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GOOGL · NASDAQ · USD

343,50 $Variación respecto al cierre anterior: +1,56 %Variación absoluta: +5,26 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+15,09 %
2025 frente a 2024
Crecimiento del beneficio neto
+32,01 %
2025 frente a 2024
Margen neto
32,8 %
2024: 28,6 %

Datos financieros

Importes en millones de USD; valores por acción en USD; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total921.983703.919595.281536.469502.053475.374450.256430.266414.770407.350402.392396.711
Activo corriente343.524213.753206.038173.947166.216162.052163.711157.541161.995165.471171.530176.310
Efectivo y equivalentes55.91138.06330.70823.09021.03623.26423.46619.95927.22524.49324.04830.702
Inversiones a corto plazo186.56388.77796.13575.40674.11272.06472.19173.27173.50083.59786.86889.233
Cuentas por cobrar69.17562.99962.88657.14855.04851.00052.34049.10447.08744.55247.96441.020
Existencias9.991——————————2.957
Inmovilizado material neto338.906296.529261.818238.311217.486198.784184.624174.831164.761156.950148.436139.904
Fondo de comercio57.82857.77433.38033.26932.33532.17331.88531.93529.18529.18329.19829.146
Otros activos intangibles9.1059.444—————————1.833
Inversiones a largo plazo131.461106.94668.68763.80052.57451.02937.98236.17734.17233.99431.92930.907
Pasivo corriente126.111111.188102.74599.55087.31091.65489.12280.80377.91376.99781.81486.295
Proveedores20.25816.85212.20010.5468.3478.4977.9877.0496.0926.1987.4935.803
Deuda a largo plazo98.16577.50146.54721.60723.60710.88610.88310.88011.87611.87311.87011.867
Deuda total120.79195.87666.99641.19541.66828.49828.13728.28928.71928.376——
Pasivo total281.503225.173180.016149.602139.137130.107125.172116.147114.017114.506119.013123.509
Patrimonio neto (incl. minoritarios)640.480478.746415.265386.867362.916345.267325.084314.119300.753292.844283.379273.202
Reservas493.371384.024324.055297.226275.760262.628245.084235.317226.033219.770211.247205.647