GE Vernova Inc. Financial Summary

Complete Filing Data

GE Vernova Inc. reported Stockholders Equity Including Portion Attributable To Noncontrolling Interest of $12.30 billion for FY2025.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean GE Vernova Inc. did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Net Income *$4.88B$1.55B-$438.0M-$2.74B
Selling General And Administrative Expense$4.95B$4.63B$4.85B$5.36B
Revenue From Contract With Customer Excluding Assessed Tax$38.07B$34.94B$33.24B$29.65B
Research And Development Expense$1.20B$982.0M$896.0M$979.0M
Other Nonoperating Income Expense$795.0M$1.37B$324.0M$370.0M
Other Comprehensive Income Loss Pension And Other Postretirement Benefit Plans Adjustment Net Of Tax$187.0M$730.0M-$640.0M-$78.0M
Other Comprehensive Income Loss Net Of Tax$354.0M-$1.12B$823.0M-$198.0M
Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax$473.0M-$397.0M$114.0M-$254.0M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax$67.0M$6.0M$69.0M-$22.0M
Operating Income Loss$1.39B$471.0M-$923.0M-$2.88B
Net Income Loss Attributable To Noncontrolling Interest-$4.0M$7.0M-$36.0M$14.0M
Income Tax Expense Benefit-$2.05B$939.0M$344.0M$248.0M
Income Loss From Continuing Operations Before Income Taxes Extraordinary Items Noncontrolling Interest$2.83B$2.50B-$130.0M-$2.47B
Gross Profit$7.54B$6.09B$4.82B$3.46B
Cost Of Goods And Services Sold$30.53B$28.85B$28.42B$26.20B
Comprehensive Income Net Of Tax Including Portion Attributable To Noncontrolling Interest$5.23B$439.0M$349.0M-$2.92B
Comprehensive Income Net Of Tax Attributable To Noncontrolling Interest-$2.0M$11.0M-$34.0M$16.0M
Comprehensive Income Net Of Tax$5.24B$428.0M$383.0M-$2.94B
Benefit Cost Income Nonoperating-$459.0M-$536.0M-$567.0M-$188.0M
Amortization Of Intangible Assets$238.0M$277.0M$240.0M$1.02B
Income Taxes Paid Net$830.0M$623.0M$2.0M$91.0M
Deferred Income Tax Liabilities Net$1.16B$827.0M$382.0M
Deferred Income Tax Assets Net$5.32B$1.64B$1.58B

