GS Stock Analysis — Bullish Signal for July 2026

A deep-dive research report on The Goldman Sachs Group, Inc. (GS) — published 2026-07-06 18:41 UTC, current price $1,055.29.

Bottom Line

Based on a comprehensive review of 11 technical indicators, historical price action, and risk-adjusted return characteristics, our current outlook on GS is:

  • Short-term (0-3 months): AVOID — moderate conviction
  • Long-term (12+ months): BUY — strong conviction
  • Composite technical signal: Bullish — moderate strength

At the current price of $1,055.29 (day change: +3.36% ▲), GS sits at 84% of its 52-week range ($691.30 – $1,125.00). The full analysis follows below.

Key Takeaways

  • Trailing 1-year return: GS has gained 47.41% over the past year, outpacing the long-run US equity average.
  • Volatility profile: Annualized volatility of 28.09% is elevated — Sharpe ratio 0.68, Sortino 0.68.
  • Historical drawdown risk: The worst peak-to-trough decline over the sample was -33.99%, bottoming on 2022-06-17.
  • Technical picture: Composite score of +0.50 on our -1/+1 scale, driven by 3 bullish signals vs 1 bearish.
  • Trading verdicts: Short-term outlook is AVOID with moderate conviction; long-term outlook is BUY with strong conviction.

What Is GS?

GS is The Goldman Sachs Group, Inc., an equity trading on NYQ in USD providing commodity exposure. This analysis examines its recent price action, technical setup, and near- and long-term outlook based on public market data through the most recent close. All figures are computed from the trailing history available on the data source.

Security Reference Data

Attribute Value
Symbol GS
Full name The Goldman Sachs Group, Inc.
Exchange NYQ
Currency USD
Type equity
52-week high $1,125.00
52-week low $691.30
Position in 52w range 84%

Recent Price Action and Performance

Over the trailing year, GS delivered exceptional returns of +47.41%, well above the historical average for broad US equity indices (roughly +10% annualized). Recent momentum has been strong — the past three months alone contributed +22.28% to the trailing-year total, suggesting current buyers are still finding conviction at these price levels. Year-to-date, GS is +15.42%, giving investors a real-time gauge of how the current calendar year has treated the position relative to their expectations at the start of the year.

Total Returns Across Timeframes

The table below shows GS’s total return over several standard windows. Yahoo’s adjusted-close series bakes dividends into the price, so these numbers approximate total return (price appreciation plus reinvested dividends).

Time window Total return Starting price
1 Day +3.36% $1,021.00
1 Week +3.50% $1,019.61
1 Month +1.37% $1,041.02
3 Month +22.28% $863.04
6 Month +20.06% $879.00
Year-to-Date +15.42% $914.34
1 Year +47.41% $715.89
Full sample (5.0y) +187.02% (CAGR +23.60%) $367.67

Risk and Volatility Analysis

GS’s annualized volatility of 28.09% is high, indicating the security experiences large price swings — position sizing should account for meaningful mark-to-market volatility that may test conviction during drawdowns. The Sharpe ratio of 0.68 is respectable — returns have modestly exceeded what a pure risk-free allocation would have delivered, on a per-unit-of-risk basis. The Sortino ratio, which penalizes only downside volatility rather than all volatility, registers at 0.68 — offering a fairer picture for investors who welcome upside surprises. Investors should note the historical max drawdown of -33.99%, bottoming on 2022-06-17. A drawdown of this magnitude tests even the most disciplined long-term holders and is important context when sizing a new position — the mental question is whether you can stomach a repeat without capitulating at the low.

Risk metrics computed over trailing ~5.0 years of daily closes.

Risk metric Value What it measures
Annualized return (CAGR) 23.60% Compound growth rate — geometric mean annualized
Annualized volatility 28.09% Standard deviation of returns, scaled to one year
Downside deviation 28.05% Volatility of negative returns only
Sharpe ratio 0.68 Excess return per unit of total volatility (vs 4.5% Rf)
Sortino ratio 0.68 Excess return per unit of downside volatility
Max drawdown -33.99% Largest peak-to-trough decline (bottomed 2022-06-17)

Price Chart — 1 Year

$1094.44 |                                                       * ** 
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         |                                                      * || *
         |                                                     *  *   
         |                               * * **           *  **       
         |                             ** * *  ***      ** **         
$ 897.42 |                          ***           |    *              
         |                      *   |             *  * |              
         |             **       ||**               ** *               
         |           **  ******* *                                    
         |*   *******                                                 
$ 700.41 | ***                                                        
         +------------------------------------------------------------
          2025-07-03               2026-01-02               2026-06-29

The chart above traces the price journey from $723.68 on 2025-07-03 to $1055.29 on 2026-07-06, a net change of +45.82% over roughly 1 year(s) of trading. The high of $1106.37 was set recently on 2026-06-22, suggesting the security is currently near its multi-month strength — worth pairing with the momentum indicators below to assess whether the strength is likely to continue or is due for a pause.

