0(0%) Volume: 3,547,870 1:01AM EST| Market Cap | 96.05 B | P/E(ttm) | 14.74 |
|---|---|---|---|
| Enterprise Value | 91.45 B | P/B | 1.27 |
GS has been successfully added into Your Stock Email Alerts list.
You can manage your stock email alerts here.
GS has been removed from your Stock Email Alerts list.
Please enter Portfolio Name for new portfolio.

GuruFocus Financial Strength Rank measures how strong a companys financial situation is. It is based on these factors
1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.
A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.
| vs
industry |
vs
history |
||
|---|---|---|---|
| Cash to Debt | N/A |
GS's Cash to Debt is ranked higher than
69% of the 689 Companies in the Global Capital Markets industry. ( Industry Median: 12.82 vs. GS: N/A ) Ranked among companies with meaningful Cash to Debt only. |
GS'
s Cash to Debt Range Over the Past 10 Years
Min: 0.03 Med: 0.13 Max: N/A Current: N/A |
| Equity to Asset | 0.10 |
GS's Equity to Asset is ranked lower than
92% of the 645 Companies in the Global Capital Markets industry. ( Industry Median: 0.56 vs. GS: 0.10 ) Ranked among companies with meaningful Equity to Asset only. |
GS'
s Equity to Asset Range Over the Past 10 Years
Min: 0.04 Med: 0.06 Max: 0.1 Current: 0.1 |
| Interest Coverage | 1.12 |
GS's Interest Coverage is ranked lower than
89% of the 575 Companies in the Global Capital Markets industry. ( Industry Median: 109.01 vs. GS: 1.12 ) Ranked among companies with meaningful Interest Coverage only. |
GS'
s Interest Coverage Range Over the Past 10 Years
Min: 0.07 Med: 1.56 Max: 3.05 Current: 1.12 |
| WACC vs ROIC |
1. Operating Margin
2. Trend of the Operating Margin (5-year average). The company with an uptrend profit margin has a higher rank.
3. Consistency of the profitability
4. Piotroski F-Score
5. Predictability Rank
| vs
industry |
vs
history |
||
|---|---|---|---|
| Operating margin (%) | 26.07 |
GS's Operating margin (%) is ranked higher than
62% of the 674 Companies in the Global Capital Markets industry. ( Industry Median: 13.46 vs. GS: 26.07 ) Ranked among companies with meaningful Operating margin (%) only. |
GS'
s Operating margin (%) Range Over the Past 10 Years
Min: 5.38 Med: 32.86 Max: 43.9 Current: 26.07 |
| Net-margin (%) | 24.17 |
GS's Net-margin (%) is ranked higher than
68% of the 675 Companies in the Global Capital Markets industry. ( Industry Median: 9.78 vs. GS: 24.17 ) Ranked among companies with meaningful Net-margin (%) only. |
GS'
s Net-margin (%) Range Over the Past 10 Years
Min: 10.45 Med: 22.69 Max: 29.63 Current: 24.17 |
| ROE (%) | 8.15 |
GS's ROE (%) is ranked higher than
66% of the 683 Companies in the Global Capital Markets industry. ( Industry Median: 3.73 vs. GS: 8.15 ) Ranked among companies with meaningful ROE (%) only. |
GS'
s ROE (%) Range Over the Past 10 Years
Min: 3.4 Med: 10.02 Max: 29.03 Current: 8.15 |
| ROA (%) | 0.84 |
GS's ROA (%) is ranked lower than
57% of the 696 Companies in the Global Capital Markets industry. ( Industry Median: 1.38 vs. GS: 0.84 ) Ranked among companies with meaningful ROA (%) only. |
GS'
s ROA (%) Range Over the Past 10 Years
