GE VERNOVA LLC

NYSE: GEV (GE Vernova Inc.)

Last update: 29 May, 1:37AM

485.01

13.50 (2.86%)

Previous Close 471.51
Open 468.54
Volume 3,302,468
Avg. Volume (3M) 3,910,540
Market Cap 132,376,207,360
Price / Earnings (TTM) 69.49
Price / Earnings (Forward) 76.34
Price / Sales 3.83
Price / Book 15.54
52 Weeks Range
150.01 (-69%) — 487.40 (0%)
Earnings Date 23 Jul 2025
TTM Dividend Yield 0.05%
Profit Margin 5.42%
Operating Margin (TTM) 2.83%
Diluted EPS (TTM) 6.96
Quarterly Revenue Growth (YOY) 10.60%
Quarterly Earnings Growth (YOY) 145.70%
Total Debt/Equity (MRQ) 10.47%
Current Ratio (MRQ) 1.04
Operating Cash Flow (TTM) 4.19 B
Levered Free Cash Flow (TTM) 4.21 B
Return on Assets (TTM) 1.75%
Return on Equity (TTM) 19.64%

Market Trend

Short Term Medium Term
Industry Utilities - Renewable (US) Mixed Bearish
Utilities - Renewable (Global) Mixed Bearish
Stock GE Vernova Inc. Bullish Bullish

AIStockmoo Score

1.9
Analyst Consensus 1.5
Insider Activity NA
Price Volatility -0.5
Technical Moving Averages 2.5
Technical Oscillators 4.0
Average 1.88

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
GEV 132 B 0.05% 69.49 15.54
EBR 17 B 26.14% 9.76 0.730
EBR-B 17 B 23.91% 11.11 0.820
BEP 17 B 4.30% - 1.78
CWEN 6 B 2.73% 38.46 1.92
CWEN-A 6 B 5.52% 35.69 1.85

GE Vernova is a global leader in the electric power industry, with products and services that generate, transfer, convert, and store electricity. The company has three business segments: power, wind, and electrification. Power includes gas, nuclear, hydroelectric, and steam technologies, providing dispatchable power. The wind segment includes wind generation technologies, inclusive of onshore and offshore wind turbines and blades. Electrification includes grid solutions, power conversion, electrification software, and solar and storage solutions technologies required for the transmission, distribution, conversion, and storage of electricity from the point of generation to point of consumption.

Sector Utilities
Industry Utilities - Renewable
Investment Style Large Core
% Held by Insiders 0.06%
% Held by Institutions 78.80%
52 Weeks Range
150.01 (-69%) — 487.40 (0%)
Price Target Range
354.00 (-27%) — 702.00 (44%)
High 702.00 (GLJ Research, 44.74%) Buy
Median 514.00 (5.98%)
Low 354.00 (Citigroup, -27.01%) Hold
Average 501.67 (3.44%)
Total 10 Buy, 2 Hold
Avg. Price @ Call 438.12
Firm Date Target Price Call Price @ Call
Morgan Stanley 24 Jun 2025 511.00 (5.36%) Buy 490.19
24 Apr 2025 422.00 (-12.99%) Buy 360.49
GLJ Research 23 Jun 2025 702.00 (44.74%) Buy 490.19
B of A Securities 11 Jun 2025 550.00 (13.40%) Buy 483.47
Goldman Sachs 10 Jun 2025 570.00 (17.52%) Buy 465.31
Barclays 09 Jun 2025 550.00 (13.40%) Buy 480.00
30 May 2025 500.00 (3.09%) Buy 472.98
BMO Capital 30 May 2025 522.00 (7.63%) Buy 472.98
Jefferies 29 May 2025 517.00 (6.60%) Hold 471.17
JP Morgan 16 May 2025 460.00 (-5.16%) Buy 428.06
10 Apr 2025 425.00 (-12.37%) Buy 309.95
Susquehanna 14 May 2025 499.00 (2.88%) Buy 432.84
24 Apr 2025 399.00 (-17.73%) Buy 360.49
Baird 24 Apr 2025 405.00 (-16.50%) Buy 360.49
15 Apr 2025 387.00 (-20.21%) Buy 328.56
Guggenheim 24 Apr 2025 380.00 (-21.65%) Buy 360.49
17 Apr 2025 380.00 (-21.65%) Buy 323.55
Citigroup 14 Apr 2025 354.00 (-27.01%) Hold 322.30
Show more

No data within this time range.

TTM Dividend Yield 0.05%
Payout Ratio 3.59%
Expected Next Dividend Payment Jan 2026
Ex Date Announcement Date Payment Date Details
20 Dec 2024 10 Dec 2024 28 Jan 2025 0.25 Cash

Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2025 0.250 1 0.05

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

Portfolio

AI Template

Your price alert

Risk Profile

| | | | |
Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

Entry Price (EP)

Take Profit 1 (TP1)

Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2025 -
Total Profit -
Avg. Return -
Quantity (Buy) -
Avg. Price (Buy) -
Quantity (Sold) -
Avg. Price (Sold) -
No stocks matching your criteria