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GE GE Aerospace

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  • 198.430
  • +1.020+0.52%
Close Apr 25 16:00 ET
  • 198.500
  • +0.070+0.04%
Post 20:01 ET
211.60BMarket Cap30.91P/E (TTM)

GE Aerospace Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-5.28%1.54B
26.21%5.82B
5.02%1.32B
6.87%1.91B
-32.08%957M
950.97%1.63B
14.45%4.61B
-65.60%1.26B
120.17%1.79B
187.55%1.41B
Net income from continuing operations
12.56%1.96B
-29.54%6.66B
61.22%1.9B
452.44%1.7B
-24.20%1.32B
-71.98%1.74B
598.82%9.45B
-70.10%1.18B
225.31%307M
254.75%1.74B
Operating gains losses
66.87%-326M
75.95%-1.67B
88.06%-94M
-351.61%-1.01B
371.61%421M
84.65%-984M
-1,506.68%-6.95B
21.06%-787M
295.10%403M
-111.38%-155M
Depreciation and amortization
3.10%299M
0.42%1.18B
-3.56%298M
7.19%313M
298.59%283M
-42.80%290M
-0.42%1.18B
127.13%309M
-39.42%292M
-86.24%71M
Deferred tax
15.98%283M
-3.22%962M
-21.16%395M
661.54%198M
-36.22%125M
-9.96%244M
488.17%994M
1,573.53%501M
100.00%26M
21.74%196M
Other non cash items
-1,146.67%-748M
-195.88%-535M
-465.81%-428M
-3.73%749M
-54.56%-796M
-133.71%-60M
125.91%558M
101.72%117M
12.43%778M
-22.91%-515M
Change In working capital
24.32%184M
-265.95%-697M
-264.39%-457M
-173.50%-147M
-162.92%-241M
133.56%148M
-62.80%420M
-86.63%278M
281.82%200M
158.78%383M
-Change in receivables
-166.51%-280M
-401.27%-1.19B
-247.58%-431M
-623.64%-864M
71.66%-314M
-49.28%421M
87.11%-237M
34.74%-124M
119.10%165M
-70.99%-1.11B
-Change in inventory
-43.65%-724M
-15.67%-1.53B
8.94%-112M
59.51%-215M
-214.64%-697M
60.47%-504M
-34.80%-1.32B
-109.87%-123M
-50.85%-531M
153.24%608M
-Change in payables and accrued expense
305.75%706M
-3.51%688M
1,263.64%128M
-75.28%133M
-34.63%253M
186.57%174M
-56.50%713M
81.03%-11M
-8.19%538M
-72.44%387M
-Change in other working capital
745.61%482M
5.22%1.33B
-107.84%-42M
2,753.57%799M
4.23%517M
-72.20%57M
-45.21%1.27B
-50.46%536M
-94.62%28M
-7.12%496M
Cash from discontinued investing activities
94.80%-33M
-290.86%-1.11B
-101.11%-21M
-1,291.18%-405M
95.03%-46M
-53.75%-635M
-69.30%580M
121.39%1.88B
-94.43%34M
-1,667.80%-925M
Operating cash flow
51.81%1.51B
-9.23%4.71B
-58.69%1.3B
-17.28%1.51B
87.84%911M
483.78%994M
-12.30%5.19B
-30.22%3.14B
28.11%1.82B
-11.82%485M
Investing cash flow
Cash flow from continuing investing activities
71.04%-320M
-107.23%-556M
-87.89%341M
-58.04%1.09B
-187.59%-882M
-186.73%-1.11B
-25.81%7.69B
-66.07%2.82B
288.92%2.6B
-30.12%1.01B
Net PPE purchase and sale
-19.28%-198M
-14.46%-918M
-4.51%-255M
-16.20%-251M
-382.35%-246M
42.96%-166M
-57.56%-802M
-280.74%-244M
-31.71%-216M
81.04%-51M
Net business purchase and sale
-103.83%-100M
-37.36%5.61B
-41.38%1.15B
-34.98%1.78B
-96.69%74M
28.89%2.61B
90.62%8.96B
204.49%1.97B
901.10%2.73B
-9.79%2.24B
Net investment purchase and sale
108.68%99M
2.33%-963M
-204.33%-265M
89.36%267M
0.57%176M
26.67%-1.14B
-12.56%-986M
-18.85%254M
-15.57%141M
1,558.33%175M
Net other investing changes
94.98%-121M
-927.99%-4.29B
-134.89%-292M
-1,071.67%-703M
34.52%-886M
-320.11%-2.41B
-92.65%518M
-88.38%837M
-115.27%-60M
-73.24%-1.35B
Cash from discontinued investing activities
Investing cash flow
-139.33%-317M
-142.00%-1.67B
-80.95%321M
-39.22%1.49B
-363.63%-4.28B
144.88%806M
74.76%3.97B
148.53%1.69B
3,561.19%2.45B
-17.47%1.63B
Financing cash flow
Cash flow from continuing financing activities
-2,075.24%-2.28B
