US Stock MarketDetailed Quotes

GE Vernova (GEV)

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  • 1049.230
  • -41.300-3.79%
Close May 15 16:00 ET
  • 1047.000
  • -2.230-0.21%
Post 20:01 ET
281.95BMarket Cap30.66P/E (TTM)

GE Vernova (GEV) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
347.41%5.19B
93.18%4.99B
169.57%2.48B
-12.72%981M
-62.63%367M
361.26%1.16B
117.71%2.58B
-52.38%920M
384.48%1.12B
440.97%982M
Net income from continuing operations
1,699.24%4.75B
212.96%4.88B
658.26%3.67B
557.58%453M
-61.56%492M
349.06%264M
428.90%1.56B
134.95%484M
46.49%-99M
959.06%1.28B
Operating gains losses
-27.82%-170M
11.71%-588M
22.34%-153M
9.88%-146M
5.45%-156M
6.34%-133M
7.24%-666M
-10.06%-197M
6.90%-162M
9.84%-165M
Depreciation and amortization
66.83%342M
-27.22%853M
-14.50%230M
-46.48%213M
-19.29%205M
-18.33%205M
21.58%1.17B
6.75%269M
64.46%398M
6.28%254M
Deferred tax
-133.77%-180M
-1,011.71%-2.88B
-1,052.79%-2.91B
212.08%167M
-131.25%-65M
-60.42%-77M
-7.60%316M
231.52%305M
-171.29%-149M
34.19%208M
Other non cash items
-5,074.47%-4.86B
-49.73%-1.37B
-293.59%-614M
-96.94%16M
49.74%-681M
-232.39%-94M
-1,481.03%-917M
-139.90%-156M
1,012.77%523M
-245.66%-1.36B
Change In working capital
433.13%5.31B
266.13%4.1B
942.59%2.25B
-55.03%277M
-24.44%572M
311.91%996M
-0.97%1.12B
-81.52%216M
555.32%616M
1,702.38%757M
-Change in receivables
-66.32%193M
-39.74%-2.38B
-53.14%-2.29B
0.42%-477M
-180.08%-189M
1,636.36%573M
-134.99%-1.71B
-80.24%-1.5B
-178.49%-479M
188.39%236M
-Change in inventory
-115.28%-930M
-123.56%-1.43B
-175.69%-386M
-219.71%-164M
21.02%-451M
39.75%-432M
-167.08%-641M
-37.11%510M
20.18%137M
-34.04%-571M
-Change in payables and accrued expense
275.84%473M
-115.74%-105M
-1,165.08%-671M
-59.84%359M
24.93%476M
59.91%-269M
193.16%667M
110.23%63M
1,414.71%894M
44.32%381M
-Change in other working capital
395.91%5.57B
186.50%8.02B
391.66%5.6B
773.44%559M
3.52%736M
27.01%1.12B
-0.46%2.8B
-36.86%1.14B
-70.91%64M
50.96%711M
Cash from discontinued investing activities
Operating cash flow
346.86%5.19B
93.07%4.99B
169.16%2.48B
-13.04%980M
-62.51%367M
361.49%1.16B
117.79%2.58B
-52.30%921M
383.69%1.13B
439.93%979M
Investing cash flow
Cash flow from continuing investing activities
-4,513.98%-4.29B
-1,937.84%-754M
-113.71%-374M
-45.61%-166M
-122.57%-121M
67.25%-93M
94.96%-37M
32.17%-175M
-235.29%-114M
233.67%536M
Net PPE purchase and sale
-44.74%-220M
-44.29%-1.24B
-95.01%-665M
-58.97%-248M
-16.89%-173M
28.64%-152M
-25.44%-858M
-24.45%-341M
8.77%-156M
-26.50%-148M
Net business purchase and sale
-9,768.18%-4.25B
-53.66%437M
-51.31%186M
19,000.00%189M
-97.12%18M
170.97%44M
532.89%943M
6,266.67%382M
-100.67%-1M
31,300.00%624M
Net other investing changes
1,120.00%183M
137.70%46M
148.61%105M
-351.16%-108M
-44.26%34M
250.00%15M
38.69%-122M
-2,063.64%-216M
386.67%43M
121.71%61M
Cash from discontinued investing activities
Investing cash flow
-4,513.98%-4.29B
-1,940.54%-755M
-113.71%-374M
-46.49%-167M
