GE Vernova Inc.

GE Vernova Inc.

GEV
GE Vernova Inc.US flagNew York Stock Exchange
1,063.25
USD
+13.83
- -
283.18BMarket Cap

Total Valuation

GE Vernova Inc. carries a market capitalization of 283.18B, placing it among publicly traded companies globally. Its enterprise value stands at 303.74B, reflecting the total theoretical takeover cost after accounting for cash holdings and debt obligations.

Market Cap283.18B
Enterprise Value303.74B

Share Statistics

GE Vernova Inc. currently has 266.33M shares outstanding.

Shares Outstanding266.33M
Owned by Insiders (%)N/A
Owned by Institutions (%)N/A

Valuation Ratios

GE Vernova Inc. trades at a trailing price-to-earnings ratio of 33.26. The price-to-sales ratio is 7.66, and the price-to-book ratio stands at 26.17.

PE Ratio33.26
PS Ratio7.66
PB Ratio26.17
P/TBV Ratio-139.75
P/FCF Ratio20.23
P/OCF Ratio22.41

Enterprise Valuation

On an enterprise value basis, GE Vernova Inc. trades at an EV/EBITDA multiple of 101.08 and an EV/FCF ratio of 19.18. The EV/Sales ratio of 7.34 reflects the premium investors are willing to pay for the company's revenue stream, while the EV/EBIT multiple of 168.46 provides insight into valuation relative to core operating earnings.

EV / Sales7.34
EV / EBITDA101.08
EV / EBIT168.46
EV / FCF19.18

Financial Position

GE Vernova Inc. maintains a current ratio of 0.85, meaning it holds 0.8x the short-term assets needed to cover near-term liabilities.

Current Ratio0.85
Quick Ratio0.60
Debt / Equity21.30
Debt / EBITDA0.93
Interest CoverageN/A

Financial Efficiency

GE Vernova Inc. posts a return on equity of 91.48 and a return on invested capital of 7.68.

Return on Equity (ROE)91.48
Return on Assets (ROA)14.24
Return on Invested Capital (ROIC)7.68
Return on Capital Employed (ROCE)158.84
Revenue Per EmployeeN/A
Employee CountN/A
Inventory Turnover3.14

Taxes

Over the trailing twelve months, GE Vernova Inc. has paid -1.64B in income taxes, reflecting an effective tax rate of 76.05.

Income Tax-1.64B
Effective Tax Rate76.05

Stock Price Statistics

GE Vernova Inc.'s stock has gained approximately 70.04654% over the past 52 weeks. The 50-day moving average sits at 1,025.46, while the 200-day moving average is 855.14.

Beta (5Y)N/A
52-Week Price Change70.04654%
50-Day Moving Average1,025.46
200-Day Moving Average855.14
Average Volume (20 Days)N/A

Income Statement

Over the trailing twelve months, GE Vernova Inc. generated 41.37B in revenue and converted that into 9.53B in net income, yielding earnings per share of 34.91. EBITDA reached 3.01B, while operating income came in at 1.80B.

Revenue41.37B
Gross Profit8.36B
Operating Income1.80B
Pretax Income7.88B
Net Income9.53B
EBITDA3.01B
EBIT1.80B
Earnings Per Share (EPS)34.91

Balance Sheet

GE Vernova Inc. holds 13.12B in cash and equivalents against 2.79B in total debt, resulting in a net debt position of -10.33B. Total book value stands at 11.96B, with working capital of -8.40B providing operational flexibility.

Cash & Cash Equivalents13.12B
Total Debt2.79B
Net Debt-10.33B
Equity (Book Value)11.96B
Book Value Per Share44.89
Working Capital-8.40B

Cash Flow

GE Vernova Inc. produced 14.14B in operating cash flow over the past twelve months. After subtracting -1.70B in capital expenditures, free cash flow totaled 12.44B - equivalent to 46.11 per share.

Operating Cash Flow14.14B
Capital Expenditures-1.70B
Free Cash Flow12.44B
FCF Per Share46.11

Margins

GE Vernova Inc. operates with a gross margin of 20.21, reflecting its pricing power and cost economics. The operating margin of 4.36 and net profit margin of 23.04 provide insight into operational efficiency.

Gross Margin20.21
Operating Margin4.36
Pretax Margin19.05
Profit Margin23.04
EBITDA Margin7.26

Dividends & Yields

The company's payout ratio of 4.30 indicates the proportion of earnings distributed to shareholders.

Dividend Per Share1.52
Dividend YieldN/A
Payout Ratio4.30
Shareholder Yield1.36
FCF Yield4.94

Scores

GE Vernova Inc. posts an Altman Z-Score of 3.57, well above the 3.0 threshold that indicates strong financial health and minimal bankruptcy risk.

Altman Z-Score3.57