|

    GOOG
    U.S.: Nasdaq

    Alphabet Inc. Cl C

    Watchlist

    NEW
    Set a price target alert


    GOOGUS

    After Hours

    Last Updated: Jun 17, 2024 7:59 p.m. EDT
    Delayed quote

    $
    178.91



    0.13
    0.07%

    After Hours Volume:
    1.6M
    Close Chg Chg %
    $178.78 0.41 0.23%



    Advanced Charting




    Volume: 15.27M
    65 Day Avg: 19.81M
    77% vs Avg

    176.49
    Day Range
    179.92

    115.83
    52 Week Range
    182.08

    Partner Content

    Your Watchlists

    Customize MarketWatch

    Have Watchlists? Log in to see them here or sign up to get started.


    Symbol

    Company

    Price

    Chg/Chg %

    No Items in Watchlist

    There are currently no items in this Watchlist.

    No Saved Watchlists

    Create a list of the investments you want to track.

    Uh oh

    Something went wrong while loading Watchlist.

    Recently Viewed Tickers

    No Recent Tickers

    Visit a quote page and your recently viewed tickers will be displayed here.

    GOOG Finanicals

    Assets

    Fiscal year is January-December. All values USD.

    Item
    Item
    2019
    2020
    2021
    2022
    2023
    5-year trend
    Cash & Short Term Investments
    Cash & Short Term Investments
    119.68B
    136.69B
    139.65B
    113.76B
    110.92B
    Cash & Short Term Investments Growth
    Cash & Short Term Investments Growth
    -
    14.22%
    2.16%
    -18.54%
    -2.50%
    Cash Only
    Cash Only
    18.5B
    26.47B
    20.95B
    21.88B
    24.05B
    Short-Term Investments
    Short-Term Investments
    -
    -
    -
    -
    -
    Cash & ST Investments / Total Assets
    Cash & ST Investments / Total Assets
    43.37%
    42.77%
    38.87%
    31.15%
    27.56%
    Total Accounts Receivable
    Total Accounts Receivable
    27.49B
    31.38B
    40.27B
    40.26B
    47.96B
    Total Accounts Receivable Growth
    Total Accounts Receivable Growth
    -
    14.16%
    28.31%
    -0.03%
    19.14%
    Accounts Receivables, Net
    Accounts Receivables, Net
    25.33B
    30.93B
    39.3B
    40.26B
    47.96B
    Accounts Receivables, Gross
    Accounts Receivables, Gross
    26.08B
    31.72B
    39.85B
    41.01B
    48.74B
    Bad Debt/Doubtful Accounts
    Bad Debt/Doubtful Accounts
    (753M)
    (789M)
    (550M)
    (754M)
    (771M)
    Other Receivable
    Other Receivable
    2.17B
    454M
    966M
    -
    -
    Accounts Receivable Turnover
    Accounts Receivable Turnover
    5.87
    5.81
    6.39
    6.98
    6.40
    Inventories
    Inventories
    999M
    728M
    1.17B
    2.67B
    -
    Finished Goods
    Finished Goods
    999M
    728M
    1.17B
    2.67B
    -
    Work in Progress
    Work in Progress
    -
    -
    -
    -
    -
    Raw Materials
    Raw Materials
    -
    -
    -
    -
    -
    Progress Payments & Other
    Progress Payments & Other
    -
    -
    -
    -
    -
    Other Current Assets
    Other Current Assets
    4.41B
    5.49B
    7.05B
    8.11B
    12.65B
    Miscellaneous Current Assets
    Miscellaneous Current Assets
    4.41B
    5.49B
    7.05B
    8.11B
    12.65B
    Total Current Assets
    Total Current Assets
    152.58B
    174.3B
    188.14B
    164.8B
    171.53B
    Net Property, Plant & Equipment
    Net Property, Plant & Equipment
    84.59B
    96.96B
    110.56B
    127.05B
    148.44B
    Property, Plant & Equipment - Gross
    Property, Plant & Equipment - Gross
    115.15B
    138.67B
    159.97B
    186.09B
    215.89B
    Buildings
    Buildings
    39.87B
    49.73B
    58.88B
    66.9B
    74.08B
    Land & Improvements
    Land & Improvements
    -
    -
    -
    -
    -
    Computer Software and Equipment
    Computer Software and Equipment
    35.24B
    45.91B
    55.61B
    66.27B
    80.59B
    Other Property, Plant & Equipment
    Other Property, Plant & Equipment
    6.47B
    7.71B
    9.36B
    10.89B
    11.9B
    Accumulated Depreciation
    Accumulated Depreciation
    30.56B
    41.71B
    49.41B
    59.04B
    67.46B
    Total Investments and Advances
    Total Investments and Advances
    13.08B
    20.7B
    29.55B
    30.49B
    31.01B
    Other Long-Term Investments
    Other Long-Term Investments
    11.78B
    19.3B
    28.05B
    28.99B
    29.31B
    Long-Term Note Receivables
    Long-Term Note Receivables
    -
    -
    -
    -
    -
    Intangible Assets
    Intangible Assets
    22.6B
    22.62B
    24.37B
    31.04B
    29.2B
    Net Goodwill
    Net Goodwill
    20.62B
    21.18B
    22.96B
    28.96B
    29.2B
    Net Other Intangibles
    Net Other Intangibles
    1.98B
    1.45B
    1.42B
    2.08B
    -
    Other Assets
    Other Assets
    2.34B
    3.95B
    5.36B
    6.62B
    10.05B
    Total Assets
    Total Assets
    275.91B
    319.62B
    359.27B
    365.26B
    402.39B
    Total Assets Growth
    Total Assets Growth
    -
    15.84%
    12.41%
    1.67%
    10.16%

    Liabilities & Shareholders' Equity

    All values USD.