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Net Income *$452.0M$514.0M$254.0M-$96.0M$1.29B-$130.0M-$170.0M-$150.0M-$315.0M
Selling General And Administrative Expense$1.22B$1.19B$1.19B$1.23B$938.0M$1.20B$1.14B$1.27B$1.19B
Revenue From Contract With Customer Excluding Assessed Tax$9.97B$9.11B$8.03B$8.91B$8.20B$7.26B$8.25B$8.12B$6.82B
Research And Development Expense$310.0M$282.0M$239.0M$243.0M$237.0M$237.0M$223.0M$216.0M$202.0M
Other Nonoperating Income Expense$221.0M$115.0M$119.0M$71.0M$881.0M$73.0M$179.0M$193.0M-$64.0M
Other Comprehensive Income Loss Pension And Other Postretirement Benefit Plans Adjustment Net Of Tax$50.0M$86.0M$73.0M$79.0M$271.0M$68.0M$94.0M$84.0M-$1.66B
Other Comprehensive Income Loss Net Of Tax$7.0M$215.0M$102.0M$0.00-$346.0M-$49.0M-$103.0M-$23.0M$1.74B
Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax$31.0M$287.0M$154.0M$99.0M-$117.0M$11.0M-$48.0M$59.0M$63.0M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax$27.0M$14.0M$21.0M-$20.0M$43.0M$8.0M$39.0M$2.0M$17.0M
Operating Income Loss$366.0M$378.0M$43.0M-$359.0M$527.0M-$289.0M-$307.0M-$341.0M-$469.0M
Net Income Loss Attributable To Noncontrolling Interest$1.0M-$22.0M$11.0M-$3.0M-$14.0M$24.0M-$15.0M$2.0M-$32.0M
Income Tax Expense Benefit$293.0M$153.0M$68.0M-$23.0M$322.0M$10.0M$169.0M$122.0M-$69.0M
Income Loss From Continuing Operations Before Income Taxes Extraordinary Items Noncontrolling Interest$746.0M$645.0M$332.0M-$122.0M$1.60B-$96.0M-$16.0M-$27.0M-$415.0M
Gross Profit$1.90B$1.85B$1.47B$1.11B$1.70B$1.15B$1.05B$1.15B$919.0M
Cost Of Goods And Services Sold$8.07B$7.27B$6.56B$7.80B$6.50B$6.11B$7.20B$6.97B$5.90B
Comprehensive Income Net Of Tax Including Portion Attributable To Noncontrolling Interest$460.0M$707.0M$367.0M-$98.0M$934.0M-$155.0M-$287.0M-$171.0M$1.39B
Comprehensive Income Net Of Tax Attributable To Noncontrolling Interest$1.0M-$22.0M$14.0M-$3.0M$4.0M$26.0M-$14.0M$0.00-$34.0M
Comprehensive Income Net Of Tax$459.0M$729.0M$353.0M-$96.0M$930.0M-$181.0M-$274.0M-$172.0M$1.43B
Benefit Cost Income Nonoperating-$115.0M-$110.0M-$115.0M-$130.0M-$134.0M-$134.0M-$134.0M-$143.0M-$139.0M
Amortization Of Intangible Assets$61.0M$60.0M$56.0M$63.0M$63.0M$63.0M$58.0M$68.0M$55.0M
Income Taxes Paid Net$145.0M$58.0M$45.0M
Deferred Income Tax Liabilities Net$820.0M$818.0M$782.0M$823.0M$674.0M$423.0M
Deferred Income Tax Assets Net$1.68B$1.73B$1.64B$1.50B$1.38B$1.43B