Price Chart — Last 30 Days

$1106.37 |                  * *         
         |         *       * * *        
         |       * ||     *     **      
         |      * |||    *        |    *
$1047.27 |      | * *** *         |    |
         |     *       ||         ** ** 
         | *  *        *            *   
$ 988.17 |* **                          
         +------------------------------
          2026-05-21 2026-06-12 2026-07-06

The 30-day chart offers a tighter view of recent price action — useful for identifying short-term support, resistance, and potential entry zones for tactical positions.

Technical Analysis Deep Dive

Technical analysis interprets patterns in price and volume to gauge the balance of supply and demand — the collective actions of buyers and sellers. No single indicator is decisive; each captures a different facet of market behavior. The value comes from combining them and looking for confirmation across independent signals. This section aggregates 11 widely-followed technical indicators into a composite reading, then breaks each one down individually.

Composite Signal: 🟢 Bullish (Moderate)

The composite signal aggregates 11 independent technical indicators — each casting a bullish, bearish, or neutral vote — into a single summary reading. In this analysis, 3 of 11 indicators are bullish, 1 are bearish, and 7 are neutral, yielding a net score of +0.50 on a scale from -1 (unanimously bearish) to +1 (unanimously bullish).

This translates to a Moderate bullish overall verdict. Multiple independent signals — spanning momentum, trend, and volume categories — are aligned to the upside. This kind of broad agreement across indicator families is historically associated with better-than-average forward returns, though it never guarantees them.

Signal Breakdown by Indicator

The following table summarizes the current reading of each individual indicator. The detailed interpretation for each follows the table.

Indicator Signal Interpretation
RSI-14 🟡 NEUTRAL RSI 55 in neutral zone
MACD 🔴 BEARISH MACD Bearish (above zero)
MA-50 🟢 BULLISH Price above MA50 ($1000.86)
MA-200 🟢 BULLISH Price above MA200 ($890.94)
MA-50/200 cross 🟢 BULLISH Golden Cross (MA50 > MA200)
Bollinger Bands 🟡 NEUTRAL Mid-band (pos 51%)
Volume 🟡 NEUTRAL Volume normal (0.91× avg)
ADX 🟡 NEUTRAL ADX 22 (emerging trend)
Stochastic 🟡 NEUTRAL Stochastic 43
OBV 🟡 NEUTRAL OBV trend mixed
ATR 🟡 NEUTRAL ATR $32.03 (3.0%) — normal

What Each Indicator Is Telling Us

Each indicator below is measured against its own historically meaningful thresholds. The explanations combine the context of what the indicator measures with what the current reading implies for GS specifically.

RSI-14

The Relative Strength Index (RSI-14) measures the magnitude of recent price changes on a 0-100 scale. Readings above 70 typically indicate overbought conditions where a pause or pullback is statistically more likely; readings below 30 indicate oversold conditions historically associated with short-term bounces. The current reading of 54.7 is squarely neutral, offering no directional edge from this indicator alone.

MACD

Moving Average Convergence Divergence (MACD) compares two exponential moving averages (12-period vs 26-period) and a signal line (9-period EMA of the MACD line). A bullish cross occurs when MACD rises above the signal line — a widely-followed trend-following buy signal. The current MACD signal is BEARISH, with the indicator reporting: MACD Bearish (above zero)

MA-50

The 50-day moving average (MA-50) smooths daily price noise into a medium-term trend proxy. Price trading above the MA-50 is generally interpreted as an intact medium-term uptrend; below the MA-50 signals momentum has broken down. The current status is BULLISHPrice above MA50 ($1000.86)

MA-200

The 200-day moving average (MA-200) is the most widely watched indicator among long-term investors — the classic line separating bull markets from bear markets. Institutional trend-followers frequently use MA-200 as an on/off switch for exposure. The current reading is BULLISHPrice above MA200 ($890.94)

MA-50/200 cross

The MA-50/MA-200 cross is a foundational trend signal. When the 50-day rises above the 200-day (a Golden Cross), it often signals the beginning of a durable uptrend; the opposite Death Cross frequently precedes extended weakness. Current status: BULLISHGolden Cross (MA50 > MA200)

Bollinger Bands

Bollinger Bands plot two standard deviations above and below a 20-period moving average. Price at the upper band indicates extension (potential mean-reversion risk); price at the lower band indicates capitulation (potential bounce opportunity). The current position gives a NEUTRAL reading — Mid-band (pos 51%)

Volume

Volume analysis compares recent trading activity to its 20-day average. Rising prices on rising volume confirm the move; rising prices on declining volume flag a weakening trend that may not be sustainable. The current volume signal is NEUTRALVolume normal (0.91× avg)

ADX

The Average Directional Index (ADX) measures trend strength on a 0-100 scale — regardless of direction. Readings above 25 signal a strong, directional market; below 20 signal a range-bound market where momentum strategies underperform. Current ADX reading suggests a NEUTRAL environment — ADX 22 (emerging trend)

Stochastic

The Stochastic Oscillator compares the current close to the recent high-low range. Readings above 80 flag overbought conditions; below 20 flag oversold. It typically triggers earlier than RSI, capturing short-term extremes. The current stochastic reading is NEUTRALStochastic 43

