Goldman Sachs Group Inc. (GS-PA)
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Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99
Net Income 8.52B 11.26B 21.64B 9.46B 8.47B 10.46B 4.29B 7.40B 6.08B 8.48B 8.04B 7.47B 4.44B 8.35B 13.38B 2.32B 11.60B 9.54B 5.63B 4.55B 3.00B 2.11B 2.31B 3.07B 2.71B
Depreciation & Amortization 4.86B 2.46B 2.02B 1.90B 1.70B 1.33B 1.15B 998.00M 991.00M 1.34B 1.32B 1.74B 1.87B 1.90B 1.94B 1.63B 1.17B 995.00M 854.00M 624.00M 881.00M 744.00M 873.00M 486.00M 337.00M
Stock-Based Compensation 2.08B 4.08B 2.35B 1.92B 2.02B 1.83B 1.77B 2.11B 2.27B 2.08B 2.02B 1.32B 2.85B 4.04B 2.01B 1.61B 4.46B 3.65B 1.76B 1.22B - - - - -
Other Working Capital -27.71B -44.41B -47.41B 1.62B 18.66B 8.93B -30.29B -5.49B -2.78B -19.73B -8.28B 20.86B -1.27B -16.35B 79.38B -1.85B -139.41B -80.82B - - - - - - -
Other Non-Cash Items 1.03B 2.71B 357.00M 3.10B 1.04B 514.00M -114.00M 3.00M -34.00M -289.00M -211.00M -494.00M - - - -19.38B 12.43B -12.23B 28.68B -35.57B 1.51B -921.00M 789.00M 2.21B -11.71B
Deferred Income Tax -1.36B -2.41B 5.00M -833.00M -334.00M -2.65B 5.46B 551.00M 425.00M 495.00M 29.00M -356.00M 726.00M 1.34B -431.00M -1.76B 129.00M -1.50B -450.00M 1.04B 93.00M 230.00M 52.00M -352.00M -1.39B
Change in Working Capital -27.71B -9.39B -25.44B -29.27B 10.97B 8.93B -30.29B -5.49B -2.78B -19.73B -6.65B 3.20B 11.76B -21.79B 31.97B -1.90B -85.56B -60.30B -48.88B -5.48B -21.14B -12.24B -19.20B 5.72B -2.54B
Operating Cash Flow -12.59B 8.71B 921.00M -13.73B 23.87B 20.42B -17.74B 5.57B 6.96B -7.62B 4.54B 12.88B 21.64B -6.16B 48.88B 1.89B -68.20B -47.62B -12.41B -33.61B -15.65B -10.08B -15.18B 11.13B -12.59B
Capital Expenditures -2.32B -3.75B -4.67B -6.31B -8.44B -7.98B -3.19B -2.88B -1.83B -678.00M -706.00M -961.00M -1.18B -1.23B -1.56B -2.03B -2.13B -1.74B -1.42B -608.00M -592.00M -1.01B -1.37B -3.54B -843.00M
Acquisitions 487.00M -2.12B 3.93B -231.00M -803.00M -162.00M -2.38B 14.92B -1.81B -1.73B -2.27B -593.00M -431.00M -804.00M -221.00M -2.61B -1.90B -1.66B -556.00M -255.00M -697.00M -68.00M -314.00M - -
Purchase of Investments -40.26B -60.54B -39.91B -48.67B -29.77B -3.79B -9.85B -1.17B -1.00M - -738.00M -5.22B -2.75B -1.89B -2.72B -3.85B -872.00M -12.92B - - - - - - -
Sales Maturities Of Investments 26.85B 12.96B 45.70B 29.06B 17.81B 411.00M 2.89B 1.51B 1.02B 1.51B 3.32B 5.73B 5.77B 3.66B 2.86B 4.03B 5.21B 6.51B 274.00M - - - - - -
Other Investing Acitivies -2.08B -22.52B -35.52B -8.20B -3.03B -11.15B -16.58B -3.12B -15.95B -14.01B -8.33B -2.69B 78.00M 72.00M 82.00M 121.00M 93.00M 69.00M 639.00M - -1.37B -27.00M -225.00M -116.00M 189.00M
Investing Cash Flow -17.31B -75.96B -30.46B -34.36B -24.24B -22.68B -29.12B 9.27B -18.57B -14.91B -8.73B -3.73B 1.49B -185.00M -1.56B -4.34B 396.00M -9.75B -1.06B -863.00M -2.66B -1.10B -1.91B -3.66B -654.00M
Debt Repayment -4.71B 38.15B 39.13B 6.70B -21.97B 7.09B 29.13B 8.70B 17.69B 11.80B -2.58B -16.00B -4.06B 12.16B -25.80B -23.99B 72.08B 55.19B 23.07B 32.99B 21.50B 10.74B 3.75B 3.73B 15.31B
Common Stock Repurchased -7.14B -3.50B -7.88B -2.28B -6.43B -3.29B -7.62B -6.08B -4.13B -5.47B -6.17B -4.64B -9.90B -4.18B -9.58B -2.03B -8.96B -7.82B -7.11B -1.80B -939.00M -1.48B - - -
Dividend Paid -4.19B -3.68B -2.73B -2.34B -2.10B -1.81B -1.77B -1.71B -1.68B -1.45B -1.30B -1.09B -2.77B -1.44B -2.21B -850.00M -831.00M -754.00M -511.00M -497.00M -350.00M -228.00M -231.00M -217.00M -107.00M
Other Financial Acitivies 42.50B 28.64B 103.53B 67.94B 32.78B 21.24B 14.61B 11.34B 16.99B 14.49B 2.65B 28.93B 5.60B 724.00M -147.89B 28.67B 18.40B 5.17B 2.78B 548.00M 231.00M - 18.04B -9.53B -4.37B
Financial Cash Flow 27.80B 59.60B 134.74B 70.38B 3.37B 22.75B 35.20B 13.43B 29.12B 19.00B -7.35B 7.52B -6.91B 7.84B -22.83B 7.90B 73.39B 53.40B 19.37B 31.75B 20.58B 9.09B 20.12B -6.66B 13.46B
Net Cash Flow -248.00M -19.21B 105.19B 22.30B 3.00B 20.50B -11.66B 28.27B 17.50B -3.53B -11.54B 16.66B 16.22B 1.50B 24.49B 5.46B 5.59B -3.97B 5.90B -2.72B 2.27B -2.09B 3.04B 815.00M 219.00M
Free Cash Flow -14.90B 4.96B -3.75B -20.04B 15.43B 12.44B -20.93B 2.69B 5.13B -8.30B 3.84B 11.92B 20.46B -7.38B 47.32B -133.00M -70.33B -49.36B -13.83B -34.22B -16.25B -11.09B -16.55B 7.59B -13.43B