Goldman Sachs Group (GS) Q2 2025 10-Q Quarterly Report
Filed: Aug 1, 2025Period ending Jun 30, 2025
Financials
Security Brokers, Dealers & Flotation CompaniesSEC EDGAR Goldman Sachs Group (GS) 10-Q quarterly report for Q2 2025, filed with SEC EDGAR on Aug 1, 2025 for the fiscal period ending Jun 30, 2025. This page provides AI-powered analysis including management discussion & analysis (MD&A), risk factor updates, and key quarterly financial data such as revenue and net income extracted from XBRL.
Goldman Sachs Group Q2 2025 10-Q Analysis
Risk Factors
- • New risk added: Increased uncertainty in expected provision for credit losses from changes in loan portfolio and economic conditions
- • Materially updated risk: Regulatory capital requirements may increase due to potential revisions in U.S. banking rules, impacting CET1 capital ratio targets
- • Legal/compliance risk: Arbitration risk related to asset recovery guarantee with Government of Malaysia pending outcome
- • Operational/market risk: Greater competition and slower growth in deposits, funding, and platform solutions due to interest rate changes
- • Financial risk: Potential material deviations in planned 2025 benchmark debt issuances from market condition volatility
Goldman Sachs Group Q2 2025 Quarterly FinancialsXBRL
Revenue
$14.6B
▲ +14.5% YoY▼ -3.2% QoQ
Net Income
$3.7B
▲ +22.3% YoY▼ -21.4% QoQ
Net Margin
25.5%
▲ +163bp YoY▼ -593bp QoQ
EPS (Diluted)
$10.95
▲ +26.9% YoY▼ -22.5% QoQ
Operating Cash Flow
$5.7B
▼ -7.3% YoY▲ +115.2% QoQ
Source: XBRL data from Goldman Sachs Group Q2 2025 10-Q filing on SEC EDGAR. All figures in USD.
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