Min: 0.23 Med: 0.91 Max: 1.72 Current: 0.84 |
| Revenue Growth (3Y)(%) | 0.90 |
GS's Revenue Growth (3Y)(%) is ranked lower than
60% of the 525 Companies in the Global Capital Markets industry. ( Industry Median: 4.80 vs. GS: 0.90 ) Ranked among companies with meaningful Revenue Growth (3Y)(%) only. |
GS'
s Revenue Growth (3Y)(%) Range Over the Past 10 Years
Min: -12.5 Med: 1.3 Max: 36.1 Current: 0.9 |
| EBITDA Growth (3Y)(%) | -38.50 |
GS's EBITDA Growth (3Y)(%) is ranked lower than
89% of the 403 Companies in the Global Capital Markets industry. ( Industry Median: 10.10 vs. GS: -38.50 ) Ranked among companies with meaningful EBITDA Growth (3Y)(%) only. |
GS'
s EBITDA Growth (3Y)(%) Range Over the Past 10 Years
Min: -38.5 Med: 6.6 Max: 44 Current: -38.5 |
| EPS Growth (3Y)(%) | 1.80 |
GS's EPS Growth (3Y)(%) is ranked lower than
58% of the 394 Companies in the Global Capital Markets industry. ( Industry Median: 8.00 vs. GS: 1.80 ) Ranked among companies with meaningful EPS Growth (3Y)(%) only. |
GS'
s EPS Growth (3Y)(%) Range Over the Past 10 Years
Min: -26.4 Med: 1.8 Max: 55.8 Current: 1.8 |
| Tom Gayner 3,600 sh (New) Caxton Associates 71,480 sh (New) Jim Simons 219,600 sh (New) First Eagle Investment 4,401 sh (+2814.57%) Pioneer Investments 932,774 sh (+694.59%) Chris Davis 252,507 sh (+80.77%) Richard Snow 16,049 sh (+40.85%) Charles de Vaulx 350,345 sh (+40.84%) HOTCHKIS & WILEY 1,452,847 sh (+31.04%) Scott Black 14,078 sh (+25.97%) Dodge & Cox 13,489,040 sh (+24.91%) Richard Pzena 1,843,793 sh (+19.83%) David Dreman 13,396 sh (+7.12%) John Rogers 33,810 sh (+4.05%) Keeley Asset Management Corp 2,009 sh (+0.45%) | Yacktman Fund 250,000 sh (unchged) Donald Yacktman 278,300 sh (unchged) Tom Russo 10,393 sh (unchged) Warren Buffett 10,959,519 sh (unchged) Steven Cohen 30,000 sh (unchged) Francis Chou 75,000 sh (unchged) | Ken Heebner Sold Out Louis Moore Bacon Sold Out Joel Greenblatt Sold Out Steven Cohen Sold Out Bill Nygren 1,705,000 sh (-2.01%) RS Investment Management 1,557 sh (-2.14%) John Buckingham 18,080 sh (-5.16%) Ruane Cunniff 708,242 sh (-7.96%) Ken Fisher 235,381 sh (-12.16%) Jeremy Grantham 172,918 sh (-28.38%) Mario Gabelli 2,695 sh (-84.87%) |
| Joel Greenblatt 24,605 sh (New) Paul Tudor Jones 10,549 sh (New) Donald Smith 264,260 sh (New) RS Investment Management 76,778 sh (+4831.15%) Tom Gayner 17,100 sh (+375.00%) Keeley Asset Management Corp 2,520 sh (+25.44%) Charles de Vaulx 398,531 sh (+13.75%) Dodge & Cox 15,020,855 sh (+11.36%) Ken Fisher 248,631 sh (+5.63%) HOTCHKIS & WILEY 1,519,182 sh (+4.57%) John Buckingham 18,348 sh (+1.48%) Donald Yacktman 281,300 sh (+1.08%) Richard Pzena 1,854,044 sh (+0.56%) | Yacktman Fund 250,000 sh (unchged) Francis Chou 75,000 sh (unchged) John Rogers 33,810 sh (unchged) Warren Buffett 10,959,519 sh (unchged) Paul Tudor Jones 30,800 sh (unchged) Paul Tudor Jones 16,200 sh (unchged) Bill Nygren 1,705,000 sh (unchged) | Jeremy Grantham Sold Out Caxton Associates Sold Out Chris Davis 251,972 sh (-0.21%) Mario Gabelli 2,655 sh (-1.48%) Scott Black 13,719 sh (-2.55%) David Dreman 12,796 sh (-4.48%) Pioneer Investments 874,394 sh (-6.26%) Tom Russo 9,393 sh (-9.62%) Ruane Cunniff 565,140 sh (-20.21%) Richard Snow 11,253 sh (-29.88%) First Eagle Investment 151 sh (-96.57%) Jim Simons 6,000 sh (-97.27%) |
