The Goldman Sachs Group, Inc.

GS-PC ·Financial, Capital Markets, United States
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2025 FY2024 FY2023 FY2022 FY2021 FY2020 FY2019 FY2018
Operating Activities
Net Income $17.18B $14.28B $8.52B $11.26B $21.64B $9.46B $8.47B $10.46B
Depreciation & Amortization $2.18B $2.39B $4.86B $2.46B $2.02B $1.90B $1.70B $1.33B
Depreciation
Amortization $83.0M $176.0M $681.0M $174.0M $120.0M $147.0M $173.0M $152.0M
Stock-Based Compensation $3.45B $2.66B $2.09B $4.08B $2.35B $1.92B $2.02B $1.83B
Net Cash from Operating Activities $-45.15B $-13.21B $-12.59B $8.71B $6.30B $-18.54B $23.87B $16.56B
Investing Activities
Capital Expenditures $2.06B $2.09B $2.32B $3.75B $4.67B $6.31B $8.44B $7.98B
Business Acquisitions $-487.0M $2.12B $0 $231.0M $803.0M $162.0M
Net Cash from Investing Activities $-44.23B $-49.62B $-17.31B $-75.96B $-30.47B $-34.36B $-24.24B $-18.82B
Financing Activities
Dividends Paid $5.28B $4.50B $4.19B $3.68B $2.73B $2.34B $2.10B $1.81B
Stock Repurchases $12.36B $8.00B $5.80B $3.50B $5.20B $1.93B $5.34B $3.29B
Net Cash from Financing Activities $66.10B $7.32B $27.80B $59.60B $134.74B $70.38B $3.37B $22.75B
Net Change in Cash $-17.83B $-59.49B $-248.0M $-19.21B $105.19B $22.30B $20.50B
Free Cash Flow $-47.22B $-15.30B $-14.90B $4.96B $1.63B $-24.84B $15.43B $8.58B
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