-122.53%-121M
67.37%-93M
94.96%-37M
31.91%-175M
-216.67%-114M
234.25%537M
Financing cash flow
Cash flow from continuing financing activities
135.11%441M
-204.38%-3.81B
-826.54%-1.18B
-232.14%-773M
-162.41%-606M
-164.94%-1.26B
995.10%3.65B
115.21%162M
305.26%585M
307.98%971M
Net issuance payments of debt
--2.57B
--0
--0
--0
--0
--0
-243.75%-23M
--0
--0
--0
Net common stock issuance
-16.08%-1.28B
-7,611.63%-3.32B
-35,733.33%-1.08B
-1,550.00%-660M
---480M
---1.1B
---43M
---3M
---40M
--0
Cash dividends paid
-98.55%-137M
---275M
---68M
---68M
---70M
---69M
--0
--0
--0
--0
Net other financing activities
-716.09%-710M
-105.97%-222M
-121.08%-35M
-107.36%-46M
-105.57%-54M
-104.45%-87M
976.89%3.72B
115.81%166M
317.77%625M
327.31%970M
Cash from discontinued financing activities
Financing cash flow
135.16%442M
-204.41%-3.81B
-822.70%-1.18B
-232.31%-774M
-162.27%-604M
-164.99%-1.26B
995.10%3.65B
115.32%163M
304.55%585M
307.56%970M
Net cash flow
Beginning cash position
7.84%8.85B
429.01%8.21B
7.44%7.95B
36.56%7.89B
149.06%8.11B
429.01%8.21B
-24.96%1.55B
397.64%7.4B
256.73%5.78B
57.02%3.26B
Current changes in cash
811.70%1.34B
-93.21%421M
2.20%929M
-97.50%40M
-114.48%-360M
-115.60%-188M
13,986.36%6.2B
49.02%909M
1,895.51%1.6B
653.67%2.49B
Effect of exchange rate changes
-117.78%-16M
252.38%224M
73.74%-26M
-16.67%15M
526.47%145M
381.25%90M
-768.18%-147M
-325.00%-99M
158.06%18M
-750.00%-34M
End cash Position
25.47%10.17B
7.84%8.85B
7.84%8.85B
7.44%7.95B
36.56%7.89B
149.06%8.11B
429.01%8.21B
429.01%8.21B
397.64%7.4B
256.73%5.78B
Free cash flow
391.38%4.79B
118.24%3.71B
216.64%1.81B
-24.28%733M
-76.40%194M
247.50%975M
284.62%1.7B
-65.41%571M
1,761.54%968M
283.89%822M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 347.41%5.19B93.18%4.99B169.57%2.48B-12.72%981M-62.63%367M361.26%1.16B117.71%2.58B-52.38%920M384.48%1.12B440.97%982M
Net income from continuing operations 1,699.24%4.75B212.96%4.88B658.26%3.67B557.58%453M-61.56%492M349.06%264M428.90%1.56B134.95%484M46.49%-99M959.06%1.28B
Operating gains losses -27.82%-170M11.71%-588M22.34%-153M9.88%-146M5.45%-156M6.34%-133M7.24%-666M-10.06%-197M6.90%-162M9.84%-165M
Depreciation and amortization 66.83%342M-27.22%853M-14.50%230M-46.48%213M-19.29%205M-18.33%205M21.58%1.17B6.75%269M64.46%398M6.28%254M
Deferred tax -133.77%-180M-1,011.71%-2.88B-1,052.79%-2.91B212.08%167M-131.25%-65M-60.42%-77M-7.60%316M231.52%305M-171.29%-149M34.19%208M
Other non cash items -5,074.47%-4.86B-49.73%-1.37B-293.59%-614M-96.94%16M49.74%-681M-232.39%-94M-1,481.03%-917M-139.90%-156M1,012.77%523M-245.66%-1.36B
Change In working capital 433.13%5.31B266.13%4.1B942.59%2.25B-55.03%277M-24.44%572M311.91%996M-0.97%1.12B-81.52%216M555.32%616M1,702.38%757M
-Change in receivables -66.32%193M-39.74%-2.38B-53.14%-2.29B0.42%-477M-180.08%-189M1,636.36%573M-134.99%-1.71B-80.24%-1.5B-178.49%-479M188.39%236M
-Change in inventory -115.28%-930M-123.56%-1.43B-175.69%-386M-219.71%-164M21.02%-451M39.75%-432M-167.08%-641M-37.11%510M20.18%137M-34.04%-571M
