Stock Analysis of GEV ( GE Vernova Inc. )
STOCK RANK
The Stock Rank is a quick snapshot of a stock’s potential, based on key financial ratios in four areas:
Quality, Value, Growth, and Momentum. You can explore detailed insights below for each category.
Stock Rank
QUALITY
ROA-0.95%
ROIC-16.91%
Debt/Equity0.0
Current Ratio1.03
Operating Margin-1.44%
VALUE
Price/Book7.8
Earnings Yield1.54%
EV/EBITDA38.96
Price/Sales2.38
Dividend Yield0.0%
GROWTH
Asset 1-Year Growth3.71%
EPS 1-Year Growth-116.01%
Revenue Average Growth (3-Year)-
Revenue 1-Year Growth12.09%
EBITDA Average Growth (3-Year)-
MOMENTUM
1-Week Return7.78%
1-Month Return20.73%
3-Month Return85.41%
6-Month Return89.71%
12-Month Return129.84%
Technical Scores and Rating
Moving Average Score
Oscillator Score
Technical Rating
For more details on short-term price trend, check out technical analysis of GEV
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Momentum. To integrate these factors into your own spreadsheets or software, access Signal DB here.
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