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The Goldman Sachs Group Inc.

GS · NYSE · Financial Services · $323B

Provides investment banking, trading, asset management, and wealth advisory services to corporations, institutions, governments, and high-net-worth individuals globally.

Technical Bias: Bullish lean
$1,073-$22.69 (-2.07%)Delayed

As of Jul 17, 2026

Executive summary

The Goldman Sachs Group Inc., trading on the NYSE under the ticker GS, is a major global investment banking and financial services firm. Despite a sharp intraday decline of 4.9%, the technical setup leans bullish, and the stock is up 59.1% over the past year, reflecting a strong recovery in its sector. At a market capitalisation of $323 billion, GS remains a heavyweight in institutional finance.

Price history

Daily candles · adjusted close

As of Jul 16, 2026

Performance

1D

-4.91%

1W

+3.74%

1M

+1.79%

3M

+22.32%

YTD

+25.83%

1Y

+59.07%

As of Jul 16, 2026

Technical indicators

RSI (14)
56.7Neutral
MACD (12,26,9)
6Bullish
Moving averages
50: 1024.1 · 200: 895.58Bullish
Support / Resistance
$1,003 / $1,125

Technical Bias

Bullish lean

2 Bullish · 0 Bearish · 1 Neutral

Goldman Sachs' technical setup leans bullish right now: MACD momentum is positive, the 50 and 200-day moving averages are aligned upward, whilst RSI sits neutral at 56.7. This is a derived technical read, not a recommendation, and the stock is trading between support at $1,003 and resistance at $1,125.

A transparent read of the indicators below — not a prediction or recommendation.

As of Jul 16, 2026

Fundamentals

Market cap
$323B
P/E ratio
16.92
EPS
$64.75
Profit margin
31.04%
Revenue growth (YoY)
+42.5%
Free cash flow
Beta
1.29
52-week range
$678.23 – $1,154
Dividend yield
1.56%
Ex-dividend date
Sep 1, 2026
Next earnings
Oct 13, 2026 (87 days)

As of Jul 17, 2026

Upcoming catalysts

  • Ex-dividend dateSep 1, 2026 · 18 / share
  • Earnings reportOct 13, 2026 · EPS estimate 14.23

As of Jul 17, 2026

Latest news

As of Jul 17, 2026

Short-term outlook

Goldman Sachs is holding a bullish tone, with price sitting above both its 50-day ($1,024.1) and 200-day ($895.58) moving averages, and a positive MACD backing the trend even as RSI at 56.7 stays neutral. Over the next few weeks, watch for a move toward resistance at $1,125, with support at $1,003 as the key level to hold. No earnings catalyst is due until October 2026, so near-term direction likely hinges on these technical levels.

Medium-term outlook

Goldman Sachs enters the next few quarters with revenue up 42.5% year-on-year and a healthy 31.0% profit margin, trading on a P/E of 16.92 alongside a 1.6% dividend yield. Combined with a bullish technical lean, this points to a business showing strong operating momentum, though sustaining growth at this pace across coming quarters remains something to watch.

Key risks

  • A beta of 1.29 means Goldman shares tend to swing more than the broader market, so downturns can hit harder.
  • The stock trades near the top of its 52-week range at $1,095 against a high of $1,154, leaving less room for error if sentiment shifts.
  • The very strong 42.5% revenue growth and 31.0% profit margin reflect a favourable period that may be difficult to sustain at the same pace going forward.
  • As a financial services firm, Goldman's business is closely tied to broader market and monetary conditions, including the kind of central bank and bond market dynamics referenced in recent news.

About The Goldman Sachs Group Inc.

The Goldman Sachs Group Inc. is a leading global financial services firm listed on the NYSE under the ticker GS. Operating within the Capital Markets industry, part of the broader Financial Services sector, Goldman Sachs is recognised as one of the most prominent investment banks worldwide, with a market capitalisation of $323B reflecting its substantial scale and standing in global finance.

Goldman Sachs' key figures offer a snapshot of its current market position. A price-to-earnings ratio of 16.92 shows how the market values its earnings relative to its share price, while a dividend yield of +1.6% reflects the portion of returns paid out to shareholders. Together, these figures give investors a broad sense of how the market currently views the company's valuation and income potential within the capital markets space.

AI-assisted research for informational purposes only — not investment advice. Figures are sourced from third-party market data and may be delayed. Do your own research before trading. Your capital is at risk.