The Goldman Sachs Group

GS · NYSE · USD

902,56 $Variación respecto al cierre anterior: +0,66 %Variación absoluta: +5,89 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+13,86 %
2025 frente a 2024
Crecimiento del beneficio neto
+20,31 %
2025 frente a 2024
Margen neto
28,9 %
2024: 27,4 %

Datos financieros

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

Balance · Anual
Partida2025202420232022202120202019201820172016
Activo total1.809.3201.675.9721.641.5941.441.7991.463.9881.163.028992.968931.796916.776860.165
Activo corriente1.594.6231.471.3071.470.8571.282.7481.349.4661.043.516899.342861.520895.890843.012
Efectivo y equivalentes164.259182.092241.577241.825261.036155.842133.546130.547110.051121.711
Inversiones a corto plazo334.215374.707423.225414.158384.474250.220221.762274.543580.321543.805
Cuentas por cobrar439.229343.436328.027325.235327.020243.387188.232174.860157.547123.824
Inmovilizado material neto9.5249.99113.41519.24620.38625.42724.24618.31715.09412.070
Fondo de comercio5.9495.8535.9166.3744.2854.3324.1963.7583.6653.666
Otros activos intangibles8428471.1772.009418630641324373429
Inversiones a largo plazo198.382187.974150.229131.42289.43389.12364.54347.8771.754988
Pasivo corriente1.043.262868.910846.135681.222723.433577.535489.941445.759467.797450.593
Proveedores231.865223.255230.728262.045251.931190.658174.817180.235178.169188.455
Deuda a largo plazo296.212249.869247.867254.245263.466226.018219.029236.027227.579198.075
Deuda total327.876289.447298.407293.981282.551252.785250.722262.078256.130219.794
Pasivo total1.683.9021.553.5591.524.3261.323.9611.353.2221.065.456900.990840.043833.980772.766
Patrimonio neto (incl. minoritarios)125.418122.413117.268117.838110.76697.57291.97891.75382.79687.399
Reservas165.288153.412143.688139.372131.811112.947106.465100.10091.51989.039
Intereses minoritarios4464173636498401.6401.7131.568553506