⚠ Tool for educational and informational purposes only — not investment advice or a recommendation to buy or sell. Investing carries risk of capital loss. Read the full disclaimer.

GS — The Goldman Sachs Group, Inc.

Last scan (Sept. 15, 2026): price $988.45, RSI 39.53, relative volume 1.25x, MACD ⚪ No, score 49.48.

It's in a bullish underlying trend (above its 200-day average), and an RSI of 39.53 suggests it isn't overbought yet — there's room before the momentum runs out. Neither the MACD nor a range breakout gives a technical entry signal right now. The analysts' average target price implies a modest +15.5% upside.

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Price chart

Price: $941.74 · RSI (14): 44.03 · Rel. volume: 5.29x · Breakout: No

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What analysts say

GS

The Goldman Sachs Group, Inc. Financial Services · Capital Markets

The Goldman Sachs Group, Inc., a financial institution, provides a range of financial services for corporations, financial institutions, governments, and individuals in the Americas, Europe, the Middle East, Africa, and Asia. It operates through three segments: Global Banking & Markets, Asset & Wealth Management, and…

Hold score 2.6/5 (1 = strong buy, 5 = sell)
25 analysts
  • Buy 7 (28.0%)
  • Hold 16 (64.0%)
  • Sell 2 (8.0%)

Average target price: $1141.65 (+21.2% vs. current price) · range $730.0 – $1325.0

Healthy Moderate Attention No data

Market cap $274.28B

Total market value of the company (price × shares outstanding).

P/E (trailing) 14.56
?

P/E (trailing): compares the stock's price with its earnings per share over the last 12 months — how many times that earning is being paid for.

Low: the market pays little for each dollar of earnings. Could be a value opportunity, or a sign the market expects little growth.

P/E (forward) 12.72
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P/E (forward): same as P/E, but using analysts' estimated earnings per share for the next year.

Same as P/E, using estimated future earnings.

PEG 1.16
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PEG: the P/E divided by the expected earnings growth rate — relates how expensive the stock is to how fast it's expected to grow.

Between 1 and 2: the price is roughly aligned with expected growth.

Debt/Equity 725.38%
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Debt/Equity: how much debt the company carries per dollar of shareholder equity — measures how leveraged the balance sheet is.

High leverage: more risk if the cost of debt rises or cash flow drops.

Net margin 31.04%
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Net margin: what percentage of each dollar of revenue ends up as net profit, after all costs.

High margin: usually indicates a strong competitive advantage (brand, scale, technology).

Dividend 2.12%
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Dividend: what percentage of the stock's price is paid out in cash to shareholders each year.

Pays out a portion of its earnings as cash to shareholders on a recurring basis.

Beta (risk) 1.28
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Beta: how volatile the stock is compared to the overall market (S&P 500 = 1.0).

More volatile than the market: higher potential gain, but also higher potential loss.

General reference ranges, do not vary by sector. Third-party data; may be incomplete. Not investment advice.

💰 Financial Statements (last 3 quarters)

💰 Financial Statements (last 3 quarters)

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What this chart shows

Third-party market data, for informational purposes. Not investment advice — read the disclaimer.