Alphabet Inc Class A Overview

GOOGL was traded at $174.6700 as of 2025-06-13.

Alphabet Inc Class A (GOOGL)

Quarterly Financials

Annual Financials

Asset Type: Common Stock

Sector: TECHNOLOGY

Industry: SERVICES-COMPUTER PROGRAMMING, DATA PROCESSING, ETC.

Description: Alphabet Inc. is an American multinational conglomerate headquartered in Mountain View, California. It was created through a restructuring of Google on October 2, 2015, and became the parent company of Google and several former Google subsidiaries. The two co-founders of Google remained as controlling shareholders, board members, and employees at Alphabet. Alphabet is the world's fourth-largest technology company by revenue and one of the world's most valuable companies.

Address: 1600 AMPHITHEATRE PARKWAY, MOUNTAIN VIEW, CA, US

CIK: 1652044

Exchange: NASDAQ

Currency: USD

Country: USA

Fiscal Year End: December

Latest Quarter: June 30, 2024

Market Capitalization: 1,835,252,318,000

EBITDA: 115,478,004,000

PE Ratio: 21.33

PEG Ratio: 1.002

Book Value: 24.41

Dividend Per Share: 0.20

Dividend Yield: 0.0054

EPS: 6.97

Revenue Per Share (TTM): 26.35

Profit Margin: 0.267

Operating Margin (TTM): 0.324

Return on Assets (TTM): 0.160

Return on Equity (TTM): 0.309

Revenue (TTM): 328,284,013,000

Gross Profit (TTM): 156,633,000,000

Diluted EPS (TTM): 6.97

Quarterly Earnings Growth (YOY): 0.314

Quarterly Revenue Growth (YOY): 0.136

Analyst Target Price: 202.66

Analyst Ratings (Strong Buy): 15

Analyst Ratings (Buy): 30

Analyst Ratings (Hold): 10

Analyst Ratings (Sell): 0

Analyst Ratings (Strong Sell): 0

Trailing PE: 21.33

Forward PE: 16.98

Price to Sales Ratio (TTM): 5.590

Price to Book Ratio: 6.09

EV to Revenue: 5.370

EV to EBITDA: 15.27

Beta: 1.039

52 Week High: 191.50

52 Week Low: 119.91

50 Day Moving Average: 169.82

200 Day Moving Average: 156.83

Shares Outstanding: 5,859,000,000

Dividend Date: Sept. 16, 2024

Ex-Dividend Date: Sept. 9, 2024

Official Website: https://abc.xyz

Financial Analysis

Valuation Overview

The company's Price-to-Earnings (P/E) ratio is 21.33, with a forward P/E of 16.98. This suggests expected earnings growth. The Price-to-Book ratio of 6.09 indicates a premium valuation relative to its assets.

Profitability Metrics

With a profit margin of 0.267% and an operating margin of 0.324%, the company demonstrates positive profitability. The Return on Equity (ROE) of 0.309% reflects its efficiency in generating returns for shareholders.

Growth Trends

Quarterly revenue growth (YOY) stands at 0.136%, and quarterly earnings growth (YOY) is 0.314%. These figures indicate positive growth momentum. The PEG ratio of 1.002 suggests higher growth expectations.

Dividend Profile

The company offers a dividend yield of 0.0054% with an annual dividend per share of $0.20. This makes it less appealing for income-focused investors.

Market Position

Trading at $174.6700 (within a 52-week range of $119.91 to $191.50), the stock's beta of 1.039 indicates higher volatility compared to the market. Analyst target price is $202.66, suggesting limited near-term growth.

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