GOOGL

NASDAQ NMS - GLOBAL MARKET - Real Time Price • USD

Alphabet Inc (GOOGL)

NASDAQ NMS - GLOBAL MARKET Media
Options chain →
$338.34 -4.05 (-1.18%)
At close: September 4 at 4:00:00 PM EDT
$338.95 +0.49 (+0.14%)
🌆 After-Hours: 7:17:15 PM EDT
DAY'S RANGE $338.34
$337.10 $343.50
52-WEEK RANGE $338.34
$226.11 $408.61

What's happening

  • GOOGL is down 1.18% today, trading at $338.34. — Live quote
  • Volume today (586,852) is well below its 3-month average of 30,795,850. (Finnhub fundamentals)
  • Last quarter's EPS missed estimates: $2.85 actual vs. $2.98 estimated (-4.4%). (Finnhub earnings history)

Deterministic template sentences filled in from the same sourced figures shown elsewhere on this page -- not an AI-written summary, no live model call.

Key Statistics

Market Cap$4,130.19B
P/E (TTM1)17.16
EPS2 (TTM)$19.91
Div Yield
Beta31.21
Volume586,852
Open342.61
Prev Close342.39
Bid / Ask324.79 / 359.52
Next Earnings 2026-10-27 (after market close)

Analyst Recommendations

Strong buy 20 Buy 43 Hold 7 Sell 0 Strong sell 0

Aggregate ratings for 2026-09-01 (70 analysts polled by Finnhub) — consensus count.

Performance Overview (Trailing returns vs S&P 500 benchmark)

YTD RETURN
GOOGL +9.42%
vs S&P 500 -3.96%
1-YEAR RETURN
GOOGL +47.43%
vs S&P 500 +28.32%
6-MONTH RETURN
GOOGL +11.73%
3-MONTH RETURN
GOOGL -4.60%

Valuation Measures & Ratios

Enterprise Value4$4,233.84B
Forward P/E519.29
PEG Ratio61.07
Price / Sales (TTM1)9.40
Price / Book76.76
EV4 / Revenue9.50
EV4 / EBITDA27.04
Profit Margin54.77%
Operating Margin33.11%
Return on Equity (ROE8)50.84%
Return on Assets (ROA9)35.42%
Avg Volume (3M)30,795,850
Quarterly history (5 periods)
Measure Jun '26Mar '26Sep '25Jun '25Mar '25
Market cap $4,396.46B $3,516.00B $2,955.06B $2,143.51B $1,890.85B
P/E 18.48 21.93 23.83 19.03 17.49
Price/Sales 10.26 8.81 7.83 5.96
Price/Book 6.86 7.34 7.64 5.91 5.48
EV/Revenue 10.36 8.91 7.84 5.98
ROE 37.15% 33.48% 32.06% 31.04% 31.32%
ROA 25.81% 22.77% 23.12% 22.44% 22.74%

Trailing-twelve-month ratios computed from SEC EDGAR quarterly figures and historical daily close prices (Alpaca). Diluted shares are derived from Net income ÷ EPS (diluted) for each quarter, not separately reported. Forward P/E and PEG aren't shown here — both need historical analyst-consensus estimates, which no free source provides; see the current-period figures above instead.

Glossary — what these abbreviations mean
1. TTM
Trailing twelve months — the sum of the last four reported quarters, not a calendar year or the single latest quarter.
2. EPS
Earnings per share — net income divided by diluted shares outstanding.
3. Beta
A stock's historical volatility relative to the overall market. Above 1 means it has moved more than the market; below 1, less.
4. EV (Enterprise Value)
Market cap plus total debt minus cash — roughly what it would cost to buy the whole company, debt included.
5. Forward P/E
Price divided by analysts' estimated earnings for the next 12 months, instead of trailing actual earnings.
6. PEG Ratio
P/E divided by expected earnings growth rate. A lower number can indicate a stock is cheap relative to how fast it's expected to grow.
7. Price / Book
Share price divided by book value (assets minus liabilities) per share.
8. ROE
Return on equity — net income divided by shareholders' equity, a measure of how efficiently a company turns equity into profit.
9. ROA
Return on assets — net income divided by total assets, a measure of how efficiently a company turns assets into profit.
10. MRQ
Most recent quarter — the single latest reported period, as opposed to TTM. The Financials section's "Quarterly" view below shows MRQ-style figures.
11. YoY
Year over year — percent change versus the same period one year earlier, used for growth figures like those on Compare cards and the Screener.

Short Interest

Shares Short72,705,550
Change from Prior Settlement+3.14%
% of Float
Days to Cover (Short Ratio)2.67

Source: FINRA Rule 4560 consolidated short interest, settlement date 2026-08-14. Reported bi-monthly with a reporting lag — not real-time.

