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Goldman Sachs Group (GS)

Goldman Sachs Group (GS)
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Company Info

Goldman Sachs Group 200 WEST STREET NEW YORK NY 10282 USA

www.goldmansachs.com Employees: 45,300 P: 212-902-1000 F: 212-428-5737

Description:

The Goldman Sachs Group, Inc. is a leading global financial holding company providing IB, securities, investment management and consumer banking services to a diversified client base. It has 4 broad segments. The IB segment comprises the Financial Advisory, Underwriting and lending to corporate clients. The Global Markets segment comprises Fixed Income, Currency and Commodities, which include client-execution activities related to making markets in credit products, interest rate products, mortgages, currencies and commodities. Equities include client execution activities related to making markets in equities, commissions and fees, and its securities services business, warehouse lending & structured financing to institutional clients, advisory and underwriting assignments. The Consumer & Wealth Management segment includes management and other fees, incentive fees and results from deposit-taking activities related to wealth management business. The Asset Management division comprises management and other fees.

Key Statistics

Overview:

Market Capitalization, $K 183,646,784
Enterprise Value, $K 195,149,792
Shares Outstanding, K 313,910
Annual Sales, $ 46,254 M
Annual Net Income, $ 8,516 M
Last Quarter Sales, $ 12,699 M
Last Quarter Net Income, $ 2,990 M
EBIT, $ 18,068 M
EBITDA, $ 22,924 M
60-Month Beta 1.38
% of Insider Shareholders 0.54%
% of Institutional Shareholders 71.21%
Float, K 312,215
% Float 99.46%
Short Volume Ratio 0.51

Growth:

1-Year Return 68.46%
3-Year Return 53.23%
5-Year Return 155.55%
5-Year Revenue Growth 26.32%
5-Year Earnings Growth -9.50%
5-Year Dividend Growth 233.33%

Per-Share Information:

Most Recent Earnings 8.40 on 10/15/24
Next Earnings Date 01/21/25
Earnings Per Share ttm 34.08
EPS Growth vs. Prev Qtr -2.55%
EPS Growth vs. Prev Year 53.56%
Annual Dividend Rate, $ 11.50
Annual Dividend Yield 1.97%
Most Recent Dividend 3.000 on 12/02/24
Next Ex-Dividends Date 12/02/24
Dividend Payable Date 12/30/24
Dividend Payout Ratio 29.52%

GS Ratios

Ratio
Price/Earnings ttm 17.43
Price/Earnings forward 15.99
Price/Earnings to Growth 0.86
Return-on-Equity % 11.38%
Return-on-Assets % 0.72%
Profit Margin % 18.41%
Debt/Equity 2.06
Price/Sales 1.72
Price/Cash Flow 14.49
Price/Book 1.73
Book Value/Share 386.10
Interest Coverage -1.36

GS Dividends

Date Value
12/02/24 $3.0000
08/30/24 $3.0000
05/30/24 $2.7500
02/28/24 $2.7500
11/29/23 $2.7500
08/30/23 $2.7500
05/31/23 $2.5000
03/01/23 $2.5000
11/30/22 $2.5000
08/31/22 $2.5000
05/31/22 $2.0000
03/01/22 $2.0000
12/01/21 $2.0000
08/31/21 $2.0000
05/28/21 $1.2500
03/01/21 $1.2500
12/01/20 $1.2500
08/31/20 $1.2500
05/29/20 $1.2500
02/28/20 $1.2500
11/29/19 $1.2500
08/29/19 $1.2500
05/29/19 $0.8500
02/27/19 $0.8000
11/29/18 $0.8000
08/29/18 $0.8000
05/30/18 $0.8000
02/28/18 $0.7500
11/29/17 $0.7500
08/29/17 $0.7500
05/30/17 $0.7500
02/28/17 $0.6500
11/29/16 $0.6500
08/30/16 $0.6500
05/27/16 $0.6500
02/29/16 $0.6500
11/30/15 $0.6500
08/28/15 $0.6500
05/28/15 $0.6500
02/26/15 $0.6000
11/28/14 $0.6000
08/27/14 $0.5500
05/28/14 $0.5500
02/26/14 $0.5500
11/27/13 $0.5500
08/28/13 $0.5000
05/28/13 $0.5000
02/26/13 $0.5000
11/28/12 $0.5000
08/28/12 $0.4600
05/29/12 $0.4600
02/28/12 $0.3500
11/29/11 $0.3500
08/30/11 $0.3500
05/27/11 $0.3500
02/28/11 $0.3500
11/30/10 $0.3500
08/30/10 $0.3500
05/27/10 $0.3500
02/26/10 $0.3500
11/30/09 $0.3500
08/21/09 $0.3500
05/21/09 $0.3500
02/20/09 $0.4667
10/23/08 $0.3500
07/25/08 $0.3500
04/25/08 $0.3500
01/25/08 $0.3500
10/25/07 $0.3500
07/27/07 $0.3500
04/20/07 $0.3500
01/19/07 $0.3500
10/19/06 $0.3500
07/21/06 $0.3500
04/21/06 $0.3500
01/20/06 $0.2500
10/20/05 $0.2500
07/22/05 $0.2500
04/22/05 $0.2500
01/21/05 $0.2500
10/21/04 $0.2500
07/23/04 $0.2500
04/23/04 $0.2500
01/23/04 $0.2500
10/23/03 $0.2500
07/25/03 $0.2500
04/25/03 $0.1200
01/24/03 $0.1200
12/26/02 $0.1200
10/24/02 $0.1200
07/26/02 $0.1200
06/20/02 $0.0250
04/26/02 $0.1200
01/17/02 $0.1200
10/25/01 $0.1200
07/27/01 $0.1200
04/20/01 $0.1200
01/18/01 $0.1200
10/19/00 $0.1200
07/20/00 $0.1200
04/19/00 $0.1200
01/20/00 $0.1200
10/21/99 $0.1200
08/10/99 $0.1200
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