| Ray Dalio 28,100 sh (New) Ken Heebner 255,000 sh (New) John Griffin 440,000 sh (New) Ron Baron 800 sh (New) Spiros Segalas 1,405,417 sh (New) Jim Simons 49,200 sh (+720.00%) Ken Fisher 1,971,845 sh (+693.08%) Ruane Cunniff 742,870 sh (+31.45%) Mario Gabelli 3,115 sh (+17.33%) Keeley Asset Management Corp 2,831 sh (+12.34%) Paul Tudor Jones 11,375 sh (+7.83%) Pioneer Investments 936,162 sh (+7.06%) Dodge & Cox 15,287,200 sh (+1.77%) Donald Smith 265,515 sh (+0.47%) | Yacktman Fund 250,000 sh (unchged) Francis Chou 75,000 sh (unchged) Tom Gayner 17,100 sh (unchged) First Eagle Investment 151 sh (unchged) John Rogers 33,810 sh (unchged) Warren Buffett 10,959,519 sh (unchged) Tom Russo 9,393 sh (unchged) Bill Nygren 1,705,000 sh (unchged) | Donald Yacktman 281,000 sh (-0.11%) Chris Davis 251,652 sh (-0.13%) Scott Black 13,596 sh (-0.90%) David Dreman 12,449 sh (-2.71%) John Buckingham 17,839 sh (-2.77%) Charles de Vaulx 377,869 sh (-5.18%) Richard Snow 10,561 sh (-6.15%) HOTCHKIS & WILEY 1,409,367 sh (-7.23%) Richard Pzena 1,674,601 sh (-9.68%) Joel Greenblatt 4,099 sh (-83.34%) |
| Pioneer Investments 957,658 sh (+2.30%) Spiros Segalas 1,965,608 sh (+39.86%) | First Eagle Investment 151 sh (unchged) | Donald Smith 262,249 sh (-1.23%) Ken Fisher 1,938,236 sh (-1.70%) Yacktman Fund 160,000 sh (-36.00%) Donald Yacktman 178,000 sh (-36.65%) |
(List those with share number changes of more than 20%, or impact to portfolio more than 0.1%)
above to check out all the Gurus, or
above for the stocks picks of all the institutional investment advisors (>4000)
What is Peter Lynch Charts )| Symbol | Price | Yield | Description |
|---|---|---|---|
| GSPRK | 27.69 | 2.89 | Deposit Shs Repr 1/1000th Non-Cum Pfd Shs Series -K |
| GSPRJ | 26.28 | 2.62 | Deposit Shs Repr 1/1000th Non-Cum Perp Pfd Shs Ser J |
| GSPRB | 25.86 | 3.00 | Depositary Shares Each Representing 1/1,000th Interest in a Share of 6.20% NonCumulative Preferred S |
| GSPRC | 22.47 | 4.53 | Repr 1/1000th Flt Rt Non-Cum Pfd Series -C- |
| GSPRD | 22.54 | 2.26 | Deposit Shs Repr 1/1000th Perp Fltg Rate Non Cum Pfd Shs Ser -D- |
| GSPRI | 25.49 | 2.91 | Non-Cum Perp Pfd Shs Series -I- |
| GSPRA | 22.85 | 2.07 | 1/1,000th Int Flt Rate Non-Cum Prf , Ser A |
| GLSSP | 0.00 | 0.00 | Non-Cum Pfd Shs Series -M- |
| Industry: | Brokers & Exchanges » Capital Markets NAICS: 523999 SIC: 6211 | |
|---|---|---|
| Compare: | NYSE:MS, NYSE:SCHW, OTCPK:MQBKY, NAS:AMTD, NYSE:NMR, NAS:IBKR, NYSE:RJF, OTCPK:DSEEY, NAS:ETFC, NAS:MKTX, NYSE:LAZ, NAS:LPLA, NYSE:SF, BATS:BATS, NAS:BGCP, NYSE:EVR, OTCPK:TULLF, OTCPK:NXGRF, NAS:VIRT, NYSE:FSIC » details | |
| Traded in other countries: | GSGI34.Brazil, GOS.Germany, GS.Mexico, GS.Switzerland, 0R3G.UK, |