-Change in payables and accrued expense 275.84%473M-115.74%-105M-1,165.08%-671M-59.84%359M24.93%476M59.91%-269M193.16%667M110.23%63M1,414.71%894M44.32%381M
-Change in other working capital 395.91%5.57B186.50%8.02B391.66%5.6B773.44%559M3.52%736M27.01%1.12B-0.46%2.8B-36.86%1.14B-70.91%64M50.96%711M
Cash from discontinued investing activities
Operating cash flow 346.86%5.19B93.07%4.99B169.16%2.48B-13.04%980M-62.51%367M361.49%1.16B117.79%2.58B-52.30%921M383.69%1.13B439.93%979M
Investing cash flow
Cash flow from continuing investing activities -4,513.98%-4.29B-1,937.84%-754M-113.71%-374M-45.61%-166M-122.57%-121M67.25%-93M94.96%-37M32.17%-175M-235.29%-114M233.67%536M
Net PPE purchase and sale -44.74%-220M-44.29%-1.24B-95.01%-665M-58.97%-248M-16.89%-173M28.64%-152M-25.44%-858M-24.45%-341M8.77%-156M-26.50%-148M
Net business purchase and sale -9,768.18%-4.25B-53.66%437M-51.31%186M19,000.00%189M-97.12%18M170.97%44M532.89%943M6,266.67%382M-100.67%-1M31,300.00%624M
Net other investing changes 1,120.00%183M137.70%46M148.61%105M-351.16%-108M-44.26%34M250.00%15M38.69%-122M-2,063.64%-216M386.67%43M121.71%61M
Cash from discontinued investing activities
Investing cash flow -4,513.98%-4.29B-1,940.54%-755M-113.71%-374M-46.49%-167M-122.53%-121M67.37%-93M94.96%-37M31.91%-175M-216.67%-114M234.25%537M
Financing cash flow
Cash flow from continuing financing activities 135.11%441M-204.38%-3.81B-826.54%-1.18B-232.14%-773M-162.41%-606M-164.94%-1.26B995.10%3.65B115.21%162M305.26%585M307.98%971M
Net issuance payments of debt --2.57B--0--0--0--0--0-243.75%-23M--0--0--0
Net common stock issuance -16.08%-1.28B-7,611.63%-3.32B-35,733.33%-1.08B-1,550.00%-660M---480M---1.1B---43M---3M---40M--0
Cash dividends paid -98.55%-137M---275M---68M---68M---70M---69M--0--0--0--0
Net other financing activities -716.09%-710M-105.97%-222M-121.08%-35M-107.36%-46M-105.57%-54M-104.45%-87M976.89%3.72B115.81%166M317.77%625M327.31%970M
Cash from discontinued financing activities
Financing cash flow 135.16%442M-204.41%-3.81B-822.70%-1.18B-232.31%-774M-162.27%-604M-164.99%-1.26B995.10%3.65B115.32%163M304.55%585M307.56%970M
Net cash flow
Beginning cash position 7.84%8.85B429.01%8.21B7.44%7.95B36.56%7.89B149.06%8.11B429.01%8.21B-24.96%1.55B397.64%7.4B256.73%5.78B57.02%3.26B
Current changes in cash 811.70%1.34B-93.21%421M2.20%929M-97.50%40M-114.48%-360M-115.60%-188M13,986.36%6.2B49.02%909M1,895.51%1.6B653.67%2.49B
Effect of exchange rate changes -117.78%-16M252.38%224M73.74%-26M-16.67%15M526.47%145M381.25%90M-768.18%-147M-325.00%-99M158.06%18M-750.00%-34M
End cash Position 25.47%10.17B7.84%8.85B7.84%8.85B7.44%7.95B36.56%7.89B149.06%8.11B429.01%8.21B429.01%8.21B397.64%7.4B256.73%5.78B
Free cash flow 391.38%4.79B118.24%3.71B216.64%1.81B-24.28%733M-76.40%194M247.50%975M284.62%1.7B-65.41%571M1,761.54%968M283.89%822M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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