36.94%-6.63B
-525.00%-2.18B
61.75%-1.46B
-158.18%-2.89B
97.99%-105M
22.37%-10.51B
95.91%-348M
-95.39%-3.81B
32.39%-1.12B
Net issuance payments of debt
77.60%-56M
76.56%-786M
57.58%-56M
81.73%-116M
53.39%-364M
86.15%-250M
69.65%-3.35B
98.34%-132M
43.81%-635M
-2.76%-781M
Net common stock issuance
-510.25%-1.97B
-372.59%-5.83B
-479.17%-1.67B
-390.73%-1.54B
-612.38%-2.3B
-4.21%-322M
-17.65%-1.23B
20.00%-288M
1.57%-313M
2.42%-323M
Net preferred stock issuance
----
--0
--0
--0
----
----
-3,924.31%-5.8B
--0
-2,587.50%-2.8B
--0
Cash dividends paid
-251.16%-302M
-71.14%-1.01B
-247.73%-306M
-103.97%-308M
-109.52%-308M
57.64%-86M
7.82%-589M
52.17%-88M
6.21%-151M
4.55%-147M
Net other financing activities
-92.95%39M
116.81%993M
-191.19%-145M
526.25%501M
-36.84%84M
543.02%553M
169.08%458M
893.75%159M
133.47%80M
132.44%133M
Cash from discontinued financing activities
0
-105.16%-98M
0
0
102.27%1M
-104.95%-99M
-76.13%1.9B
-100.57%-46M
71.43%-10M
-69.23%-44M
Financing cash flow
-1,019.61%-2.28B
21.91%-6.73B
-450.63%-2.18B
61.85%-1.46B
-148.54%-2.89B
93.69%-204M
-54.22%-8.61B
13.76%-395M
-92.45%-3.82B
30.87%-1.16B
Net cash flow
Beginning cash position
-19.62%15.88B
3.47%19.76B
23.47%15.1B
15.53%13.55B
29.18%16.39B
3.47%19.76B
13.25%19.09B
-2.49%12.23B
-11.36%11.73B
-3.13%12.69B
Current changes in cash
25.33%-2.46B
-55.61%-5.01B
-111.72%-416M
117.78%1.47B
-182.80%-2.76B
48.96%-3.3B
-41.99%-3.22B
149.23%3.55B
305.17%675M
-404.36%-977M
Effect of exchange rate changes
237.70%84M
-260.83%-193M
-163.98%-135M
150.00%85M
-685.71%-82M
-193.85%-61M
132.52%120M
-16.93%211M
52.38%-170M
107.33%14M
End cash Position
-17.65%13.5B
-9.00%14.55B
-9.00%14.55B
23.47%15.1B
15.53%13.55B
29.18%16.39B
12.44%15.99B
12.44%15.99B
-2.49%12.23B
-11.36%11.73B
Free cash flow
64.68%1.3B
-15.00%3.68B
-64.36%1.03B
-22.42%1.24B
56.74%616M
241.83%790M
-17.66%4.33B
-37.70%2.89B
36.72%1.6B
50.00%393M
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, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -5.28%1.54B26.21%5.82B5.02%1.32B6.87%1.91B-32.08%957M950.97%1.63B14.45%4.61B-65.60%1.26B120.17%1.79B187.55%1.41B
Net income from continuing operations 12.56%1.96B-29.54%6.66B61.22%1.9B452.44%1.7B-24.20%1.32B-71.98%1.74B598.82%9.45B-70.10%1.18B225.31%307M254.75%1.74B
Operating gains losses 66.87%-326M75.95%-1.67B88.06%-94M-351.61%-1.01B371.61%421M84.65%-984M-1,506.68%-6.95B21.06%-787M295.10%403M-111.38%-155M
Depreciation and amortization 3.10%299M0.42%1.18B-3.56%298M7.19%313M298.59%283M-42.80%290M-0.42%1.18B127.13%309M-39.42%292M-86.24%71M
Deferred tax 15.98%283M-3.22%962M-21.16%395M661.54%198M-36.22%125M-9.96%244M488.17%994M1,573.53%501M100.00%26M21.74%196M
Other non cash items -1,146.67%-748M-195.88%-535M-465.81%-428M-3.73%749M-54.56%-796M-133.71%-60M125.91%558M101.72%117M12.43%778M-22.91%-515M
Change In working capital 24.32%184M-265.95%-697M-264.39%-457M-173.50%-147M-162.92%-241M133.56%148M-62.80%420M-86.63%278M281.82%200M158.78%383M
-Change in receivables -166.51%-280M-401.27%-1.19B-247.58%-431M-623.64%-864M71.66%-314M-49.28%421M87.11%-237M34.74%-124M119.10%165M-70.99%-1.11B
-Change in inventory -43.65%-724M-15.67%-1.53B8.94%-112M59.51%-215M-214.64%-697M60.47%-504M-34.80%-1.32B-109.87%-123M-50.85%-531M153.24%608M
-Change in payables and accrued expense 305.75%706M-3.51%688M1,263.64%128M-75.28%133M-34.63%253M186.57%174M-56.50%713M81.03%-11M-8.19%538M-72.44%387M
