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Financial Services - Financial - Capital Markets - NYSE - None
$ 23.95
-0.581 %
$ 185 B
Market Cap
1.91
P/E
BALANCE SHEET
1.64 T ASSETS
13.84%
1.52 T LIABILITIES
15.04%
117 B EQUITY
-0.08%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition The Goldman Sachs Group, Inc. PFD 1/1000 C
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Current Assets 242 B
Cash & Short-Term Investments 242 B
Receivables 0
Other Current Assets 0
Non-Current Assets 336 B
Long-Term Investments 0
PP&E 0
Other Non-Current Assets 336 B
Current Liabilities 855 B
Accounts Payable 231 B
Short-Term Debt 83.1 B
Other Current Liabilities 542 B
Non-Current Liabilities 1.52 T
Long-Term Debt 250 B
Other Non-Current Liabilities 1.27 T

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Nov-2008 Nov-2007 Nov-2006 Nov-2005 Nov-2004 Nov-2003 Nov-2002 Nov-2001 Nov-2000 Nov-1999
ASSETS
Cash & Cash Equivalents 241 577.0 466 942.0 261 000.0 156 000.0 133 000.0 130 000.0 110 051.0 121 711.0 75 105.0 57 600.0 61 133.0 72 669.0 56 008.0 39 788.0 38 291.0 15 740.0 11 882.0 6 293.0 10 261.0 4 365.0 7 087.0 4 822.0 6 909.0 4 736.0 3 055.0
Short Term Investments 0 130 629.0 25.0 526.0 0 0 0 0 56 838.0 0 0 49 671.0 64 264.0 0 0 106 664.0 0 80 990.0 51 405.0 48 179.0 0 0 0 76 044.0 106 494.0
Receivables 0 0 161 000.0 121 000.0 75 000.0 496 000.0 94 002.0 74 921.0 82 739.0 103 214.0 121 295.0 117 208.0 82 788.0 88 126.0 79 584.0 103 555.0 156 169.0 99 449.0 15 150.0 14 458.0 9 197.0 5 779.0 5 453.0 6 226.0 4 490.0
Inventory 0 (1 190 082.0) (932 417.0) (777 886.0) (665 260.0) (698 110.0) (724 847.4) (671 852.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 241 577.0 402 032.0 422 025.0 277 526.0 208 000.0 626 000.0 204 053.0 196 632.0 157 844.0 160 814.0 182 428.0 189 877.0 138 796.0 127 914.0 117 875.0 119 295.0 168 051.0 105 742.0 25 411.0 18 823.0 16 284.0 10 601.0 12 362.0 10 962.0 7 545.0
PP&E 0 19 246.0 20 386.0 25 427.0 24 246.0 18 317.0 15 094.0 12 070.0 9 956.0 9 344.0 9 196.0 8 217.0 8 697.0 11 106.0 11 380.0 10 793.0 8 975.0 6 990.0 0 0 0 0 0 0 0
Intangible Assets 1 177.0 2 009.0 418.0 630.0 641.0 324.0 373.0 429.0 491.0 515.0 671.0 1 397.0 1 666.0 2 027.0 1 377.0 1 677.0 1 771.0 2 502.0 0 0 0 0 0 0 0
Goodwill 5 916.0 6 374.0 4 285.0 4 332.0 4 196.0 3 758.0 3 665.0 3 666.0 3 657.0 3 645.0 3 705.0 3 702.0 3 802.0 3 495.0 3 543.0 3 523.0 3 321.0 3 184.0 0 0 0 0 0 0 0
Long Term Investments 0 432 000.0 464 000.0 483 000.0 419 000.0 336 161.0 315 988.0 296 171.0 294 198.0 312 608.0 339 538.0 407 464.0 364 870.0 358 398.0 343 886.0 339 779.0 454 609.0 337 325.0 243 205.0 203 265.0 158 833.0 133 968.0 123 298.0 103 890.0 59 616.0
Other Long Term Assets (7 093.0) (66 551.0) (3 860.0) (2 960.0) (2 068.0) (1 529.0) (3 728.0) (5 550.0) (308 302.0) (326 112.0) (353 110.0) (420 780.0) (379 035.0) (375 026.0) (360 186.0) (355 772.0) (468 676.0) (350 001.0) (243 205.0) (203 265.0) (158 833.0) (133 968.0) (123 298.0) (103 890.0) (59 616.0)
Other Assets 1 064 239.0 639 878.0 551 886.0 372 085.0 336 917.0 (51 560.0) 377 827.0 351 197.0 395 249.0 369 314.0 375 969.0 327 898.0 405 394.0 408 392.0 370 881.0 411 123.0 490 334.0 382 458.0 438 188.0 309 291.0 228 682.0 211 005.0 176 558.0 157 776.0 174 195.0
Total Assets 1 641 594.0 1 442 000.0 1 463 000.0 1 163 000.0 993 000.0 933 000.0 917 000.0 860 165.0 861 395.0 856 240.0 911 507.0 938 555.0 923 225.0 911 332.0 848 942.0 886 190.0 1 127 061.0 838 201.0 706 804.0 531 379.0 403 799.0 355 574.0 312 218.0 289 760.0 250 491.0
