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GE Aerospace

GEIndustrials

Generated Jul 5, 2026, 08:53 PM UTC

analytical score 10

GE (GE Aerospace) analytical snapshot. Revenue grew +21.3% YoY to $35.35B. 5-year revenue CAGR -17.1%; 10y CAGR -12.1%. Net margin at 26.82% (expanding ▲). Market cap $393.88B at $377.52 per share. Trailing P/E 45.16, P/S 11.14, P/B 21.81. EV/Operating income ≈ 16.98 (EV $371.05B). Risk: Elevated. Macro: Risk-on · Supportive. Composite analytical score 10 (data confidence 81%). Descriptive analytics from public filings — not investment advice.

Market cap
$393.88B
1.04B shares
Price
$377.52
NYQ
P/E (ttm)
45.16
Revenue (FY)
$35.35B
YoY +21.3%
Net margin
26.82%
▲ 19.30pp
Free cash flow
Risk level
Elevated

Free SEC analysis

— computed from SEC filings, free to read
Free previewFundamentals Analyst

Fundamentals

Fundamentals Analyst
score 75Improving
80% conf

Revenue grew +21.3% YoY to $35.35B. 5-year revenue CAGR -17.1%; 10y CAGR -12.1%. Net margin at 26.82% (expanding ▲).

  • Revenue grew +21.3% YoY to $35.35B.
  • 5-year revenue CAGR -17.1%; 10y CAGR -12.1%.
  • Net margin at 26.82% (expanding ▲).
  • Return on equity 49.02%, ROA 7.70%, ROIC 0.00%.
  • Gross margin 0.00%, operating margin 0.00%.
  • Net income up ▲ +2722.0% YoY.
  • Debt/equity 1.13, current ratio 1.01, net debt -$22.83B.
  • Asset turnover 0.28 — capital efficiency.
Revenue (FY)
$35.35B
YoY +21.3%
Net margin
26.82%
▲ 19.30pp
ROE
49.02%
ROA 7.70%
ROIC
0.00%
EPS (diluted)
$8.36
FY2025
Free cash flow
Debt / equity
1.13
Cash $43.30B
Current ratio
1.01
Equity $18.06B
Annual fundamentals — up to 10 years (SEC 10-K, US-GAAP)
FYRevenueRev YoYGross%Op%Net%FCFROE%
2016$112.59B4.900.0013.53$20.57B11.67
2017$117.39B+4.3%0.000.00-5.22$12.58B-6.23
2018$119.47B+1.8%0.000.006.28-$6.04B10.69
2019$99.28B-16.9%0.000.00-8.55-$88.0M-15.14
2020$97.01B-2.3%0.000.00-23.04-$1.65B-72.16
2021$90.22B-7.0%0.000.00-5.52$6.52B-17.58
2022$75.83B-15.9%0.000.007.52$1.99B14.15
2023$56.47B-25.5%0.000.00-11.22-18.81
2024$29.14B-48.4%0.000.001.151.23
2025$35.35B+21.3%0.000.0026.8249.02
Quarterly revenue trend (last 6 quarters, SEC 10-Q)
Quarter endRevenueYoYQoQNet margin
Mar 31, 2025$9.94B-38.1%19.91%
Jun 30, 2025$20.96B+16.1%+110.9%19.12%
Jun 30, 2025$11.02B-38.9%-47.4%36.34%
Sep 30, 2025$33.14B+18.8%+200.6%18.60%
Sep 30, 2025$12.18B-56.3%-63.2%50.60%
Mar 31, 2026$12.39B+24.7%+1.7%15.36%
Revenue (annual, SEC 10-K)
2016: 112,588
2017: 117,386
2018: 119,469
2019: 99,279
2020: 97,012
2021: 90,221
2022: 75,833
2023: 56,469
2024: 29,139
2025: 35,348
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
Profitability trends (%)
-23.0-10.61.914.326.8201620182020202220242025
GrossOperatingNet
Free cash flow (annual)
2016: 20,575
2017: 12,582
2018: -6,039
2019: -88
2020: -1,649
2021: 6,518
2022: 1,989
2023: 0
2024: 0
2025: 0
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
Free previewRegulatory Analyst

Filings & Ownership

Regulatory Analyst
score 30Improving
80% conf

Latest annual report (10-K) filed Jan 29, 2026. Latest quarterly report (10-Q) filed Apr 21, 2026. 13 recent 8-K material-event filings in the index.

