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Goldman Sachs Group (GS)

776.30
+0.00 (0.00%)
NYSE · Last Trade: Nov 19th, 8:50 AM EST
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Detailed Quote

Previous Close776.30
Open-
Bid781.20
Ask784.00
Day's RangeN/A - N/A
52 Week Range439.38 - 841.28
Volume6,650
Market Cap266.62B
PE Ratio (TTM)15.78
EPS (TTM)49.2
Dividend & Yield16.00 (2.06%)
1 Month Average Volume1,916,802

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About Goldman Sachs Group (GS)

Goldman Sachs Group is a leading global investment banking, securities, and investment management firm that provides a wide range of financial services to a diverse client base, including corporations, financial institutions, governments, and individuals. The company engages in various activities, including financial advisory services, underwriting of capital market transactions, asset management, and market making in securities and commodities. It is known for its expertise in mergers and acquisitions, risk management, and investment strategy, leveraging its extensive research capabilities and global reach to deliver innovative solutions in an ever-evolving financial landscape. Read More

News & Press Releases

Trump Tariffs Could Live On Even Under Democrats, Former Commerce Chief Raimondo Warns: ‘Hard To Take Off’stocktwits.com
Gina Raimondo, who served as the Secretary of Commerce under President Joe Biden, said that the political cost of rolling back the tariffs is too high for any future administration, regardless of party.
Via Stocktwits · November 19, 2025
Why Did Eos Energy Stock Fall Over 3% After-Hours?stocktwits.com
The company said it would put on sale notes worth $500 million due in 2031.
Via Stocktwits · November 18, 2025
Oil Markets Navigate Choppy Waters: Brief Rebounds Amidst Looming Oversupply
As November 2025 unfolds, global oil markets are experiencing a period of significant volatility, characterized by intermittent price rebounds that momentarily lift the energy sector, even as underlying concerns about oversupply and moderating demand persist. While recent geopolitical tensions have triggered short-lived surges in crude benchmarks, the broader outlook points
Via MarketMinute · November 18, 2025
Goldman Sachs Forecasts Decade of US Stock Underperformance, Urges Global Diversification
In a significant strategic shift for global investors, Goldman Sachs Research has issued a compelling prediction: US stocks are poised to underperform international markets over the next decade. The venerable financial institution, through its Chief Global Equity Strategist Peter Oppenheimer, advises investors to fundamentally rethink their portfolio allocations, advocating for
Via MarketMinute · November 18, 2025
Financials Sector Grapples with Economic Headwinds and Elusive Rate Cuts on November 18, 2025
The S&P 500 Financials Sector finds itself at a critical juncture on November 18, 2025, as persistent concerns over the health of the U.S. economy and the ever-shifting prospects of central bank interest rate cuts continue to dictate its volatile movements. Today's trading session reflects a cautious sentiment,
Via MarketMinute · November 18, 2025
Global Oil Markets Brace for Prolonged Oversupply Amidst Geopolitical Volatility
November 18, 2025 – The global oil market is currently navigating a complex and often contradictory landscape, characterized by an overarching sentiment of impending oversupply, yet punctuated by sharp, short-lived price spikes stemming from persistent geopolitical tensions. As of November 2025, benchmark crude prices are under significant downward pressure, with West
Via MarketMinute · November 18, 2025
Financial Sector on Edge: Bank Stocks Nearing Critical Support Levels Signal Potential Broader Market Tremors
As the global economy navigates a complex landscape of persistent inflation, evolving monetary policies, and geopolitical uncertainties, a palpable tension is building within the financial sector. Analysts and investors are closely monitoring key bank and financial stocks, many of which appear to be approaching or testing critical technical support levels.
Via MarketMinute · November 18, 2025
Market Tremors: S&P 500 Faces Longest Losing Streak in Months as AI Doubts and Fed Hawks Reign
The U.S. stock market is currently navigating a turbulent period, marked by significant declines across all major indices and a notable four-day losing streak for the S&P 500, its longest such run since August. As of November 18, 2025, a palpable "risk-off" sentiment has gripped investors, fueled by
Via MarketMinute · November 18, 2025
AI’s Reality Check: A Deep Dive into the Late 2025 Tech Stock Slump
Late 2025 witnessed a significant and unsettling retreat in tech stocks, particularly those closely tied to Artificial Intelligence (AI). After a period of unprecedented growth fueled by the promise of transformative AI, the market experienced a sharp downturn, leaving investors questioning the sustainability of soaring valuations and the immediate profitability of cutting-edge AI ventures. This [...]
Via TokenRing AI · November 18, 2025
China's Gold Market Defies Seasonal Norms, Signaling Robust Demand and Upward Price Pressure
China's gold market has exhibited an unseasonable surge in strength throughout October and into early November 2025, according to the World Gold Council (WGC). This robust demand, particularly from investment and central bank sectors, is defying traditional seasonal slowdowns and is poised to exert significant upward pressure on global gold
Via MarketMinute · November 18, 2025
The Narrowing American Market: A Deep Dive into US Stock Diversity and Concentration