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021
Stockholders Equity *$11.18B$9.55B$7.42B$11.61B$13.73B
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents$8.85B$8.21B$1.55B$2.07B$1.80B
Minority Interest Period Increase Decrease$73.0M$886.0M$41.0M-$48.0M
Other Operating Activities Cash Flow Statement-$1.19B$229.0M$151.0M$302.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect Disposal Group Including Discontinued Operations$2.0M-$603.0M$582.0M$21.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect Continuing Operations$643.0M$6.65B-$516.0M$267.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect$644.0M$6.05B$66.0M$288.0M
Goodwill$4.44B$4.26B$4.44B$4.16B
Property Plant And Equipment And Operating Lease Right Of Use Asset After Accumulated Depreciation And Amortization$6.01B$5.15B$5.23B
Other Liabilities Noncurrent$5.42B$5.12B$4.78B
Other Liabilities Current$6.31B$5.50B$4.35B
Other Assets Noncurrent$4.10B$2.76B$2.23B
Other Assets Current$1.45B$564.0M$352.0M
Minority Interest$1.12B$1.05B$964.0M
Liabilities Current$40.97B$31.69B$29.31B
Liabilities And Stockholders Equity$63.02B$51.49B$46.12B
Liabilities$50.72B$40.89B$37.74B
Inventory Net$10.43B$8.59B$8.25B
Intangible Assets Net Excluding Goodwill$727.0M$813.0M$1.04B
Equity Method Investments$1.83B$2.15B$3.56B
Deferred Compensation Liability Classified Noncurrent$3.17B$3.26B$3.27B
Contract With Customer Liability Current$25.77B$17.59B$15.07B
Contract And Other Deferred Assets Noncurrent$378.0M$555.0M$621.0M
Assets Current$40.22B$34.15B$27.43B
Assets$63.02B$51.49B$46.12B
Accumulated Other Comprehensive Income Loss Net Of Tax-$1.41B-$1.76B-$635.0M
Stockholders Equity Transfers From Parent-$794.0M$3.62B-$846.0M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Stockholders Equity *$8.65B$8.88B$8.61B$9.50B$9.07B$8.97B$10.45B$10.80B$10.41B
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents$7.95B$7.89B$8.11B$7.40B$5.78B$1.49B$1.62B$2.07B
Minority Interest Period Increase Decrease$12.0M$27.0M$4.0M$548.0M-$10.0M$18.0M$10.0M-$1.0M$5.0M
Other Operating Activities Cash Flow Statement-$74.0M$68.0M-$104.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect Disposal Group Including Discontinued Operations$0.00-$531.0M-$21.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect Continuing Operations-$98.0M$1.70B$6.0M
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect-$98.0M$1.17B-$14.0M
Goodwill$4.33B$4.53B$4.37B$4.44B$4.35B$4.40B
Property Plant And Equipment And Operating Lease Right Of Use Asset After Accumulated Depreciation And Amortization$5.56B$5.42B$5.23B$5.15B$5.17B$5.22B
Other Liabilities Noncurrent$5.38B$5.31B$5.18B$5.05B$5.04B$4.69B
Other Liabilities Current$5.50B$5.12B$5.55B$5.32B$4.64B$4.40B
Other Assets Noncurrent$3.41B$3.28B$2.98B$2.76B$2.48B$2.30B
Other Assets Current$934.0M$555.0M$497.0M$550.0M$463.0M$462.0M
Minority Interest$1.08B$1.07B$1.07B$1.01B$982.0M$1.01B
Liabilities Current$35.27B$33.76B$32.68B$31.23B$29.07B$29.52B
Liabilities And Stockholders Equity$54.40B$53.08B$51.56B$50.85B$48.05B$47.87B
Liabilities$44.67B$43.13B$41.89B$40.34B$38.00B$37.89B
Inventory Net$10.03B$9.83B$9.16B$9.38B$9.35B$8.86B
Intangible Assets Net Excluding Goodwill$747.0M$739.0M$773.0M$869.0M$925.0M$991.0M
Equity Method Investments$1.92B$2.17B$2.14B$2.38B$2.41B$3.65B
Deferred Compensation Liability Classified Noncurrent$3.20B$3.24B$3.25B$3.23B$3.22B$3.27B
Contract With Customer Liability Current$20.15B$19.60B$18.71B$16.91B$16.54B$15.92B
Contract And Other Deferred Assets Noncurrent$486.0M$496.0M$505.0M$618.0M$614.0M$633.0M
Assets Current$36.28B$34.71B$33.94B$33.14B$30.72B$29.24B
Assets$54.40B$53.08B$51.56B$50.85B$48.05B$47.87B
Accumulated Other Comprehensive Income Loss Net Of Tax-$1.44B-$1.45B-$1.66B-$1.03B-$1.03B-$686.0M
Stockholders Equity Transfers From Parent$944.0M-$1.74B$71.0M-$562.0M$2.59B