  • Latest annual report (10-K) filed Jan 29, 2026.
  • Latest quarterly report (10-Q) filed Apr 21, 2026.
  • 13 recent 8-K material-event filings in the index.
  • Recent insider Form 4s: 0 buy vs 0 sell transactions.
  • ~10,000+ recent 13F-HR filings reference GE Aerospace; broad institutional reporting.
  • Recent filers include Trivant Custom Portfolio Group, LLC, Worth Asset Management, LLC, RH Tailwind Management, LLC.
  • 7 recent 13D activist/beneficial-ownership filings — potential catalyst.
  • 3 recent 13G passive institutional ownership notices.
Latest 10-K
Jan 29, 2026
Annual report
Latest 10-Q
Apr 21, 2026
8-K (recent)
13
Insider net
0B/0S
13F filers
10k+
Activist 13D
7
Recent 13F institutional filers (SEC EDGAR full-text)
FilerFormFiled
Trivant Custom Portfolio Group, LLC13F-HRApr 21, 2025
Worth Asset Management, LLC13F-HRJul 11, 2024
RH Tailwind Management, LLC13F-HRFeb 13, 2026
Worth Asset Management, LLC13F-HRJul 10, 2025
Prism Planning Partners LLC13F-HRFeb 11, 2026
Recent 8-K material events
DateFormDescription
Jun 25, 20268-K8-K
Jun 11, 20268-K8-K
May 7, 20268-K8-K
Apr 21, 20268-K8-K
Jan 22, 20268-K8-K
Jan 15, 20268-K8-K
Oct 21, 20258-K8-K
Oct 1, 20258-K8-K
Free previewSEC Filing Analyst

SEC Filing Deep-Analysis

SEC Filing Analyst
score -68Deteriorating
72% conf

5 risk signal(s) detected from XBRL filing diff analysis. "Material weakness in internal controls" combined with earnings-cash flow divergence is especially concerning — it suggests the reported earnings may not be reliable due to control deficiencies, and the cash flow shortfall may be masking underlying issues.

