Prices from Twelve Data (may be delayed). Hong Kong Stock Exchange tickers (e.g. “0700.HK”) instead use EODHD, the only free source found that covers HKEX. Fundamentals from SEC EDGAR (US filers only). Insider transactions, institutional holdings, sentiment-scored news, and the next earnings date (US tickers only, not covered for HKEX) are from Alpha Vantage. Not investment advice. See the data sources appendix on each company page for full detail.
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Alphabet Inc. Class A Common Stock GOOGL

NASDAQ

$355.72

+6.18 (+1.77%)

$355.7209-21

A quick, factual read on the price trend and the underlying business, not a recommendation, and not a substitute for reading the numbers below yourself.

At a glance

Above 200DMAFirm momentumMid-rangeHigh ROEUnavailableHigher than marketHigh multiple

65

Technical strength

Trend, momentum, position vs averages

  • Price is 5.3% above its 200-day moving average.
  • 14-day RSI is 63.
  • Sits at 69% of its 52-week range (0% = low, 100% = high).

76

Fundamental quality

Margins, returns, leverage, growth

  • Net margin is 26.1%.
  • Return on equity is 28.8%.
  • Revenue grew 9.8% year over year.

$350.44

Open

$349.54

Previous close

$408.61

52-week high

$235.84

52-week low

379,389

Volume

24,824,009

Avg. volume

$345.55

50-day avg.

+31%

Volatility (ann.)

Context

  • Trading 12.9% below its 52-week high, and closer to the top of its 52-week range.
  • Trading 2.9% above its 50-day average price, consistent with recent upward momentum.
  • Annualized price volatility over this period is about 31%, which is moderately volatile next to a typical broad-market stock (commonly ~15-25%).

About

In finance, a share class or share classification are different types of shares in company share capital that have different levels of voting rights. For example, a company might create two classes of shares class A share and a class B share where the class A shares have fewer rights than class B shareholders. This may be done to maintain control of a company by a group of shareholders or to make a company more difficult to take over.

Fundamentals & valuation (FY2024, from SEC filings)

Core financials

$282.8bn

Revenue (latest FY)

+9.78%

Revenue growth (YoY)

$73.8bn

Net income (latest FY)

+29.80%

Operating margin

$5.80

EPS (diluted)

$11.9bn

Total debt

$23.5bn

Cash & equivalents

+26.09%

Net margin

+27.19%

EPS growth (YoY)

-$11.6bn

Net debt

$74.6bn

Working capital

$256.1bn

Shareholders' equity

$101.7bn

Operating cash flow

$32.3bn

Capital expenditure

$69.5bn

Free cash flow

12,630,000,000

Shares outstanding (basic, wtd. avg.)

12,722,000,000

Shares outstanding (diluted, wtd. avg.)

Valuation multiples

$355.72

Price

$4.34tn

Market cap

$4.33tn

Enterprise value

61.3x

P/E ratio

51.4x

EV / EBIT

15.3x

EV / Sales

17.0x

Price / Book

+1.60%

FCF yield

0.00%

Dividend yield

Growth & returns

+9.78%

Revenue growth (YoY)

+27.23%

ROIC (est., 21% tax rate)

+27.19%

EPS growth (YoY)

+28.81%

ROE

+16.39%

ROA

Credit metrics & WACC inputs

1.35

Beta (vs. S&P 500)

$11.9bn

Total debt

$23.5bn

Cash & equivalents

-$11.6bn

Net debt

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