LIABILITIES
Accounts Payable 230 728.0 262 045.0 251 931.0 190 658.0 174 817.0 180 235.0 178 169.0 188 455.0 210 362.0 213 572.0 204 765.0 194 485.0 198 292.0 190 504.0 185 634.0 253 843.0 318 453.0 213 177.0 188 318.0 0 0 0 0 0 0
Short Term Debt 83 149.0 67 800.0 56 125.0 66 088.0 55 611.0 50 057.0 61 818.0 52 383.0 57 020.0 60 099.0 61 982.0 67 349.0 78 223.0 72 371.0 50 447.0 73 883.0 103 967.0 72 194.0 55 219.0 54 959.0 44 202.0 40 638.0 37 597.0 33 471.0 37 756.0
Other Current Liabilities (316 824.0) (2 669.0) (263 461.0) (207 031.0) (185 088.0) (192 654.0) (197 116.0) (203 367.0) (225 875.0) (275 204.0) (268 721.0) (264 558.0) (277 048.0) (264 917.0) (240 103.0) (330 591.0) (424 966.0) (288 010.0) (243 537.0) (54 959.0) (44 202.0) (40 638.0) 225 374.0 (33 471.0) (37 756.0)
Total Current Liabilities 855 486.0 329 845.0 299 000.0 244 000.0 223 000.0 221 000.0 239 987.0 240 838.0 267 382.0 273 672.0 266 747.0 261 834.0 276 515.0 262 875.0 236 081.0 327 726.0 422 420.0 296 068.0 55 219.0 54 959.0 44 202.0 40 638.0 262 971.0 241 835.0 219 394.0
Long Term Debt 249 868.0 256 399.0 265 754.0 228 301.0 221 414.0 236 027.0 227 579.0 198 075.0 186 443.0 175 394.0 168 966.0 177 630.0 182 814.0 189 773.0 196 288.0 185 678.0 197 474.0 148 976.0 100 007.0 80 696.0 0 38 711.0 31 016.0 35 383.0 20 952.0
Deferred Tax Income 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 1 274 458.0 1 067 562.0 1 041 353.0 785 925.0 633 002.0 565 082.0 144 212.0 535 932.0 545 437.0 87 807.0 (168 966.0) (177 630.0) (182 814.0) (189 773.0) (196 288.0) (185 678.0) (197 474.0) (148 976.0) (100 007.0) (80 696.0) 0 (38 711.0) (31 016.0) (3 988.0) (20 952.0)
Total Liabilities 1 524 326.0 1 325 000.0 1 353 000.0 1 067 000.0 903 000.0 843 000.0 835 000.0 773 272.0 774 667.0 773 443.0 833 040.0 862 839.0 852 846.0 833 976.0 778 228.0 820 178.0 1 076 996.0 802 415.0 678 802.0 506 300.0 382 167.0 336 571.0 293 987.0 273 230.0 240 346.0
EQUITY
Common Stock 9.0 9.0 9.0 9.0 9.0 9.0 9.0 9.0 9.0 9.0 8.0 8.0 8.0 8.0 8.0 7.0 6.0 6.0 6.0 6.0 5.0 5.0 5.0 4 765.0 4 343.0
Retained Earnings 143 688.0 139 372.0 131 811.0 112 947.0 106 465.0 100 100.0 91 519.0 89 039.0 83 386.0 78 984.0 71 961.0 65 223.0 58 834.0 57 163.0 50 252.0 39 913.0 38 642.0 27 868.0 19 085.0 13 970.0 9 914.0 7 259.0 5 373.0 3 294.0 444.0
Other Accumulative Comprehensive Income/Loss 2 203.0 (3 010.0) (2 068.0) (1 434.0) (1 484.0) 693.0 (1 880.0) (1 216.0) (718.0) (743.0) (524.0) (193.0) (516.0) (286.0) (362.0) (202.0) (118.0) 21.0 3 415.0 1 907.0 2 651.0 2 527.0 3 154.0 (2 008.0) (2 001.0)
Total Equity 117 268.0 117 649.0 110 840.0 97 640.0 91 713.0 91 568.0 82 553.0 87 399.0 87 187.0 83 201.0 78 793.0 76 224.0 70 379.0 77 356.0 70 714.0 66 012.0 50 065.0 35 786.0 28 002.0 25 079.0 21 632.0 19 003.0 18 231.0 16 530.0 10 145.0
Total Liabilities and Equity 1 641 594.0 1 442 000.0 1 463 000.0 1 163 000.0 993 000.0 933 000.0 917 000.0 860 165.0 861 395.0 856 240.0 911 507.0 938 555.0 923 225.0 911 332.0 848 942.0 886 190.0 1 127 061.0 838 201.0 706 804.0 531 379.0 403 799.0 355 574.0 312 218.0 289 760.0 250 491.0
SHARES OUTSTANDING
Common Shares Outstanding 340.8 352.1 350.5 356.4 371.6 385.4 401.6 427.4 448.9 458.9 498.0 496.2 556.9 585.3 550.9 437.0 461.2 477.4 478.1 489.5 488.4 525.1 541.8 511.5 475.9