Stock Analysis | Goldman Sachs Outlook - A Weak Technical Signal Amid Mixed Fundamentals

Generado por agente de IAAinvest Stock Digest
martes, 2 de septiembre de 2025, 4:19 am ET2 min de lectura
GS--

Market Snapshot

Goldman Sachs (GS) is in a technically weak position with a poor momentum score, while fundamentals remain mixed. The recent 5-day price movement shows a 1.95% rise, but technical signals are overwhelmingly bearish and suggest caution for short-term traders.

News Highlights

There have been no recent news items affecting Goldman SachsGS-- as of the latest update. However, investors should keep an eye on upcoming earnings or regulatory developments, as those could shift the narrative significantly in the near term.

Analyst Views & Fundamentals

The current analyst consensus shows a mixed outlook for Goldman SachsGS--, with four "Neutral" ratings, two "Buy" ratings, and one "Sell" rating. This dispersion points to uncertainty among analysts. Here's a breakdown of the key data:

  • Simple average rating: 3.14
  • Weighted average rating (based on historical performance): 2.42
  • Current price trend: 1.95% rise over the recent period, while the average analyst expectations are neutral to bearish.

Goldman Sachs' fundamental metrics include the following key values (and corresponding internal diagnostic scores):

  • Price-to-Sales (PS) ratio: 9.49, with an internal diagnostic score of 3.00
  • Operating Cycle: 336.35 days, with an internal diagnostic score of 2.00
  • Days Sales Outstanding (DSO): 119.03 days, with an internal diagnostic score of 2.00
  • Operating revenue (YoY growth rate): 423.43%, with an internal diagnostic score of 2.00
  • Non-current assets / Total assets: 53.05%, with an internal diagnostic score of 1.00
  • Current assets / Total assets: 47.33%, with an internal diagnostic score of 0.00
  • Interest coverage ratio (EBIT / Interest expense): -89.60% (negative), with an internal diagnostic score of 2.00
  • Cash flow indicators: Mixed, with an internal diagnostic score of 3.00 for both Cash-MV and Cash-UP.

Money-Flow Trends

Goldman Sachs is currently experiencing negative money-flow trends across all investor categories. The overall inflow ratio is 48.56%, indicating that more money is leaving the stock than entering it.

  • Small investor inflow ratio: 49.75%
  • Medium investor inflow ratio: 49.46%
  • Large investor inflow ratio: 48.84%
  • Extra-large investor inflow ratio: 48.14%
  • Block investor inflow ratio: 48.41%

With a fund-flow score of 7.89 (out of 10), the inflow activity is rated as "good", but this is not enough to offset the negative technical signals. The fund-flow patterns suggest that while institutional money is slightly positive, the broader market remains cautious.

Key Technical Signals

Goldman Sachs is showing a very weak technical profile with 4 bearish indicators and 1 neutral indicator. The technical score is a 2.69 (out of 10), which suggests the stock should be avoided in the short term.

Recent technical indicators and their internal diagnostic scores (0-10):

  • Williams %R Overbought: Score of 3.81 (neutral rise)
  • MACD Golden Cross: Score of 4.53 (neutral rise)
  • Ex-Dividend Date: Score of 1.00 (biased bearish, average return of -2.71%)
  • Bullish Engulfing Pattern: Score of 3.10 (neutral bias, average return of -1.41%)
  • Dividend Record Date: Score of 1.00 (biased bearish, average return of -2.71%)

Key technical insights:

  • Technical indicators show that the market is in a weak state, and we need to pay attention to the risk of decline.
  • Bearish signals are clearly dominant (4 bearish vs 0 bullish).

Recent chart patterns:

  • August 22: WilliamsWMB-- %R Overbought
  • August 26: Williams %R Overbought, Bullish Engulfing
  • August 28: Williams %R Overbought
  • August 27: Williams %R Overbought, MACD Golden Cross
  • August 29: Williams %R Overbought, Ex-Dividend Date, Dividend Record Date

Conclusion

Goldman Sachs is facing challenging conditions on the technical side, with an internal diagnostic score of just 2.69. While fundamentals remain mixed and money-flow trends are only slightly positive, the overwhelming bearish momentum suggests a cautious stance for short-term traders.

Actionable takeaway: Consider waiting for a pullback or clearer momentum signals before taking positions in GSGS--. Investors should also monitor the next earnings report or any major regulatory updates for potential turning points.

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