OBV

On-Balance Volume (OBV) cumulatively adds volume on up-days and subtracts it on down-days. A rising OBV under a rising price series confirms accumulation; a falling OBV under a rising price warns of distribution — smart money quietly selling. OBV currently reads NEUTRALOBV trend mixed

ATR

Average True Range (ATR) measures typical daily price movement — a pure volatility gauge, not a directional signal. It informs position sizing and stop-loss placement, not entry timing. Current ATR is NEUTRALATR $32.03 (3.0%) — normal

Trading Thesis for GS

The following thesis distinguishes between two independent time horizons: short-term (0-3 months) and long-term (12+ months). These horizons draw on different subsets of the indicators above — short-term thinking leans on momentum and oscillator readings, while long-term thinking leans on trend structure and volume-flow characteristics. It is entirely possible (and often the case) that the two horizons produce different verdicts.

Short-Term Outlook (Next 3 Months): 🔴 AVOID (Moderate Conviction)

Short-term momentum is soft. New long positions carry elevated risk of immediate drawdown. Wait for a clearer reversal signal (e.g. RSI < 30 or bullish MACD cross).

Key factors supporting this avoid view:

  • The Relative Strength Index (RSI-14) measures the magnitude of recent price changes on a 0-100 scale. Readings above 70 typically indicate overbought conditions where a pause or pullback is statistically more likely; readings below 30 indicate oversold conditions historically associated with short-term bounces. The current reading of 54.7 is squarely neutral, offering no directional edge from this indicator alone.
  • Moving Average Convergence Divergence (MACD) compares two exponential moving averages (12-period vs 26-period) and a signal line (9-period EMA of the MACD line). A bullish cross occurs when MACD rises above the signal line — a widely-followed trend-following buy signal. The current MACD signal is BEARISH, with the indicator reporting: MACD Bearish (above zero)

Long-Term Outlook (12+ Months): 🟢 BUY (Strong Conviction)

Long-term structure is unambiguously bullish. Trend, trend strength, and volume flows are all aligned for a durable multi-quarter advance. Suitable for a core position with room to add on pullbacks.

Key factors supporting this buy view:

  • Price is above the 50-day moving average — Price above MA50 ($1000.86).
  • Price is above the 200-day moving average — Price above MA200 ($890.94).
  • The 50-day moving average (MA-50) smooths daily price noise into a medium-term trend proxy. Price trading above the MA-50 is generally interpreted as an intact medium-term uptrend; below the MA-50 signals momentum has broken down. The current status is BULLISHPrice above MA50 ($1000.86)
  • Trading at 84% of the 52-week range — extended toward highs.

Methodology and Data Sources

This analysis is built from publicly-available market data and rules-based computations. There is no proprietary model, no black-box output, no insider information. Every number can be reproduced from the daily adjusted-close series of the security. What follows is a plain-English walkthrough of how the analysis is constructed.

Data Source

Price data is sourced from Yahoo Finance’s public chart endpoint. The close prices used throughout are dividend-adjusted, meaning historical returns approximate total return (price appreciation plus reinvested dividends) rather than pure price change. This is the industry-standard way to fairly compare dividend-paying and non-dividend-paying securities over long horizons.

Return Calculations

Returns over each window are computed as (latest_close / historical_close) - 1. The compound annual growth rate (CAGR) shown for the full sample is (latest / earliest)^(1/years) - 1 — the geometric mean, which correctly accounts for the compounding of returns. Arithmetic averages of period returns are avoided because they overstate the realized experience of a long-term holder.

Risk Metrics

Volatility uses the standard deviation of daily log returns, annualized by multiplying by the square root of 252 (the approximate number of trading days per year). Downside deviation is computed the same way but using only the negative returns. Sharpe and Sortino ratios use a 4.5% risk-free rate — an approximation of the trailing 3-month Treasury bill yield. Maximum drawdown tracks the worst peak-to-trough decline in the sample; it is a realized worst-case, not a modeled one.

Composite Signal Construction

The composite signal is an unweighted tally of the individual indicator verdicts. Each indicator votes bullish, bearish, or neutral based on its own thresholds (e.g. RSI < 30 is bullish, RSI > 70 is bearish, otherwise neutral). The votes are summed into a score on a -1 to +1 scale, mapped to labels of Strong / Moderate / Weak conviction. The approach is intentionally simple — a weighted or machine-learned composite could look more sophisticated on paper but would be harder to audit and easier to overfit.

Important Disclosures

This report is algorithmic technical analysis produced for informational and educational purposes only. It is not investment advice and does not constitute a recommendation, solicitation, or offer to buy or sell any security. Past performance does not guarantee future results; technical indicators can and do produce false signals, particularly at market turning points.

Readers should conduct their own research, consider their personal financial situation and risk tolerance, and consult a qualified financial advisor before making any investment decisions. The author may or may not hold positions in the securities analyzed.


Report generated by FIN/400 on 2026-07-06 18:41 UTC. Data source: Yahoo Finance. This analysis is a snapshot as of the generation timestamp; market conditions change continuously.

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