Alphabet

GOOG · NASDAQ · USD

$340.35Change from previous close: +1.62%Absolute change: +$5.42

Close · October 2, 2026

At a glance

Revenue growth
+15.09%
2025 vs 2024
Net income growth
+32.01%
2025 vs 2024
Net margin
32.8%
2024: 28.6%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow39,06945,79052,40248,41427,74736,15039,11330,69826,64028,84818,91530,656
Depreciation and amortization7,4716,6606,0405,6115,1224,6094,2053,9853,7083,4133,3163,171
Capital expenditure-44,924-35,674-27,851-23,953-22,446-17,197-14,276-13,061-13,186-12,012-11,019-8,055
Investing cash flow-82,433-63,389-51,776-27,777-24,544-16,194-16,180-18,011-2,781-8,564-6,167-7,150
Financing cash flow61,24325,0777,028-18,383-5,832-20,201-19,036-20,094-20,889-19,714-19,308-18,382
Dividends paid-2,689-2,542-2,536-2,536-2,543-2,434-2,442-2,455-2,466———
Share repurchases0.00.0-5,499-11,504-13,238-15,068-15,551-15,291-15,684-15,696-16,191-15,787
Debt issued24,84731,37926,5626,62426,8464,5324,8953,8192,8931,9821,4921,248
Debt repaid-3,776-1,477-6,333-7,697-13,876-4,521-3,750-3,449-2,423-3,079-1,929-1,414
Effect of exchange rates-31.0-123-36.0-20040143.0-390141-238-125-94.0-351
Net change in cash17,8487,3557,6182,054-2,228-2023,507-7,2662,732445-6,6544,773
Free cash flow-5,85510,11624,55124,4615,30118,95324,83717,63713,45416,8367,89622,601
Levered free cash flow-6,5245,6799,77014,018-1,26515,84618,55612,9009,96611,8254,04515,716