Goldman Sachs Group, Inc. (The) (GS) Stock Analysis

Financial Services · Capital Markets · $302B · $1038.61 · scored 2026-09-04

53 Gem Score / 100
Consensus
6/10 strategies agree
Best-fit thesis
Operating Leverage
Market regime
Choppy Bull
Verdict
Neutral conviction
Modeled win probability45%
Estimated edge+5.4%

Directional estimate from the GemStox stochastic + volatility models. Not financial advice.

Strategy-class scores

GemStox scores GS across 12 independent investment-thesis classes. The meta score is the consensus of the strongest signals.

Strategy classScore /100What it tests
GARP
76
Growth at a Reasonable Price
Momentum
57
Trend-following momentum
Mean Reversion
31
Oversold bounce
Quality Compounder
76
Wide-moat compounder
CAN SLIM
80
O'Neil IBD system
Low-Vol Defensive
42
Low-volatility defensive
Catalyst / Event
31
Filing + news + earnings catalyst
Dividend Growth
20
Dividend-growth safety
S-Curve Growth
74
S-curve lifecycle growth
Piotroski F-Score
56
Piotroski 9-point F-Score
Operating Leverage best fit
100
Operating leverage
Net Payout Yield
20
Net cash payout yield

Valuation

What the price is paying for — earnings yield, FCF yield, P/B, PEG, and Graham discount.

PEG (growth-adjusted)
33
weak · GARP
Price-to-sales / growth
100
strong · GARP
Forward vs trailing P/E
75
strong · GARP
Cash-cow yield (Chowder)
20
weak · Dividend Growth

Quality

Earnings power and durability — ROE, margins, FCF quality, balance-sheet safety.

Return on equity
92
strong · Quality Compounder
Gross margin
87
strong · Quality Compounder
Free-cash-flow quality
50
neutral · Quality Compounder
Debt vs free cash flow
50
neutral · Quality Compounder
Institutional holding
100
strong · CAN SLIM
Earnings consistency
100
strong · CAN SLIM
Balance-sheet safety
10
weak · Dividend Growth
Piotroski F-Score
5
5/9 — mixed fundamentals · Piotroski F-Score

Risk

How it can lose — beta, volatility, drawdowns, downside profile, and financial stability.

Beta (market sensitivity)
10
weak · Low-Vol Defensive
Drawdown resilience
85
strong · Low-Vol Defensive
Volatility control
65
solid · Low-Vol Defensive
Downside-adjusted return
10
weak · Low-Vol Defensive
Dividend safety cushion
30
weak · Low-Vol Defensive

Growth

Where it's going — revenue and EPS trends, surprises, and new-inflection signals.

Revenue growth
100
strong · GARP
Earnings surprise
100
strong · GARP
Current EPS trend
100
strong · CAN SLIM
Annual EPS trend
100
strong · CAN SLIM
New highs / inflection
25
weak · CAN SLIM
Dividend-growth streak
10
weak · Dividend Growth
S-curve trajectory
100
strong · S-Curve Growth
Growth persistence
30
weak · S-Curve Growth
Scale of growth
100
strong · S-Curve Growth
Growth divergence
60
solid · S-Curve Growth

Momentum & Technicals

Price action — trend, relative strength, RSI, and catalysts.

RSI (14)
15
oversold · Mean Reversion
Bollinger %B
40
neutral · Mean Reversion
Distance to 200-day MA
45
neutral · Mean Reversion
Exhaustion
40
neutral · Mean Reversion
Short squeeze
15
weak · Mean Reversion
Supply / demand
50
neutral · CAN SLIM
Relative strength rating
50
neutral · CAN SLIM
Market breadth
100
strong · CAN SLIM
Filing catalyst
25
weak · Catalyst / Event
Earnings proximity
50
neutral · Catalyst / Event
Price catalyst
25
weak · Catalyst / Event
Volume catalyst
25
weak · Catalyst / Event
Yield quality
10
weak · Dividend Growth
Operating-leverage ratio
2
weak · Operating Leverage
Net payout value
2
weak · Net Payout Yield

How this score is computed

Each of the 14 strategy classes is a pure function of the same market + fundamentals data — no two theses double-count. Goldman Sachs Group, Inc. (The) currently fits the Operating Leverage thesis best, with 6/10 of 10 classes producing a positive read. Read the full scoring methodology, or try the free Stock Score calculator to see the math on any ticker.

See all 14 live signals for GS

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Educational analysis generated from cached market + fundamentals data as of 2026-09-04. Not investment advice. Past performance does not guarantee future results.