The American financial landscape is currently grappling with a significant and increasingly discussed phenomenon: the "narrowing American market." A recent Bloomberg report has brought this trend into sharp focus, highlighting a potential lack of diversity in US stocks and an alarming concentration of market influence among a select few colossal
Via MarketMinute · November 18, 2025
The AI Bubble: Hype or Harbinger of Collapse for Tech Stocks?
As November 2025 unfolds, a palpable unease has settled over global financial markets, fueled by escalating fears of an "AI bubble" reminiscent of the dot-com era. Investors and analysts are increasingly scrutinizing the stratospheric valuations of AI-related companies, questioning whether the current technological euphoria is sustainable or merely a precursor
Via MarketMinute · November 18, 2025
3 No-Brainer Warren Buffett Stocks to Buy Right Nowfool.com
For most investors, the Oracle of Omaha's lead is still well worth following.
Via The Motley Fool · November 18, 2025
China's Secret Gold Play Fuels Goldman's $4,900 Targetmarkets/com
Goldman Sachs expects more central-bank gold purchases in Nov as policymakers hedge against geopolitical and financial risks.
Via Benzinga · November 18, 2025
The Stock Market Flashes a Warning as Investors Get Bad News About President Trump's Tariffsfool.com
President Trump's tariffs have coincided with contraction across the manufacturing sector and a sharp deterioration in consumer sentiment.
Via The Motley Fool · November 18, 2025
Amazon Raises $15 Billion In Oversubscribed Bond Sale Amid Surging AI Costbenzinga.com
Amazon is returning to the bond market with a $15 billion sale as it ramps up AI spending, joins rivals Meta and Oracle in a major tech borrowing wave, and draws strong investor demand despite rising infrastructure costs.
Via Benzinga · November 17, 2025
As Inflation Looms Large, Gold and Silver Shine as the 'Golden Shield' for Investors
As of November 17, 2025, the specter of persistent inflation continues to cast a long shadow over global financial markets, prompting a significant shift in investor strategies. With consumer prices stubbornly high and producer costs reflecting ongoing economic pressures, a growing cohort of investors is turning to the time-honored safe
Via MarketMinute · November 17, 2025
Federal Reserve at a Crossroads: Deep Divisions Emerge on Inflation vs. Job Market Priorities
The Federal Reserve finds itself in an unprecedented internal struggle as policymakers grapple with conflicting priorities: taming persistent inflation or bolstering a softening job market. As of November 2025, this profound division within the Federal Open Market Committee (FOMC) has cast a pall of uncertainty over the future trajectory of
Via MarketMinute · November 17, 2025
Fed Governor Waller's December Rate Cut Call Ignites Monetary Policy Debate
Federal Reserve Governor Christopher Waller has emerged as a prominent voice advocating for an additional interest rate cut in December 2025, setting the stage for a potentially contentious Federal Open Market Committee (FOMC) meeting. His recent pronouncements, emphasizing a weakening labor market and inflation trending towards the Fed's target, signal
Via MarketMinute · November 17, 2025
AI and Chip Stocks Face Headwinds Amidst Tech Selloff: Nvidia Leads the Decline
The technology sector has recently been gripped by a significant selloff, particularly in late October and early November 2025, sending ripples of concern through the market. This downturn, fueled by a complex interplay of rising interest rates, persistent inflation, and anxieties over potentially stretched valuations, has had an immediate and pronounced impact on bellwether AI [...]
Via TokenRing AI · November 17, 2025
The Golden Shield: How Gold and Silver are Poised to Shine Amidst the Looming Inflation Trade
As of November 2025, the global financial landscape continues to grapple with persistent inflationary pressures, prompting investors to increasingly turn their attention to the "inflation trade." This strategic reallocation of capital is designed to either profit from or protect wealth against rising price levels, with commodities historically serving as a
Via MarketMinute · November 17, 2025
Fed Rate Cut Expectations Recalibrated: Markets Brace for "Higher for Longer"
Washington D.C., November 17, 2025 — Financial markets are currently undergoing a significant recalibration of expectations regarding the Federal Reserve's interest rate policy. What was once a near certainty of a December rate cut has rapidly diminished, leaving investors to grapple with the growing prospect of interest rates remaining "higher
Via MarketMinute · November 17, 2025
S&P 500 and Nasdaq Grapple with Volatility Amidst AI Valuation Scrutiny and Fed Uncertainty
The S&P 500 and Nasdaq Composite are navigating a period of pronounced wavering trends in November 2025, as market participants grapple with a confluence of factors including elevated valuations in the artificial intelligence (AI) sector, shifting expectations for Federal Reserve monetary policy, and the lingering effects of delayed economic
Via MarketMinute · November 17, 2025
10 Financials Stocks With Whale Alerts In Today's Sessionbenzinga.com
Via Benzinga · November 17, 2025
Federal Reserve's Tightening Grip and a Strong Dollar Squeeze Precious Metals, While Russian Tensions Keep Oil Volatile
November 17, 2025 – Financial markets are currently navigating a turbulent landscape marked by increasing skepticism over Federal Reserve rate cuts, a strengthening US dollar, and persistent geopolitical tensions affecting global oil supplies. This confluence of factors is exerting significant downward pressure on precious metals like gold and silver, while keeping
Via MarketMinute · November 17, 2025