Goldman Sachs (NYSE:GS) (2.5% of the Fund) is a leading global investment bank, securities broker, and investment manager that provides financial services to a diversified client base that includes corporations, financial institutions, governments, and high-net-worth individuals. Since the financial crisis, Goldman Sachs has deleveraged its balance sheet, shed risky assets, and increased its liquidity. As European competitors (e.g., Credit Suisse, UBS, Royal Bank of Scotland) continue to cut costs and retreat from investment banking, Goldman has an opportunity to further increase its market share in many key businesses. While regulatory requirements have increased, this should reduce the probability of large trading losses. Finally, although market turns can be sudden and difficult to predict, Goldman Sachs has demonstrated an ability to remain profitable: over the past 16 quarters, its return on common equity has averaged an impressive 10%.
Continuing macroeconomic uncertainty has led to diminished primary debt and equity issuance and weaker secondary market trading conditions. Many of Goldman Sachs’ key clients, such as hedge funds and active asset managers, are experiencing net asset outflows. In this period of slower activity, the company has maintained its global network while downsizing naturally through attrition. The weak operating environment and concerns about Brexit have weighed on the stock, which was down 17% during the first half of 2016. However, after carefully analyzing the company’s risks and opportunities, we recently added to Goldman Sachs because it is an increasingly dominant player, has a highly profitable business, and trades at an attractive 0.9 times tangible book value.
From Dodge & Cox's second quarter 2016 shareholder letter.

Goldman Sachs (NYSE:GS) (1.9% of the Fund) is a leading global investment bank, securities broker, and investment manager that provides financial services to a diversified client base that includes corporations, financial institutions, governments, and high-net-worth individuals. Since the financial crisis, Goldman Sachs has deleveraged its balance sheet, shed risky assets, and increased its liquidity. As European competitors (e.g., Credit Suisse, UBS, Royal Bank of Scotland) continue to cut costs and retreat from investment banking, Goldman has an opportunity to further increase its market share in many key businesses. While regulatory requirements have increased, this should reduce the probability of large trading losses. Finally, although market turns can be sudden and difficult to predict, Goldman Sachs has demonstrated an ability to remain profitable: over the past 16 quarters, its return on common equity has averaged an impressive 10%.
Continuing macroeconomic uncertainty has led to diminished primary debt and equity issuance and weaker secondary market trading conditions. Many of Goldman Sachs’ key clients, such as hedge funds and active asset managers, are experiencing net asset outflows. In this period of slower activity, the company has maintained its global network while downsizing naturally through attrition. The weak operating environment and concerns about Brexit have weighed on the stock, which was down 17% during the first half of 2016. However, after carefully analyzing the company’s risks and opportunities, we recently added to Goldman Sachs because it is an increasingly dominant player, has a highly profitable business, and trades at an attractive 0.9 times tangible book value.
