February 20, 2026 a 05:01 pm

GS: Analysts Ratings - The Goldman Sachs Group, Inc.

The Goldman Sachs Group, Inc. Stock Analysis

The Goldman Sachs Group, Inc., a global leader in the financial services industry, has seen varied analyst ratings over recent months. The company's diverse business model, encompassing investment banking, global markets, asset management, and consumer and wealth management, offers both opportunities and risks. Recent analyst activities and ratings suggest a cautious sentiment, with a notable increase in "Hold" recommendations. This reflects a balanced view by analysts amid changing market dynamics and the company's strategic outlook.

Historical Stock Grades

The recent analysis for February 2026 shows a dominant inclination towards "Hold" with 16 recommendations, surpassing other categories. "Buy" received 7, while "Strong Buy" had just 1 endorsement. The overall sentiment appears mixed, suggesting stability with moderate growth expectations.

Recommendation Number Score
Strong Buy 1
Buy 7
Hold 16
Sell 1
Strong Sell 1
Analyst Ratings History for GS GS Stock Price Chart

Sentiment Development

Over the last few months, there has been a noticeable shift in sentiment for Goldman Sachs.

  • The "Hold" position has shown a marked increase, suggesting a more conservative outlook from analysts.
  • Strong Buy ratings have decreased from their previous highs, indicating tempered enthusiasm.
  • Total ratings have slightly fluctuated, reflecting cautious market conditions and strategic evaluations.

Percentage Trends

A detailed breakdown demonstrates a shift towards conservative sentiment among analysts:

  • Strong Buy ratings dropped significantly from 12% a year ago to 4% currently.
  • Buy recommendations reduced from 36% in the previous year to 28% today.
  • Hold positions increased substantially to 64%, up from 42%, indicating restraint.

Latest Analyst Recommendations

The recent analyst recommendations primarily point to maintaining existing positions, reflecting stability in the current market view.

Date New Recommendation Last Recommendation Publisher
2026-01-20 Sector Perform Sector Perform RBC Capital
2026-01-16 Market Perform Market Perform Keefe, Bruyette & Woods
2026-01-16 Overweight Overweight Wells Fargo
2026-01-08 Neutral Neutral JP Morgan
2026-01-05 Overweight Overweight Barclays

Analyst Recommendations with Change of Opinion

Analysts have shown willingness to change their positions on Goldman Sachs, indicating a dynamic assessment of the company's prospects.

Date New Recommendation Last Recommendation Publisher
2025-10-21 Neutral Overweight JP Morgan
2025-10-17 Hold Sell Freedom Capital Markets
2025-07-14 Market Perform Market Outperform JMP Securities
2025-07-08 Reduce Hold HSBC
2025-03-19 Perform Outperform Oppenheimer

Interpretation

Analysts' views suggest a cautious optimism around Goldman Sachs, with a strong leaning towards maintaining existing positions. This indicates general confidence in the company's stability but highlights an underlying uncertainty regarding immediate growth potential. There is a hint of shifting priorities, possibly influenced by market conditions or company-specific factors.

Conclusion

In conclusion, The Goldman Sachs Group, Inc. remains a strong player within the financial sector, yet faces cautious sentiment from analysts. The dominant "Hold" recommendations underscore a market outlook that perceives stability with modest growth expectations. Analysts appear restrained in their enthusiasm but maintain confidence in Goldman's ability to navigate through current challenges. Investors should consider both the potential resilience of Goldman's business model and the emerging uncertainties within the market landscape.