Goldman’s High Growth Investment ratio stocks: EA, AMZN, FANG, etc
Goldman Sachs analysts put together a basket of stocks with the highest growth investment ratio.
They define “growth investment ratio” as trailing three-year capital expenditures minus depreciation and plus research and development expenses as a share of its cash flow from operations.
In a recent note, Goldman analysts said that they expect S&P 500 (SP500) cash spending to grow by 8% this year to $3.6T, and 11% next year to $4T.
In addition, 47% of spending will be allocated to capex and R&D, 45% to buybacks and dividends, and 8% to cash mergers and acquisitions.
R&D is expected to grow by 9% in 2025, “driven by solid earnings growth and a supportive economic environment,” said David J. Kostin, chief U.S. equity strategist, in a note.
This, however, is a deceleration from the pace of the first half of the year of 13% along with decelerating sales growth, “but a convergence back towards the pre-pandemic average of 8%.”
These are the constituents of the “high growth investment ratio” basket, with data as of Oct. 17, and organized by sector:
Communication services
- Electronic Arts (EA) – Three-year growth investment ratio: 106%
- Meta Platforms Inc. (META) – Three-year growth investment ratio: 83%
- Alphabet Inc. (GOOGL) – Three-year growth investment ratio: 62%
- Match Group Inc. (MTCH) – Three-year growth investment ratio: 40%
- Verizon Communications (VZ) – Three-year growth investment ratio: 9%
Consumer discretionary
- Amazon.com Inc. (AMZN) – Three-year growth investment ratio: 137%
- Norwegian Cruise Line Holdings (NCLH) – Three-year growth investment ratio: 111%
- Carnival Corp. (CCL) – Three-year growth investment ratio: 109%
- Garmin Ltd. (GRMN) – Three-year growth investment ratio: 85%
- Royal Caribbean Group (RCL) – Three-year growth investment ratio: 73%
- eBay Inc. (EBAY) – Three-year growth investment ratio: 71%
Consumer staples
- Lamb Weston Holdings (LW) – Three-year growth investment ratio: 61%
- Dollar Tree Inc. (DLTR) – Three-year growth investment ratio: 40%
- Constellation Brands (STZ) – Three-year growth investment ratio: 33%
Energy
- Diamondback Energy (FANG) – Three-year growth investment ratio: 38%
- Hess Corp. (HES) – Three-year growth investment ratio: 33%
Health care
- Incyte Corp. (INCY) – Three-year growth investment ratio: 379%
- Moderna Inc. (MRNA) – Three-year growth investment ratio: 196%
- Vertex Pharmaceuticals (VRTX) – Three-year growth investment ratio: 196%
- Eli Lilly & Co. (LLY) – Three-year growth investment ratio: 194%
- Insulet Corp. (PODD) – Three-year growth investment ratio: 168%
- Merck & Co. Inc. (MRK) – Three-year growth investment ratio: 114%
- Biogen Inc. (BIIB) – Three-year growth investment ratio: 107%
Industrials
- Boeing Co. (BA) – Three-year growth investment ratio: 292%
- Axon Enterprise (AXON) – Three-year growth investment ratio: 172%
- Uber Technologies (UBER) – Three-year growth investment ratio: 85%
- Southwest Airlines (LUV) – Three-year growth investment ratio: 71%
- Commins Inc. (CMI) – Three-year growth investment ratio: 67%
Information technology
- Western Digital (WDC) – Three-year growth investment ratio: 532%
- Intel Corp. (INTC) – Three-year growth investment ratio: 205%
- First Solar Inc. (FSLR) – Three-year growth investment ratio: 129%
- Cadence Design Systems (CDNS) – Three-year growth investment ratio: 112%
- Synopsys Inc. (SNPS) – Three-year growth investment ratio: 108%
- Advanced Micro Devices (AMD) – Three-year growth investment ratio: 92%
- Zebra Technologies (ZBRA) – Three-year growth investment ratio: 92%
- Palantir Technologies (PLTR) – Three-year growth investment ratio: 82%
- QUALCOMM Inc. (QCOM) – Three-year growth investment ratio: 82%
- Trimble Inc. (TRMB) – Three-year growth investment ratio: 80%
- F5 Inc. (FFIV) – Three-year growth investment ratio: 73%
- Autodesk Inc. (ADSK) – Three-year growth investment ratio: 70%
- Keysight Technologies (KEYS) – Three-year growth investment ratio: 69%
- NetApp Inc. (NTAP) – Three-year growth investment ratio: 68%
- GoDaddy Inc. (GDDY) – Three-year growth investment ratio: 66%
- Oracle Corp. (ORCL) – Three-year growth investment ratio: 65%
- Teradyne Inc. (TER) – Three-year growth investment ratio: 63%
- Texas Instruments (TXN) – Three-year growth investment ratio: 61%
- Seagate Tech Holdings (STX) – Three-year growth investment ratio: 60%
Utilities
- AES Corp. (AES) – Three-year growth investment ratio: 182%
- PG&E Corp. (PCG) – Three-year growth investment ratio: 136%
Materials
- Albemarle Corp. (ALB) – Three-year growth investment ratio: 112%