OTC:GSCE | Cash Flow Statement | GOLDMAN SACHS GROUP INC

Complete source-backed cash-flow history.

Available history
2007-11-30 to 2026-06-30
Data captured

Historical Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2026-06-30$6.63B
2026-03-31$5.63B-$31.87B$565M-$56.31B$5B$1.59B$104.29B
2025-12-31$4.62B-$16.28B$531M-$5.03B$3B$1.46B$16.76B
2025-09-30$4.1B
2025-06-30$3.72B
2025-03-31$4.74B-$37.23B$499M-$22.75B$4.36B$1.12B$42.83B
2024-12-31$4.11B$46.77B$586M-$7.12B$2B$1.15B-$7.82B
2024-09-30$2.99B
2024-06-30$3.04B
2024-03-31$4.13B-$28.04B$497M-$7.98B$1.5B$1.12B$7.17B
2023-12-31$2.01B-$28.36B$546M-$3.34B$1B$1.07B$28.02B
2023-09-30$2.06B
2023-06-30$1.22B
2023-03-31$3.23B$9.4B$597M-$1.98B$2.55B$1.01B-$20.54B
2022-12-31$1.33B-$33.16B$754M-$6.29B$1.5B$1.01B-$9.58B
2022-09-30$3.07B
2022-06-30$2.93B
2022-03-31$3.94B-$19.53B$953M-$17.02B$500M$815M$53.1B
2021-12-31$3.94B$30.27B$1.12B-$13.94B$500M$822M$38.25B
2021-09-30$5.38B
2021-06-30$5.49B
2021-03-31$6.84B-$5.18B$1.31B-$2.49B$2.7B$551M$42.98B
2020-12-31$4.51B$11.21B$1.4B-$8.92B$0.00$592M-$4.45B
2020-09-30$3.37B
2020-06-30$373M
2020-03-31$1.21B-$53.03B$2.84B-$32.34B$1.93B$538M$57.31B
2019-12-31$1.92B$49.83B$2.05B-$3.32B$2.16B$644M-$7.06B
2019-09-30$1.88B
2019-06-30$2.42B
2019-03-31$2.25B-$44.37B$2.13B-$2.14B$1.25B$375M$3.84B
2018-12-31$2.54B$14.24B$2.04B-$1.99B$1.25B$521M-$583M
2018-09-30$2.52B
2018-06-30$2.57B
2018-03-31$2.83B-$964M$1.56B-$9.21B$800M$376M$20.63B
2017-12-31-$1.93B-$9.11B$975M-$8.55B$1.63B$498M$11.09B
2017-09-30$2.13B
2017-06-30$1.83B
2017-03-31$2.26B-$3.39B$838M$1.5B$366M
2016-12-31$2.35B$3.53B$802M$1.49B$468M
2016-09-30$2.09B
2016-06-30$1.82B
2016-03-31$1.14B-$2.54B$573M$1.56B$387M
2015-12-31$765M$9.32B$628M$1.59B$484M
2015-09-30$1.43B
2015-06-30$1.05B
2015-03-31$2.84B$6.74B$302M$1.25B$373M
2014-12-31$2.17B$4.66B$170M$1.25B$409M
2014-09-30$2.24B
2014-06-30$2.04B
2014-03-31$2.03B-$4.22B$164M$1.72B$348M
2013-12-31$2.33B$2.28B$208M$1.4B$346M
2013-09-30$1.52B
2013-06-30$1.93B
2013-03-31$2.26B-$5.7B$171M$1.53B$319M
2012-12-31$2.89B$850M$254M$1.52B$307M
2012-09-30$1.51B
2012-06-30$962M
2012-03-31$2.11B$3.78B$365M$220M
2011-09-30-$393M
2011-06-30$1.09B
2011-03-31$2.74B$1.9B$1.48B$358M
2010-09-30$1.9B
2010-06-30$613M
2010-03-31$3.46B-$7.5B$2.27B$363M
2009-12-31$4.95B$25.52B$0.00$355M
2009-09-25$3.19B
2009-06-26$3.44B
2009-03-27$1.81B$3.2B$2M$545M
2008-11-30-$2.12B$10.9B$2M$263M
2008-08-29$845M
2008-05-30$2.09B

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31$17.18B-$45.15B$2.06B-$44.23B$12.36B$5.28B$66.1B
2024-12-31$14.28B-$13.21B$2.09B-$49.62B$8B$4.5B$7.32B
2023-12-31$8.52B-$12.59B$2.32B-$17.31B$5.8B$4.19B$27.8B
2022-12-31$11.26B$8.71B$3.75B-$75.96B$3.5B$3.68B$59.6B
2021-12-31$21.64B$6.3B$4.67B-$30.47B$5.2B$2.73B$134.74B
2020-12-31$9.46B-$18.54B$6.31B-$34.36B$1.93B$2.34B$70.38B
2019-12-31$8.47B$23.87B$8.44B-$24.24B$5.34B$2.1B$3.37B
2018-12-31$10.46B$16.56B$7.98B-$18.82B$3.29B$1.81B$22.75B
2017-12-31$4.29B-$20.49B$3.18B-$26.38B$6.77B$1.77B$35.21B
2016-12-31$7.4B$6.49B$2.87B$9.68B$6.08B$1.71B$12.1B
2015-12-31$6.08B$9.48B$1.83B$4.14B$1.68B
2014-12-31$8.48B-$7.93B$678M$5.47B$1.45B
2013-12-31$8.04B$4.54B$706M$6.18B$1.3B
2012-12-31$7.48B$12.88B$961M$4.64B$1.09B
2011-12-31$4.44B$22.5B$1.18B$6.05B$2.77B
2010-12-31$8.35B-$5.36B$4.18B$1.44B
2009-12-31$13.39B$48.88B$2M$2.21B
2008-11-30$2.32B$1.89B$2.03B$850M
2008-11-28$2.32B$1.89B$2.03B$850M
2007-11-30$11.6B-$69.45B$8.96B$831M