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Proceeds From Payments To Parent$0.00$2.93B-$361.0M$947.0M
Proceeds From Sale Of Property Plant And Equipment$39.0M$25.0M$60.0M$53.0M
Proceeds From Sale Of Equity Method Investments$464.0M$244.0M$232.0M$340.0M
Proceeds From Repayments Of Short Term Debt Maturing In Three Months Or Less$0.00-$23.0M$16.0M$15.0M
Proceeds From Payments For Other Financing Activities-$221.0M$785.0M-$63.0M-$151.0M
Payments To Acquire Productive Assets$1.28B$883.0M$744.0M$513.0M
Payments To Acquire Equity Method Investments$87.0M$114.0M$83.0M$393.0M
Payments For Proceeds From Other Investing Activities-$47.0M$122.0M$199.0M-$191.0M
Net Cash Provided By Used In Operating Activities$4.99B$2.58B$1.19B-$114.0M
Net Cash Provided By Used In Investing Activities-$755.0M-$37.0M-$734.0M-$322.0M
Net Cash Provided By Used In Financing Activities-$3.81B$3.65B-$408.0M$811.0M
Increase Decrease In Other Receivables$1.93B$1.30B$839.0M$870.0M
Increase Decrease In Inventories$1.43B$641.0M$240.0M$949.0M
Increase Decrease In Contract With Customer Liability$8.02B$2.80B$2.81B$1.28B
Increase Decrease In Contract With Customer Asset$456.0M$409.0M-$113.0M-$353.0M
Increase Decrease In Accounts Payable And Accrued Liabilities-$105.0M$667.0M-$716.0M$643.0M
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Including Disposal Group And Discontinued Operations$224.0M-$147.0M$22.0M-$87.0M
Stock Issued During Period Value Share Based Compensation-$177.0M$12.0M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q1 2023
Proceeds From Payments To Parent$0.00$2.02B$708.0M
Proceeds From Sale Of Property Plant And Equipment$34.0M$4.0M$2.0M
Proceeds From Sale Of Equity Method Investments$90.0M$29.0M$13.0M
Proceeds From Repayments Of Short Term Debt Maturing In Three Months Or Less$0.00-$23.0M$18.0M
Proceeds From Payments For Other Financing Activities-$86.0M-$66.0M-$22.0M
Payments To Acquire Productive Assets$186.0M$217.0M$124.0M
Payments To Acquire Equity Method Investments$6.0M$91.0M$18.0M
Payments For Proceeds From Other Investing Activities$25.0M$9.0M-$86.0M
Net Cash Provided By Used In Operating Activities$1.16B-$444.0M-$690.0M
Net Cash Provided By Used In Investing Activities-$93.0M-$285.0M-$41.0M
Net Cash Provided By Used In Financing Activities-$1.26B$1.93B$704.0M
Increase Decrease In Other Receivables-$918.0M-$303.0M-$591.0M
Increase Decrease In Inventories$432.0M$717.0M$739.0M
Increase Decrease In Contract With Customer Liability$1.12B$885.0M$317.0M
Increase Decrease In Contract With Customer Asset$345.0M$270.0M$36.0M
Increase Decrease In Accounts Payable And Accrued Liabilities-$269.0M-$671.0M-$306.0M
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Including Disposal Group And Discontinued Operations$90.0M-$32.0M$13.0M
Stock Issued During Period Value Share Based Compensation-$13.0M-$11.0M-$135.0M-$31.0M$35.0M

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Weighted Average Number Of Shares Outstanding Basic272.0M275.0M274.0M274.0M
Weighted Average Number Of Diluted Shares Outstanding276.0M278.0M274.0M274.0M
Earnings Per Share Diluted$17.69$5.58$-1.60$-10.00
Earnings Per Share Basic$17.92$5.65$-1.60$-10.00
Common Stock Shares Outstanding269.5M275.9M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023
Weighted Average Number Of Shares Outstanding Basic272.0M272.0M275.0M275.0M274.0M274.0M274.0M274.0M
Weighted Average Number Of Diluted Shares Outstanding275.0M276.0M279.0M275.0M278.0M274.0M274.0M274.0M
Earnings Per Share Diluted$1.64$1.86$0.91$-0.35$4.65$-0.47$-0.62$-0.55
Earnings Per Share Basic$1.66$1.89$0.92$-0.35$4.72$-0.47$-0.62$-0.55
Common Stock Shares Outstanding271.3M272.2M272.9M275.6M274.7M

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Interest And Other Financial Charges-$186.0M-$120.0M$98.0M$151.0M
Depreciation$615.0M$895.0M$724.0M$779.0M
Pension Expense Reversal Of Expense Noncash-$361.0M-$376.0M-$405.0M$0.00
Other Postretirement Benefits Expense Reversal Of Expense Noncash-$227.0M-$290.0M-$313.0M-$206.0M
Contract With Customer Asset Net Current$9.29B$8.62B$8.34B

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Interest And Other Financial Charges-$44.0M-$42.0M-$56.0M-$36.0M-$60.0M$14.0M$21.0M$21.0M$21.0M
Depreciation$152.0M$145.0M$149.0M$336.0M$191.0M$188.0M$184.0M$170.0M$176.0M
Pension Expense Reversal Of Expense Noncash-$89.0M-$95.0M-$99.0M
Other Postretirement Benefits Expense Reversal Of Expense Noncash-$44.0M-$47.0M-$83.0M
Contract With Customer Asset Net Current$9.49B$9.49B$9.04B$8.59B$8.70B$8.58B

Most recent annual filing with the SEC: January 29, 2026

Data sourced from SEC EDGAR public filings as of August 4, 2026.