Quotes and the 1-day extended-hours chart: Yahoo Finance. Longer historical charts: Alpaca (IEX feed) — real-time but IEX-only volume (~2.5% of consolidated market volume). Fundamentals + earnings: Finnhub.

Price history

Events

Drag horizontally to zoom into a section; use Reset view to restore all observations.

Technical signal summary

Calculating from the latest year of daily price history…

Calculating…
Show Technical Analysis Breakdown ▾ 10 Indicators

Signals describe daily price patterns—not the company’s value and not a recommendation to buy or sell. Read several together; no single indicator predicts what happens next. “Overbought” and “oversold” are conditions, not promises of a reversal.

Indicators None active

Add lines over the price chart or a panel below it. Your choices are saved on this device.

Starter sets
Trend
Oscillators
Volume/volatility
Loading chart…

Free IEX historical data only goes back to ~2021 — 5Y/Full show whatever's actually available, not a promise of that much history. Indicators are computed client-side from these same price bars; earnings markers ("E") come from Finnhub's free tier (~last 4 quarters + next upcoming) — older quarters aren't available. The move-highlight dots are a heuristic (|% change| vs rolling volatility) with a best-effort headline lookup, not a claim of causation.

Peer and sector context

Curated operating peers; median includes the selected company. Reported industry: Media.

GOOGL Alphabet Inc $338.34 $4,130.19B Media
META Meta Platforms Inc $616.75 $1,558.03B Media
MSFT Microsoft Corp $499.55 $3,787.92B Technology
AMZN Amazon.com Inc $258.40 $2,760.99B Retail
AAPL Apple Inc $319.95 $4,789.96B Technology
CompanyP/ERevenue growthProfit marginDividend yield52-week return
GOOGLAlphabet Inc17.224.2%54.8%+47.4%
METAMeta Platforms Inc22.228.0%29.8%-18.4%
MSFTMicrosoft Corp27.617.8%40.3%0.8%-1.7%
AMZNAmazon.com Inc20.319.6%17.4%+9.9%
AAPLApple Inc37.316.4%27.6%0.5%+36.3%
NFLXNetflix Inc25.113.4%28.2%-34.3%
Group median23.718.7%29.0%0.7%+4.1%

Source: Finnhub fundamentals. Peer membership is curated by business similarity and is not an investment recommendation.

Balanced evidence

A deterministic summary of sourced facts—not an AI verdict.

Potential strengths

Potential concerns

  • Latest SEC filing is Form 4, filed 2026-09-03; review it for current changes and risks. SEC EDGAR ↗

Rule-based facts only; absence from either side is not evidence, and this is not a recommendation.

Financials

Income statement

Line item Jun '26Mar '26Sep '25Jun '25Mar '25Sep '24Jun '24Mar '24
Revenue $119.80B $109.90B $102.35B $96.43B $90.23B $88.27B $84.74B
Operating income $40.77B $39.70B $31.23B $31.27B $30.61B $28.52B $27.43B $25.47B
Net income $112.19B $62.58B $34.98B $28.20B $34.54B $26.30B $23.62B $23.66B
EPS (diluted) $9.11 $5.11 $2.87 $2.31 $2.81 $2.12 $1.89 $1.89
EPS (basic) $9.23 $5.17 $2.89 $2.33 $2.84 $2.14 $1.91 $1.91
Operating margin $34 $36 $31 $32 $34 $32 $32

Balance sheet

Line item Jun '26Mar '26Dec '25Sep '25Jun '25Mar '25Dec '24Sep '24
Total assets $921.98B $703.92B $595.28B $536.47B $502.05B $475.37B $450.26B $430.27B
Total liabilities $281.50B $225.17B $180.02B $149.60B $139.14B $130.11B $125.17B $116.15B
Stockholders' equity $640.48B $478.75B $415.26B $386.87B $362.92B $345.27B $325.08B $314.12B
Total current assets $343.52B $213.75B $206.04B $173.95B $166.22B $162.05B $163.71B $157.54B
Total current liabilities $126.11B $111.19B $102.75B $99.55B $87.31B $91.65B $89.12B $80.80B
Cash & equivalents $55.91B $38.06B $30.71B $23.09B $21.04B $23.26B $23.47B $19.96B

Cash flow

Line item Jun '26Mar '26Dec '25Sep '25Jun '25Mar '25Dec '24Sep '24
Operating cash flow $39.07B $45.79B $52.40B $48.41B $27.75B $36.15B $39.11B $30.70B
Investing cash flow -$82.43B -$63.39B -$51.78B -$27.78B -$24.54B -$16.19B -$16.18B -$18.01B
Financing cash flow $61.24B $25.08B $7.03B -$18.38B -$5.83B -$20.20B -$19.04B -$20.09B
Free cash flow -$5.86B $10.12B $24.55B $24.46B $5.30B $18.95B $24.84B $17.64B
Capital expenditures $44.92B $35.67B $27.85B $23.95B $22.45B $17.20B $14.28B $13.06B
Share-based compensation $7.96B $6.75B $7.07B $6.37B $6.00B $5.52B $5.81B $5.85B

Source: SEC EDGAR XBRL filings (10-Q/10-K), as originally tagged by the company. Quarterly cash flow is reconstructed by de-cumulating fiscal-year-to-date figures (how cash flow is tagged in 10-Qs); other quarterly lines are reported directly.