From Dodge & Cox Global Stock Fund second quarter 2016 commentary.

The Goldman Sachs Group Inc. (NYSE:GS) (1.9%) (GS – $180.23 – NYSE) is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals. Founded in 1869, the firm is headquartered in New York and maintains offices in all major financial centers around the world.
From the GAMCO Global Growth Fund fourth quarter 2015 commentary.

| vs
industry |
vs
history |
||
|---|---|---|---|
| P/E(ttm) | 14.74 |
GS's P/E(ttm) is ranked higher than
63% of the 476 Companies in the Global Capital Markets industry. ( Industry Median: 19.77 vs. GS: 14.74 ) Ranked among companies with meaningful P/E(ttm) only. |
GS'
s P/E(ttm) Range Over the Past 10 Years
Min: 5.35 Med: 10.97 Max: 34.9 Current: 14.74 |
| Forward P/E | 12.74 |
GS's Forward P/E is ranked higher than
83% of the 60 Companies in the Global Capital Markets industry. ( Industry Median: 17.89 vs. GS: 12.74 ) Ranked among companies with meaningful Forward P/E only. |
N/A |
| PE(NRI) | 14.74 |
GS's PE(NRI) is ranked higher than
64% of the 479 Companies in the Global Capital Markets industry. ( Industry Median: 19.67 vs. GS: 14.74 ) Ranked among companies with meaningful PE(NRI) only. |
GS'
s PE(NRI) Range Over the Past 10 Years
Min: 5.35 Med: 10.97 Max: 34.9 Current: 14.74 |
| Price/Owner Earnings (ttm) | 74.26 |
GS's Price/Owner Earnings (ttm) is ranked lower than
92% of the 212 Companies in the Global Capital Markets industry. ( Industry Median: 16.05 vs. GS: 74.26 ) Ranked among companies with meaningful Price/Owner Earnings (ttm) only. |
GS'
s Price/Owner Earnings (ttm) Range Over the Past 10 Years
Min: 1.79 Med: 13.15 Max: 111.68 Current: 74.26 |
| P/B | 1.27 |
GS's P/B is ranked lower than
51% of the 659 Companies in the Global Capital Markets industry. ( Industry Median: 1.20 vs. GS: 1.27 ) Ranked among companies with meaningful P/B only. |
GS'
s P/B Range Over the Past 10 Years
Min: 0.48 Med: 1.1 Max: 2.73 Current: 1.27 |
| P/S | 3.43 |
GS's P/S is ranked higher than
51% of the 636 Companies in the Global Capital Markets industry. ( Industry Median: 3.53 vs. GS: 3.43 ) Ranked among companies with meaningful P/S only. |
GS'
s P/S Range Over the Past 10 Years
Min: 1.08 Med: 2.35 Max: 3.47 Current: 3.43 |
| POCF | 60.17 |
GS's POCF is ranked lower than
92% of the 200 Companies in the Global Capital Markets industry. ( Industry Median: 12.68 vs. GS: 60.17 ) Ranked among companies with meaningful POCF only. |
GS'
s POCF Range Over the Past 10 Years
Min: 1.24 Med: 8.67 Max: 61.01 Current: 60.17 |
| EV-to-EBIT | 12.04 |
GS's EV-to-EBIT is ranked higher than
58% of the 455 Companies in the Global Capital Markets industry. ( Industry Median: 14.40 vs. GS: 12.04 ) Ranked among companies with meaningful EV-to-EBIT only. |
GS'
s EV-to-EBIT Range Over the Past 10 Years
Min: 10.8 Med: 23.7 Max: 76.3 Current: 12.04 |
| EV-to-EBITDA | 10.69 |
GS's EV-to-EBITDA is ranked higher than
