2021 64.99B USD. Revenue FY2022 68.71B USD. Revenue FY2023 108.42B USD. Revenue FY2024 126.85B USD. Revenue FY2025 125.1B USD. Operating income FY2021 27.04B USD. Operating income FY2022 13.49B USD. Operating income FY2023 10.74B USD. Operating income FY2024 18.4B USD. Operating income FY2025 21.85B USD. Net income FY2021 21.64B USD. Net income FY2022 11.26B USD. Net income FY2023 8.52B USD. Net income FY2024 14.28B USD. Net income FY2025 17.18B USD.
Metric (USD)FY2025FY2024FY2023FY2022FY2021
Revenue125.1B USD126.85B USD108.42B USD68.71B USD64.99B USD
Cost of goods sold65.7B USD74.69B USD63.19B USD24.06B USD6.01B USD
Gross profit59.4B USD52.16B USD45.23B USD44.65B USD58.98B USD
Selling, general, and administrative19.62B USD17.35B USD16.13B USD15.96B USD18.27B USD
Operating expenses37.54B USD33.77B USD34.49B USD31.16B USD31.94B USD
Interest income80.37B USD81.4B USD68.52B USD29.02B USD12.12B USD
Interest expense66.81B USD73.34B USD62.16B USD21.35B USD5.65B USD
Depreciation and amortization2.18B USD2.39B USD4.86B USD2.46B USD2.02B USD
Operating income21.85B USD18.4B USD10.74B USD13.49B USD27.04B USD
Net income17.18B USD14.28B USD8.52B USD11.26B USD21.64B USD

Company facts updated Aug 24, 2026.

Earnings

EPS beat rate
100%
10 beats, 0 misses, 0 met estimates
Average EPS surprise
+25.39%
10 comparable reports
Latest EPS result
20.98
Estimate 14.54 · Beat by 44.29%

EPS: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly EPS actual values compared with estimates2217.0612.137.19Q1 '25BeatQ2 '25BeatQ3 '25BeatQ4 '25BeatQ1 '26BeatQ2 '26BeatQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Jan 15, 2025: actual 11.95, estimate 8.21, surprise +45.55%, Beat. Q2 2025, reported Apr 14, 2025: actual 14.6, estimate 12.32, surprise +18.51%, Beat. Q3 2025, reported Jul 14, 2025: actual 11.7, estimate 9.65, surprise +21.24%, Beat. Q4 2025, reported Oct 13, 2025: actual 13.01, estimate 11.03, surprise +17.95%, Beat. Q1 2026, reported Jan 15, 2026: actual 14.01, estimate 11.7, surprise +19.74%, Beat. Q2 2026, reported Apr 13, 2026: actual 17.55, estimate 16.47, surprise +6.56%, Beat. Q3 2026, reported Jul 14, 2026: actual 20.98, estimate 14.54, surprise +44.29%, Beat. Q4 2026, reported Oct 13, 2026: actual —, estimate 16.42, surprise —, Comparison unavailable.

Revenue: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly Revenue actual values compared with estimates32.86B25.15B17.45B9.74BQ1 '25BeatQ2 '25MissQ3 '25BeatQ4 '25MissQ1 '26MissQ2 '26BeatQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Jan 15, 2025: actual 13.87B USD, estimate 12.36B USD, surprise +12.23%, Beat. Q2 2025, reported Apr 14, 2025: actual 12.17B USD, estimate 13.52B USD, surprise -10.03%, Miss. Q3 2025, reported Jul 14, 2025: actual 31.27B USD, estimate 14.09B USD, surprise +121.95%, Beat. Q4 2025, reported Oct 13, 2025: actual 11.33B USD, estimate 14.12B USD, surprise -19.77%, Miss. Q1 2026, reported Jan 15, 2026: actual 13.45B USD, estimate 14.52B USD, surprise -7.34%, Miss. Q2 2026, reported Apr 13, 2026: actual 17.23B USD, estimate 16.99B USD, surprise +1.39%, Beat. Q3 2026, reported Jul 14, 2026: actual 20.34B USD, estimate 16.22B USD, surprise +25.35%, Beat. Q4 2026, reported Oct 13, 2026: actual —, estimate 17.64B USD, surprise —, Comparison unavailable.

Analyst ratings

Third-party consensus; not a GoAI recommendation.

Rating distribution

41 ratings
Strong buy00%
Buy2254%
Hold1741%
Sell25%
Strong sell00%

Recent analyst actions

4 institutions
Morgan StanleymaintainEqual Weight
CitigroupmaintainNeutral

Corporate actions

Annual dividends per share

Cash distributions grouped by calendar year; partial years are marked.

$1.3275

2025 complete year+30.9% since 2021

2026 partial: $0.8816

* Partial calendar year in the available dividend history.

Corporate action history

Dividend

Ex-dividend Jul 24, 2026

$0.2894

Quarterly

Record Jul 26, 2026 · Payment Aug 10, 2026

Dividend

Ex-dividend Apr 24, 2026

$0.2857

Quarterly

Record Apr 26, 2026 · Payment May 11, 2026

Dividend

Ex-dividend Jan 26, 2026

$0.3065

Quarterly

Record Jan 26, 2026 · Payment Feb 10, 2026

Dividend

Ex-dividend Oct 24, 2025

$0.3259

Quarterly

Record Oct 26, 2025 · Payment Nov 10, 2025

Dividend

Ex-dividend Jul 25, 2025

$0.3306

Quarterly

Record Jul 27, 2025 · Payment Aug 11, 2025

Dividend

Ex-dividend Apr 25, 2025

$0.3304

Quarterly

Record Apr 27, 2025 · Payment May 12, 2025

GS-PD peers

ETFs holding GS-PD

Funds reporting this stock among their holdings, ordered by reported position size.

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