  • Earnings-cash flow divergence: Net income grew +2722.0% while operating cash flow declined -12.3%. This divergence may indicate accrual-based earnings inflation — non-cash gains, aggressive revenue recognition, or working capital absorption. The accrual ratio (NI − OCF) is deteriorating.
  • Gross margin compression: Gross margin contracted +2.5%pp (from 18.1% to 15.6%). This may reflect input cost inflation, pricing pressure, or product mix shift toward lower-margin segments.
  • NEW: Going concern doubt in latest filing: The term "going concern" appears in recent 10-K/10-Q filings but was NOT present in the prior 24-month period. This is a new risk disclosure that warrants attention. Found in 5 filing(s).
  • Material weakness in internal controls: The term "material weakness" appears in 35 recent filing(s) (vs 2 in the prior period). This risk language is ongoing.
  • Restatement of financial statements: The term "restate" "financial statements" appears in 7 recent filing(s) (vs 1 in the prior period). This risk language is ongoing.
  • Endogenous analysis: "Material weakness in internal controls" combined with earnings-cash flow divergence is especially concerning — it suggests the reported earnings may not be reliable due to control deficiencies, and the cash flow shortfall may be masking underlying issues.
  • 20 disclosure(s) dropped from prior year — reduced reporting granularity.
  • 1 new risk-language term(s) detected in filing text: Going concern doubt.
  • Ongoing high-severity risk language: Material weakness in internal controls, Restatement of financial statements.
Revenue
$35.35B
+21.3% YoY
Gross profit
$5.51B
+4.6% YoY
Operating income
$21.85B
-14.7% YoY
Net income
$9.48B
+2722.0% YoY
Operating cash flow
$5.19B
-12.3% YoY
Capex
$1.58B
-28.7% YoY
Total assets
$123.14B
-28.9% YoY
Total liabilities
$103.58B
-28.4% YoY
Filing quality score
70/100
stable
SEC XBRL metric changes (latest annual vs prior)
MetricPrior yearLatest yearChange% Change
Revenue$29.14B$35.35B$6.21B+21.3%
Gross profit$5.27B$5.51B$241.0M+4.6%
Operating income$25.61B$21.85B$-3.76B-14.7%
Net income$336.0M$9.48B$9.15B+2722.0%
Operating cash flow$5.92B$5.19B$-728.0M-12.3%
Capex$2.22B$1.58B$-637.0M-28.7%
Total assets$173.30B$123.14B$-50.16B-28.9%
Total liabilities$144.69B$103.58B$-41.12B-28.4%
Long-term debt$19.27B$20.47B$1.20B+6.2%
Cash & equivalents$70.48B$70.48B$4.0M+0.0%
Stockholders equity$27.40B$19.34B$-8.06B-29.4%
Inventory$8.28B$9.76B$1.48B+17.9%
Accounts receivable$14.64B$16.57B$1.92B+13.1%
R&D expense$808.0M$1.01B$203.0M+25.1%
SG&A expense$3.67B$4.04B$373.0M+10.2%
Interest expense$17.70B$15.54B$-2.16B-12.2%
XBRL disclosure changes (new vs dropped concepts)
TypeConcepts
RemovedAccrualForEnvironmentalLossContingenciesUndiscountedDueInSecondYear, AccrualForEnvironmentalLossContingenciesUndiscountedDueWithinOneYear, AllocatedShareBasedCompensationExpense, AssetsHeldByInsuranceRegulators, CommonStockParOrStatedValuePerShare, CommonStockSharesAuthorized, CommonStockSharesIssued, CurrentFederalTaxExpenseBenefit, CurrentForeignTaxExpenseBenefit, CurrentStateAndLocalTaxExpenseBenefit
Risk language in filing text (EDGAR full-text search)
TermSeverityRecentPriorStatus
Going concern doubthigh50NEW
Material weakness in internal controlshigh352Ongoing
Restatement of financial statementshigh71Ongoing
Impairment chargemedium507Ongoing
Restructuringmedium14711Ongoing
Off-balance sheet arrangementsmedium593Ongoing
Related party transactionslow240NEW
Filing signal breakdown
Red flags: 5
Positive: 0
Watch: 0
Red flags
Positive
Watch

Unlock the rest

  • Valuation
    Market cap $393.88B at $377.52 per share.
    Pro
  • Price & Technicals
    Price $377.52 — uptrend (above 200-DMA); 1-month momentum positive.
    Pro
  • Macro & Rates
    Market regime: Risk-on · Supportive.
    Pro
  • Risk Scorecard
    Composite risk: Elevated.
    Pro

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3 sections free · 4 Pro sections locked · composite 10

Macro exposure

Cyclical / growth · High sensitivity
Supportive

Macro regime: Risk-on · Supportive. GE Aerospace is a cyclical / growth name (high macro sensitivity) — risk appetite favors cyclical/growth names.

Macro regime
Risk-on · Supportive
Yield curve
Normal
VIX
16.59
Fed funds
3.63%
CPI YoY
+4.2%

Analytical read

deterministic preview

Revenue grew **+21.3%** YoY to $35.35B..

Risk
Elevated
Macro regime
Risk-on · Supportive
Macro exposure
Supportive
Descriptive analytics from public filings and macro data — not investment advice.

Peer comparison

Cyclical / growth group

How GE stacks up against tracked peers with similar macro sensitivity — by analytical score and macro exposure.

CompanyScoreMacro
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GE Aerospace GE● you10Supportive
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