59% of the 467 Companies in the Global Capital Markets industry. ( Industry Median: 13.27 vs. GS: 10.69 ) Ranked among companies with meaningful EV-to-EBITDA only. |
GS'
s EV-to-EBITDA Range Over the Past 10 Years
Min: 10 Med: 21.35 Max: 45.3 Current: 10.69 |
| Shiller P/E | 15.66 |
GS's Shiller P/E is ranked higher than
76% of the 84 Companies in the Global Capital Markets industry. ( Industry Median: 23.82 vs. GS: 15.66 ) Ranked among companies with meaningful Shiller P/E only. |
GS'
s Shiller P/E Range Over the Past 10 Years
Min: 6.8 Med: 11.07 Max: 16.72 Current: 15.66 |
| vs
industry |
vs
history |
||
|---|---|---|---|
| Dividend Yield | 1.08 |
GS's Dividend Yield is ranked lower than
84% of the 507 Companies in the Global Capital Markets industry. ( Industry Median: 1.64 vs. GS: 1.08 ) Ranked among companies with meaningful Dividend Yield only. |
GS'
s Dividend Yield Range Over the Past 10 Years
Min: 0.59 Med: 1.16 Max: 2.63 Current: 1.08 |
| Dividend Payout | 0.21 |
GS's Dividend Payout is ranked higher than
100% of the 288 Companies in the Global Capital Markets industry. ( Industry Median: 0.50 vs. GS: 0.21 ) Ranked among companies with meaningful Dividend Payout only. |
GS'
s Dividend Payout Range Over the Past 10 Years
Min: 0.06 Med: 0.13 Max: 0.31 Current: 0.21 |
| Dividend Growth (3y) | 8.20 |
GS's Dividend Growth (3y) is ranked higher than
53% of the 216 Companies in the Global Capital Markets industry. ( Industry Median: 6.30 vs. GS: 8.20 ) Ranked among companies with meaningful Dividend Growth (3y) only. |
GS'
s Dividend Growth (3y) Range Over the Past 10 Years
Min: 0 Med: 12.9 Max: 27.7 Current: 8.2 |
| Forward Dividend Yield | 1.09 |
GS's Forward Dividend Yield is ranked higher than
75% of the 462 Companies in the Global Capital Markets industry. ( Industry Median: 3.13 vs. GS: 1.09 ) Ranked among companies with meaningful Forward Dividend Yield only. |
N/A |
| Yield on cost (5-Year) | 1.99 |
GS's Yield on cost (5-Year) is ranked lower than
66% of the 619 Companies in the Global Capital Markets industry. ( Industry Median: 3.14 vs. GS: 1.99 ) Ranked among companies with meaningful Yield on cost (5-Year) only. |
GS'
s Yield on cost (5-Year) Range Over the Past 10 Years
Min: 1.09 Med: 2.14 Max: 4.85 Current: 1.99 |
| 3-Year Average Share Buyback Ratio | 3.80 |
GS's 3-Year Average Share Buyback Ratio is ranked higher than
93% of the 292 Companies in the Global Capital Markets industry. ( Industry Median: -1.60 vs. GS: 3.80 ) Ranked among companies with meaningful 3-Year Average Share Buyback Ratio only. |
GS'
s 3-Year Average Share Buyback Ratio Range Over the Past 10 Years
Min: -9.1 Med: 2.6 Max: 6.7 Current: 3.8 |
| vs
industry |
vs
history |
||
|---|---|---|---|
| Price/Tangible Book | 1.34 |
GS's Price/Tangible Book is ranked lower than
52% of the 631 Companies in the Global Capital Markets industry. ( Industry Median: 1.25 vs. GS: 1.34 ) Ranked among companies with meaningful Price/Tangible Book only. |
GS'
s Price/Tangible Book Range Over the Past 10 Years
Min: 0.71 Med: 1.96 Max: 3.32 Current: 1.34 |