-Change in other working capital 745.61%482M5.22%1.33B-107.84%-42M2,753.57%799M4.23%517M-72.20%57M-45.21%1.27B-50.46%536M-94.62%28M-7.12%496M
Cash from discontinued investing activities 94.80%-33M-290.86%-1.11B-101.11%-21M-1,291.18%-405M95.03%-46M-53.75%-635M-69.30%580M121.39%1.88B-94.43%34M-1,667.80%-925M
Operating cash flow 51.81%1.51B-9.23%4.71B-58.69%1.3B-17.28%1.51B87.84%911M483.78%994M-12.30%5.19B-30.22%3.14B28.11%1.82B-11.82%485M
Investing cash flow
Cash flow from continuing investing activities 71.04%-320M-107.23%-556M-87.89%341M-58.04%1.09B-187.59%-882M-186.73%-1.11B-25.81%7.69B-66.07%2.82B288.92%2.6B-30.12%1.01B
Net PPE purchase and sale -19.28%-198M-14.46%-918M-4.51%-255M-16.20%-251M-382.35%-246M42.96%-166M-57.56%-802M-280.74%-244M-31.71%-216M81.04%-51M
Net business purchase and sale -103.83%-100M-37.36%5.61B-41.38%1.15B-34.98%1.78B-96.69%74M28.89%2.61B90.62%8.96B204.49%1.97B901.10%2.73B-9.79%2.24B
Net investment purchase and sale 108.68%99M2.33%-963M-204.33%-265M89.36%267M0.57%176M26.67%-1.14B-12.56%-986M-18.85%254M-15.57%141M1,558.33%175M
Net other investing changes 94.98%-121M-927.99%-4.29B-134.89%-292M-1,071.67%-703M34.52%-886M-320.11%-2.41B-92.65%518M-88.38%837M-115.27%-60M-73.24%-1.35B
Cash from discontinued investing activities
Investing cash flow -139.33%-317M-142.00%-1.67B-80.95%321M-39.22%1.49B-363.63%-4.28B144.88%806M74.76%3.97B148.53%1.69B3,561.19%2.45B-17.47%1.63B
Financing cash flow
Cash flow from continuing financing activities -2,075.24%-2.28B36.94%-6.63B-525.00%-2.18B61.75%-1.46B-158.18%-2.89B97.99%-105M22.37%-10.51B95.91%-348M-95.39%-3.81B32.39%-1.12B
Net issuance payments of debt 77.60%-56M76.56%-786M57.58%-56M81.73%-116M53.39%-364M86.15%-250M69.65%-3.35B98.34%-132M43.81%-635M-2.76%-781M
Net common stock issuance -510.25%-1.97B-372.59%-5.83B-479.17%-1.67B-390.73%-1.54B-612.38%-2.3B-4.21%-322M-17.65%-1.23B20.00%-288M1.57%-313M2.42%-323M
Net preferred stock issuance ------0--0--0---------3,924.31%-5.8B--0-2,587.50%-2.8B--0
Cash dividends paid -251.16%-302M-71.14%-1.01B-247.73%-306M-103.97%-308M-109.52%-308M57.64%-86M7.82%-589M52.17%-88M6.21%-151M4.55%-147M
Net other financing activities -92.95%39M116.81%993M-191.19%-145M526.25%501M-36.84%84M543.02%553M169.08%458M893.75%159M133.47%80M132.44%133M
Cash from discontinued financing activities 0-105.16%-98M00102.27%1M-104.95%-99M-76.13%1.9B-100.57%-46M71.43%-10M-69.23%-44M
Financing cash flow -1,019.61%-2.28B21.91%-6.73B-450.63%-2.18B61.85%-1.46B-148.54%-2.89B93.69%-204M-54.22%-8.61B13.76%-395M-92.45%-3.82B30.87%-1.16B
Net cash flow
Beginning cash position -19.62%15.88B3.47%19.76B23.47%15.1B15.53%13.55B29.18%16.39B3.47%19.76B13.25%19.09B-2.49%12.23B-11.36%11.73B-3.13%12.69B
Current changes in cash 25.33%-2.46B-55.61%-5.01B-111.72%-416M117.78%1.47B-182.80%-2.76B48.96%-3.3B-41.99%-3.22B149.23%3.55B305.17%675M-404.36%-977M
Effect of exchange rate changes 237.70%84M-260.83%-193M-163.98%-135M150.00%85M-685.71%-82M-193.85%-61M132.52%120M-16.93%211M52.38%-170M107.33%14M
End cash Position -17.65%13.5B-9.00%14.55B-9.00%14.55B23.47%15.1B15.53%13.55B29.18%16.39B12.44%15.99B12.44%15.99B-2.49%12.23B-11.36%11.73B
Free cash flow 64.68%1.3B-15.00%3.68B-64.36%1.03B-22.42%1.24B56.74%616M241.83%790M-17.66%4.33B-37.70%2.89B36.72%1.6B50.00%393M
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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