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Company Description Contact Info 85 Broad Street 17th Floor New York, NY 10004 United States Phone: 212-902-1000 Fax: 212-902-3000 www.gs.com The Goldman Sachs Group, Inc. provides a range of investment banking, securities, and investment management services to corporations, financial institutions, governments, and high-net-worth individuals worldwide. It operates in three segments: Investment Banking, Trading and Principal Investments, and Asset Management and Securities Services. The Investment Banking segment provides financial advisory services, including advisory assignments with respect to mergers and acquisitions, divestitures, corporate defense activities, restructurings, and spin-offs; and underwriting services, including public offerings and private placements of common and preferred stock, convertible and exchangeable securities, investment-grade debt, high-yield debt, sovereign and emerging market debt, municipal debt, bank loans, asset-backed securities, and real estate-related securities, such as mortgage-related securities and the securities of real estate investment trusts. The Trading and Principal Investments segment engages in market making in, trading of, and investing in fixed income and equity products, currencies, commodities, and derivatives on these products. It also involves in specialist and market-making activities on equities and options exchanges; clearing client transactions on stock, options, and futures exchanges; and making principal investments directly and through funds that the company raises and manages. The Asset Management and Securities Services segment provides investment advisory and financial planning services, as well as offers investment products. This segment also provides prime brokerage services, financing services, and securities lending services. The company was founded in 1869 and is headquartered in New York, New York | Currency | US Dollars | | Share Price | $162.40 | | Change Today | -$4.81 | | 52 Week High | $247.92 | | 52 Week Low | $151.02 | | Volume | 16,466,590 | | Shares Issued | 390.68m | | Market Cap | $63,447m | | Beta | 1.72 | | RiskGrade | 194 | <!-- -- END secondColHolder ----> | Strong Buy | 6 | | Buy | 2 | | Neutral | 11 | | Sell | 0 | | Strong Sell | 1 | | Total | 20 | | Div Yield | 0.9% | 0.9% | | Div Cover | 18.8 | 11.1 | | Op Mrgn | 67.7% | 28.7% | | ROCE | 6.3% | | <th class="dataRegularHeader" style="text-align: left;" width="40%"> </th> <th class="dataRegularHeaderR" width="30%"> Latest </th> <th class="dataRegularHeaderR" width="30%"> F'cast </th> | P/E | 6.2 | 10.3 | | PEG | 0.2 | n/a | | Pr/Revenue | 0.7 | 1.8 | | Pr/Book | 1.5 | | <th class="dataRegularHeader" style="text-align: left;" width="40%"> </th> <th class="dataRegularHeaderR" width="30%"> Latest </th> <th class="dataRegularHeaderR" width="30%"> F'cast </th> | Revenue | 26.8% | -58.9% | | PBT | 20.9% | -41.0% | | EPS | 25.8% | -40.3% | | DPS | 7.7% | 1.4% | <th scope="col" class="dataRegularHeader" width="16%"> Year Ending </th> <th scope="col" class="dataRegularHeaderR" width="14%"> Revenue ($m) </th> <th scope="col" class="dataRegularHeaderR" width="15%"> Pre-tax ($m) </th> <th scope="col" class="dataRegularHeaderR" width="10%"> EPS </th> <th scope="col" class="dataRegularHeaderR" width="8%"> P/E </th> <th scope="col" class="dataRegularHeaderR" width="7%"> PEG </th> <th scope="col" class="dataRegularHeaderR" width="10%"> EPS Grth. </th> <th scope="col" class="dataRegularHeaderR" width="10%"> Div </th> <th scope="col" class="dataRegularHeaderR" width="10%"> Yield </th> | 28-Nov-03 | 23,623.00 | 4,445.00 | 615.00¢ | 15.6 | 0.4 | +44% | 74.00¢ | 0.8% | | 26-Nov-04 | 29,839.00 | 6,676.00 | 930.00¢ | 11.3 | 0.2 | +51% | 100.00¢ | 1.0% | | 25-Nov-05 | 43,391.00 | 8,273.00 | 1,173.00¢ | 11.4 | 0.4 | +26% | 100.00¢ | 0.7% | | 24-Nov-06 | 69,353.00 | 14,560.00 | 2,093.00¢ | 9.6 | 0.1 | +78% | 130.00¢ | 0.6% | | 30-Nov-07 | 87,968.00 | 17,604.00 | 2,634.00¢ | 8.6 | 0.3 | +26% | 140.00¢ | 0.6% | <th scope="col" class="dataRegularHeader" width="16%"> Year Ending </th> <th scope="col" class="dataRegularHeaderR" width="14%"> Revenue ($m) </th> <th scope="col" class="dataRegularHeaderR" width="15%"> Pre-tax ($m) </th> <th scope="col" class="dataRegularHeaderR" width="10%"> EPS </th> <th scope="col" class="dataRegularHeaderR" width="8%"> P/E </th> <th scope="col" class="dataRegularHeaderR" width="7%"> PEG </th> <th scope="col" class="dataRegularHeaderR" width="10%"> EPS Grth. </th> <th scope="col" class="dataRegularHeaderR" width="10%"> Div </th> <th scope="col" class="dataRegularHeaderR" width="10%"> Yield </th> | 30-Nov-08 | 36,186.69 | 10,393.16 | 1,573.19¢ | 10.6 | n/a | -40% | 141.98¢ | 0.9% | | 30-Nov-09 | 41,662.96 | 12,553.97 | 1,962.39¢ | 8.5 | 0.3 | +25% | 146.18¢ | 0.9% | Analysts' Recommendation: | Hold | | 30 Days Ago: | Hold | | | Analysts' Target: | $207 | | Members' Target: | $215 | | Analysts' Targets | | Ladenburg, Thalmann | $151 | | Sell | Thursday, May 22, 2008 | | Lehman Brothers | $200 | | Overweight | Thursday, April 03, 2008 | | UBS Securities | $185 | | Hold | Wednesday, March 19, 2008 | | Punk, Ziegel & Company | $200 | | Mkt Perform | Wednesday, March 19, 2008 | | Deutsche Bank Securities | $245 | | Accumulate | Thursday, February 14, 2008 | | Sandler O`Neill | $260 | | Hold | Wednesday, January 30, 2008 |
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Update 08/20:
Below is the chart from last week when we were looking to go short GS if the entry signal got triggered. Since then we went short GS at 171.00 and have moved our stop to 169.00. Now we will sell GS again if our entry signal gets triggered.
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GS:
This call was made
on 06/11/08
@ $163.24001
| Rating: |
$163.24001 (06/11/08)
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| Gain/Loss: |
-62.24%
in
161 days
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| Target: |
$263.00
(+61.11%)
in > one year
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| Allocation: |
0.1% of portfolio
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