| Price/Projected FCF | 1.85 | ||
| Price/Median PS Value | 1.46 |
GS's Price/Median PS Value is ranked lower than
77% of the 527 Companies in the Global Capital Markets industry. ( Industry Median: 1.00 vs. GS: 1.46 ) Ranked among companies with meaningful Price/Median PS Value only. |
GS'
s Price/Median PS Value Range Over the Past 10 Years
Min: 0.68 Med: 1.08 Max: 1.47 Current: 1.46 |
| Price/Peter Lynch Fair Value | 2.82 |
GS's Price/Peter Lynch Fair Value is ranked lower than
87% of the 87 Companies in the Global Capital Markets industry. ( Industry Median: 1.10 vs. GS: 2.82 ) Ranked among companies with meaningful Price/Peter Lynch Fair Value only. |
GS'
s Price/Peter Lynch Fair Value Range Over the Past 10 Years
Min: 0.37 Med: 0.74 Max: 2.84 Current: 2.82 |
| Price/Graham Number | 1.07 |
GS's Price/Graham Number is ranked lower than
99.99% of the 377 Companies in the Global Capital Markets industry. ( Industry Median: 1.09 vs. GS: 1.07 ) Ranked among companies with meaningful Price/Graham Number only. |
GS'
s Price/Graham Number Range Over the Past 10 Years
Min: 0 Med: 1.02 Max: 1.48 Current: 1.07 |
| Earnings Yield (Greenblatt) (%) | 8.29 |
GS's Earnings Yield (Greenblatt) (%) is ranked higher than
71% of the 666 Companies in the Global Capital Markets industry. ( Industry Median: 2.70 vs. GS: 8.29 ) Ranked among companies with meaningful Earnings Yield (Greenblatt) (%) only. |
GS'
s Earnings Yield (Greenblatt) (%) Range Over the Past 10 Years
Min: 1.3 Med: 4.2 Max: 9.3 Current: 8.29 |
| Forward Rate of Return (Yacktman) (%) | 9.91 |
GS's Forward Rate of Return (Yacktman) (%) is ranked lower than
51% of the 208 Companies in the Global Capital Markets industry. ( Industry Median: 10.24 vs. GS: 9.91 ) Ranked among companies with meaningful Forward Rate of Return (Yacktman) (%) only. |
GS'
s Forward Rate of Return (Yacktman) (%) Range Over the Past 10 Years
Min: -104.2 Med: 1.75 Max: 26.3 Current: 9.91 |
| Revenue (TTM) (Mil) $ | 30,608 |
|---|---|
| EPS (TTM) $ | 16.36 |
| Beta | 1.30 |
| Short Percentage of Float | 1.72% |
| 52-Week Range $ | 138.20 - 247.77 |
| Shares Outstanding (Mil) | 397.65 |
| Dec17 | Dec18 | Dec19 | |
|---|---|---|---|
| Revenue (Mil $) | 33,313 | 34,775 | 36,614 |
| EPS ($) | 18.97 | 21.86 | 23.94 |
| EPS w/o NRI ($) | 18.97 | 21.86 | 23.94 |
| EPS Growth Rate (3Y to 5Y Estimate) | 11.30% | ||
| Dividends Per Share ($) | 2.78 | 2.95 | 3.05 |
| Some Thoughts on Amazon Feb 07 2017 |
| Dow Jones Finishes Week Above 20,000 Feb 04 2017 |
| US Market Indexes Regain Some of Their Losses on Wednesday Feb 02 2017 |
| US Market Indexes Mixed on Tuesday Feb 01 2017 |
| US Market Indexes Higher for the Week Jan 28 2017 |
| Dow Jones Stays Above 20,000 on Thursday Jan 27 2017 |
| Mead Johnson Is Not Delivering Jan 23 2017 |
| Yacktman Fund Trims Financial Empire in 4th Quarter Jan 19 2017 |
| US Market Indexes Lower to Start the Week Jan 17 2017 |
| Dodge & Cox's Global Stock Fund 4th Quarter Commentary Jan 17 2017 |