Recent Annual Filings for GS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,675,972,000,000 $53,512,000,000 $35,115,000,000 $14,492,000,000 $-13,212,000,000 $7,323,000,000 $-55,513,000,000
2023 $1,641,594,000,000 $46,254,000,000 $35,515,000,000 $8,608,000,000 $-12,587,000,000 $27,800,000,000 $-2,099,000,000
2022 $1,441,799,000,000 $47,365,000,000 $33,879,000,000 $10,319,000,000 $8,708,000,000 $59,602,000,000 $-7,650,000,000
2021 $1,463,988,000,000 $59,339,000,000 $32,295,000,000 $21,001,000,000 $921,000,000 $134,738,000,000 $105,194,000,000
2020 $1,163,028,000,000 $44,560,000,000 $32,081,000,000 $9,509,000,000 $-13,728,000,000 $70,380,000,000 $22,296,000,000
2019 $992,968,000,000 $36,546,000,000 $25,963,000,000 $6,289,000,000 $23,868,000,000 $3,367,000,000 $2,999,000,000
2018 $931,796,000,000 $36,616,000,000 $24,135,000,000 $13,032,000,000 $20,421,000,000 $22,752,000,000 $20,496,000,000
2017 $916,776,000,000 $32,073,000,000 $20,941,000,000 $3,622,000,000 $-17,742,000,000 $35,198,000,000 $-11,660,000,000