| Cash Flow | 2025-09-30 | 2025-06-30 | 2025-03-31 | 2024-09-30 |
|---|---|---|---|---|
| Net earnings | 12,559 | 8,461 | 4,738 | 10,165 |
| Depreciation and amortization | 1,655 | 1,124 | 506 | 1,894 |
| Deferred income taxes | -153 | -202 | 154 | -653 |
| Share-based compensation | 3,187 | 2,950 | 2,417 | 2,559 |
| Provision for credit losses | 1,010 | 671 | 287 | 997 |
| Customer and other receivables and payables, net | 10,576 | 11,708 | 907 | -7,543 |
| Collateralized transactions (excluding other secured financings), net | 27,821 | 34,073 | 48,685 | -19,644 |
| Trading assets | 66,888 | 47,625 | 21,266 | 112,931 |
| Trading liabilities | 58,129 | 49,794 | 29,640 | 13,100 |
| Loans held for sale, net | 629 | 1,261 | 501 | -450 |
| Other, net | -649 | -311 | 3,613 | 2,746 |
| Net cash used for operating activities | -28,878 | -31,558 | -37,230 | -59,978 |
| Purchase of property, leasehold improvements and equipment | 1,533 | 975 | 499 | 1,505 |
| Proceeds from sales of property, leasehold improvements and equipment | 504 | 392 | 145 | 1,152 |
| Net cash received from business dispositions | -1,536 | 0 | 0 | -3,622 |
| Purchases | 61,849 | 53,101 | 32,532 | - |
| Proceeds from sales | 41,014 | 32,088 | 22,889 | - |
| Proceeds from paydowns and maturities | 1 | 1 | 0 | - |
| Purchases | 10,025 | 5,819 | 4,595 | - |
| Proceeds from paydowns and maturities | 16,952 | 12,438 | 4,572 | - |
| Purchase of investments | - | - | - | 78,737 |
| Purchases | 6,365 | 4,419 | 2,280 | - |
| Proceeds from sales and paydowns of investments | - | - | - | 45,030 |
| Proceeds from sales, paydowns and maturities | 6,581 | 4,466 | 2,523 | - |
| Loans (excluding loans held for sale), net | 26,010 | 19,152 | 12,970 | 12,071 |
| Net cash used for investing activities | -39,194 | -34,081 | -22,747 | -42,509 |
| Unsecured short-term borrowings, net | -3,243 | -3,927 | -2,932 | -4,263 |
| Other secured financings (short-term), net | 5,372 | 7,026 | 3,821 | -7,632 |
| Proceeds from issuance of other secured financings (long-term) | 3,757 | 1,206 | 460 | 4,951 |
| Repayment of other secured financings (long-term), including the current portion | 2,613 | 1,275 | 600 | 1,592 |
| Proceeds from issuance of unsecured long-term borrowings | 61,360 | 51,067 | 28,594 | 49,465 |
| Repayment of unsecured long-term borrowings, including the current portion | 50,227 | 36,197 | 16,540 | 59,639 |
| Derivative contracts with a financing element, net | -877 | -634 | -906 | -1,739 |
| Deposits, net | 51,832 | 27,244 | 36,332 | 15,152 |
| Preferred stock redemption | 0 | 0 | - | 700 |
| Common stock repurchased | 9,360 | 7,360 | 4,360 | 6,000 |
| Settlement of share-based awards in satisfaction of withholding tax requirements | 2,156 | 2,146 | 1,851 | 1,331 |
| Dividends and dividend equivalents paid on common stock, preferred stock and share-based awards | 3,814 | 2,338 | 1,115 | 3,344 |
| Proceeds from issuance of preferred stock, net of issuance costs | 1,895 | 1,895 | 1,895 | 4,239 |
| Other financing, net | -77 | -67 | -6 | 305 |
| Net cash provided by financing activities | 49,345 | 29,564 | 42,826 | 15,140 |
| Effect of exchange rate changes on cash and cash equivalents | 6,212 | 6,950 | 2,467 | 459 |
| Net decrease in cash and cash equivalents | -12,515 | -29,125 | -14,684 | -86,888 |
| Cash and cash equivalents at beginning of period | 182,092 | 182,092 | 182,092 | 241,577 |
| Cash and cash equivalents at end of period | 169,577 | 152,967 | 167,408 | 154,689 |
GOLDMAN SACHS GROUP INC (GS-PA)
GOLDMAN SACHS GROUP INC (GS-PA)