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GATX vs GEV

GATX
GATX Corporation
BULLISH
Price
$198.16
Market Cap
$7.04B
Sector
Industrials
AI Confidence
85%
GEV
GE Vernova Inc.
NEUTRAL
Price
$578.31
Market Cap
$156.91B
Sector
Industrials
AI Confidence
65%

Valuation

P/E Ratio
GATX
21.73
GEV
94.34
Forward P/E
GATX
17.66
GEV
83.81
P/B Ratio
GATX
2.55
GEV
18.15
P/S Ratio
GATX
4.04
GEV
4.17
EV/EBITDA
GATX
19.96
GEV
51.63

Profitability

Gross Margin
GATX
73.77%
GEV
19.69%
Operating Margin
GATX
30.96%
GEV
5.74%
Profit Margin
GATX
19.15%
GEV
4.52%
ROE
GATX
10.97%
GEV
16.72%
ROA
GATX
2.25%
GEV
2.43%

Growth

Revenue Growth
GATX
8.6%
GEV
11.8%
Earnings Growth
GATX
25.8%
GEV
--

Financial Health

Debt/Equity
GATX
3.5
GEV
0.11
Current Ratio
GATX
11.03
GEV
1.03
Quick Ratio
GATX
2.12
GEV
0.65

Dividends

Dividend Yield
GATX
1.33%
GEV
0.17%
Payout Ratio
GATX
26.75%
GEV
12.21%

AI Verdict

GATX BULLISH

GATX exhibits strong fundamental health with a Piotroski F-Score of 7/9, indicating robust operational efficiency and financial stability. While the stock trades at a premium to its defensive Graham Number ($126.27), it remains significantly undervalued relative to its growth-based intrinsic value of $269.04, supported by an exceptional PEG ratio of 0.64. Strong double-digit earnings growth (25.8% YoY) and high operating margins (30.96%) outweigh the bearish insider sentiment and current technical weakness. The company's liquidity position is exceptional, as evidenced by a current ratio of 11.03, mitigating the risks associated with its high debt-to-equity ratio.

Strengths
Strong Piotroski F-Score (7/9) indicating high financial health
Highly attractive PEG ratio (0.64) suggesting significant undervaluation relative to growth
Robust profitability with a 30.96% operating margin and 73.77% gross margin
Risks
High leverage with a Debt/Equity ratio of 3.50
Bearish insider activity with multiple officer sales and zero buys
Weak technical trend (10/100) suggesting short-term price pressure
GEV NEUTRAL

GE Vernova Inc. (GEV) trades at a significant premium to both the industrials sector and its closest peers, with a P/E of 94.34 versus a sector average of 27.54, raising valuation concerns despite strong 5-year price appreciation of +341.7%. The company exhibits solid revenue growth at 11.8% YoY and improving profitability trends, including a ROE of 16.72% and low leverage (Debt/Equity: 0.11), but erratic earnings performance and negative Q/Q EPS growth (-23.7%) undermine confidence in sustained momentum. Analysts are bullish with a $679.30 target price implying ~17% upside, yet insider selling—particularly a $2.05M CFO sale—contradicts this optimism. While financial health is stable and growth fundamentals show promise, stretched valuations and inconsistent earnings delivery create a conflicted outlook, warranting caution despite favorable sector positioning.

Strengths
Revenue growth of 11.8% YoY outpaces the industrials sector average of 7.13% and exceeds key peers like UNP (2.5%) and DE (-8.6%)
Strong ROE of 16.72% indicates effective equity utilization, supported by improving operating leverage and margin expansion
Exceptionally low Debt/Equity ratio of 0.11 suggests conservative capital structure and minimal refinancing risk relative to sector average of 1.80
Risks
Valuation multiples are extremely elevated: P/E of 94.34 vs sector avg 27.54 and closest peer ETN at 35.34, increasing downside risk in a rising rate environment
Highly volatile earnings performance with 4 out of last 8 quarters missing estimates, including two massive negative surprises (-232.7%, -254.7%)
Most recent Q/Q EPS decline of -23.7% signals near-term earnings deterioration despite strong YoY comp (+505.7%)

Compare Another Pair

GATX vs GEV: Head-to-Head Comparison

This page compares GATX Corporation (GATX) and GE Vernova Inc. (GEV) across key fundamental metrics including valuation ratios, profitability margins, growth rates, financial health indicators, and dividend metrics. Each metric highlights the better-performing stock so you can quickly identify relative strengths and weaknesses.

Our AI engine independently analyzes each company's financials, competitive position, and market conditions to produce a verdict (Bullish, Neutral, or Bearish) along with key strengths and risks. Use this comparison alongside your own research to make informed investment decisions.

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