Institutional holders

SEC Form 13F filers holding GOOGL as of the latest reported quarter. 13F only covers investment managers with $100M+ in assets — this is not a complete ownership picture, and does not include insiders (see Recent SEC filings below) or non-13F-eligible holders.

Source: Business Quant SEC Form 13F · report period 2026-06-30 · 31 filers

Held by These Filers24.6%
Shares Outstanding12,151,000,000
FilerSharesValue% OutQtr ChangeFiled
BlackRock, Inc. 460,972,803 $164.74B 3.79% +3.1% 2026-08-07
VANGUARD CAPITAL MANAGEMENT LLC 382,951,664 $136.86B 3.15% +1.2% 2026-06-30
FMR LLC 250,714,005 $89.60B 2.06% +6.0% 2026-08-13
State Street Corp 238,977,259 $85.40B 1.97% +5.6% 2026-08-07
GEODE CAPITAL MANAGEMENT, LLC 150,078,198 $53.47B 1.24% -1.2% 2026-08-12
Morgan Stanley 120,511,301 $43.07B 0.99% -0.4% 2026-08-11
PRICE T ROWE ASSOCIATES INC /MD/ 101,316,099 $36.2M 0.83% +25.8% 2026-08-14
VANGUARD PORTFOLIO MANAGEMENT LLC 98,896,291 $35.34B 0.81% +2.4% 2026-06-30
Jpmorgan Chase & Co 91,919,476 $32.51B 0.76% +29.6% 2026-08-12
Invesco Ltd. 91,277,658 $32.62B 0.75% +99.1% 2026-08-13
NORGES BANK 80,931,418 $28.92B 0.67% +0.0% 2026-08-12
Berkshire Hathaway Inc 78,791,167 $28.16B 0.65% +45.2% 2026-08-14
Capital World Investors 73,349,871 $26.21B 0.60% +12.2% 2026-08-07
Bank Of America Corp /De/ 72,422,160 $25.88B 0.60% +5.3% 2026-08-14
Northern Trust Corp 65,524,743 $23.42B 0.54% +0.8% 2026-08-12
Capital Research Global Investors 62,527,250 $22.35B 0.51% +8.7% 2026-08-07
Goldman Sachs Group Inc 58,584,981 $20.94B 0.48% +1.3% 2026-08-14
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 44,688,569 $15.97B 0.37% -1.1% 2026-08-13
WELLINGTON MANAGEMENT GROUP LLP 44,403,614 $15.87B 0.37% -6.8% 2026-08-14
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 40,980,558 $14.65B 0.34% +0.2% 2026-08-14
Sixth Street Partners Management Company, L.P. 40,980,558 $14.65B 0.34% +0.0% 2026-08-13
Fisher Asset Management, LLC 39,989,840 $14.29B 0.33% +2.4% 2026-08-04
Bank of New York Mellon Corp 39,216,785 $14.01B 0.32% -2.2% 2026-08-06
Legal & General Group Plc 37,212,257 $13.30B 0.31% -1.4% 2026-08-14
Royal Bank Of Canada 36,615,412 $13.09B 0.30% +3.8% 2026-08-13

Insider activity

Directors, officers, and 10%+ owners' reported transactions from SEC Form 4. A filing reports a transaction; it does not by itself explain why it happened.

Insider activity is not available for this symbol right now.

Recent SEC filings

Official company reports and insider transaction filings. Form 4 reports a transaction; it does not by itself explain why it happened.

Source: SEC EDGAR submissions · updated 2026-09-04 22:09 UTC

FiledFormReport periodOfficial filing
2026-09-0342026-09-01 View on SEC.gov →
2026-09-0342026-09-01 View on SEC.gov →
2026-08-3142026-08-28 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-2742026-08-25 View on SEC.gov →
2026-08-1142026-08-07 View on SEC.gov →
2026-08-108-K2026-08-10 View on SEC.gov →
2026-08-0642026-08-05 View on SEC.gov →

Headlines about GOOGL. Links open the publisher — we don’t host full articles.

SEC filings ↓

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