    Item
    Item
    2019
    2020
    2021
    2022
    2023
    5-year trend
    ST Debt & Current Portion LT Debt
    ST Debt & Current Portion LT Debt
    1.2B
    2.79B
    2.3B
    2.78B
    4.15B
    Short Term Debt
    Short Term Debt
    1.2B
    1.69B
    2.19B
    2.48B
    2.79B
    Current Portion of Long Term Debt
    Current Portion of Long Term Debt
    -
    1.1B
    113M
    298M
    1.36B
    Accounts Payable
    Accounts Payable
    5.56B
    5.59B
    6.04B
    5.13B
    7.49B
    Accounts Payable Growth
    Accounts Payable Growth
    -
    0.50%
    8.02%
    -15.06%
    46.12%
    Income Tax Payable
    Income Tax Payable
    274M
    1.49B
    808M
    -
    2.75B
    Other Current Liabilities
    Other Current Liabilities
    38.19B
    46.97B
    55.11B
    61.4B
    67.42B
    Dividends Payable
    Dividends Payable
    -
    -
    -
    -
    -
    Accrued Payroll
    Accrued Payroll
    8.5B
    11.09B
    13.89B
    14.03B
    15.14B
    Miscellaneous Current Liabilities
    Miscellaneous Current Liabilities
    29.69B
    35.88B
    41.22B
    47.37B
    52.28B
    Total Current Liabilities
    Total Current Liabilities
    45.22B
    56.83B
    64.25B
    69.3B
    81.81B
    Long-Term Debt
    Long-Term Debt
    14.77B
    25.08B
    26.21B
    27.2B
    25.71B
    Long-Term Debt excl. Capitalized Leases
    Long-Term Debt excl. Capitalized Leases
    3.87B
    12.73B
    12.73B
    14.7B
    11.51B
    Non-Convertible Debt
    Non-Convertible Debt
    3.87B
    12.73B
    12.73B
    14.7B
    11.51B
    Convertible Debt
    Convertible Debt
    -
    -
    -
    -
    -
    Capitalized Lease Obligations
    Capitalized Lease Obligations
    685M
    1.2B
    2.09B
    -
    1.75B
    Provision for Risks & Charges
    Provision for Risks & Charges
    -
    -
    -
    -
    -
    Deferred Taxes
    Deferred Taxes
    980M
    2.48B
    3.97B
    (4.75B)
    (11.68B)
    Deferred Taxes - Credits
    Deferred Taxes - Credits
    1.7B
    3.56B
    5.26B
    514M
    485M
    Deferred Taxes - Debit
    Deferred Taxes - Debit
    721M
    1.08B
    1.28B
    5.26B
    12.17B
    Other Liabilities
    Other Liabilities
    12.78B
    11.6B
    11.92B
    12.1B
    11B
    Other Liabilities (excl. Deferred Income)
    Other Liabilities (excl. Deferred Income)
    12.42B
    11.12B
    11.38B
    11.51B
    10.09B
    Deferred Income
    Deferred Income
    358M
    481M
    535M
    599M
    911M
    Total Liabilities
    Total Liabilities
    74.47B
    97.07B
    107.63B
    109.12B
    119.01B
    Non-Equity Reserves
    Non-Equity Reserves
    -
    -
    -
    -
    -
    Total Liabilities / Total Assets
    Total Liabilities / Total Assets
    26.99%
    30.37%
    29.96%
    29.87%
    29.58%
    Preferred Stock (Carrying Value)
    Preferred Stock (Carrying Value)
    -
    -
    -
    -
    -
    Redeemable Preferred Stock
    Redeemable Preferred Stock
    -
    -
    -
    -
    -
    Non-Redeemable Preferred Stock
    Non-Redeemable Preferred Stock
    -
    -
    -
    -
    -
    Common Equity (Total)
    Common Equity (Total)
    201.44B
    222.54B
    251.64B
    256.14B
    283.38B
    Common Equity / Total Assets
    Common Equity / Total Assets
    73.01%
    69.63%
    70.04%
    70.13%
    70.42%
    Common Stock Par/Carry Value
    Common Stock Par/Carry Value
    688.34M
    675.22K
    662.12K
    12.85B
    12.85B
    Retained Earnings
    Retained Earnings
    152.12B
    163.4B
    191.48B
    195.56B
    211.25B
    ESOP Debt Guarantee
    ESOP Debt Guarantee
    -
    -
    -
    -
    -
    Cumulative Translation Adjustment/Unrealized For. Exch. Gain
    Cumulative Translation Adjustment/Unrealized For. Exch. Gain
    (2B)
    (864M)
    (2.31B)
    (4.14B)
    (3.41B)
    Unrealized Gain/Loss Marketable Securities
    Unrealized Gain/Loss Marketable Securities
    812M
    1.61B
    236M
    (3.48B)
    (965M)
    Revaluation Reserves
    Revaluation Reserves
    -
    -
    -
    -
    -
    Treasury Stock
    Treasury Stock
    -
    -
    -
    -
    -
    Total Shareholders' Equity
    Total Shareholders' Equity
    201.44B
    222.54B
    251.64B
    256.14B
    283.38B
    Total Shareholders' Equity / Total Assets
    Total Shareholders' Equity / Total Assets
    73.01%
    69.63%
    70.04%
    70.13%
    70.42%
    Accumulated Minority Interest
    Accumulated Minority Interest
    -
    -
    -
    -
    -
    Total Equity
    Total Equity
    201.44B
    222.54B
    251.64B
    256.14B
    283.38B
    Liabilities & Shareholders' Equity
    Liabilities & Shareholders' Equity
    275.91B
    319.62B
    359.27B
    365.26B
    402.39B