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GM General Motors

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  • 45.250
  • -1.690-3.60%
Trading Apr 30 10:29 ET
43.72BMarket Cap6.32P/E (TTM)

General Motors 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
92.23%6.06B
-3.84%20.13B
13.13%4.14B
4.02%6.86B
-21.29%5.98B
2.17%3.15B
30.47%20.93B
-34.98%3.66B
27.07%6.6B
142.91%7.59B
Net income from continuing operations
-3.39%2.85B
-39.40%5.96B
-244.13%-2.87B
0.47%3.01B
14.76%2.88B
25.87%2.95B
1.36%9.84B
-0.65%1.99B
-7.96%2.99B
52.68%2.51B
Operating gains losses
5,690.91%637M
468.13%3.89B
551.35%4.35B
13.38%-246M
-193.50%-230M
-79.63%11M
183.01%684M
281.71%668M
-4.80%-284M
217.14%246M
Depreciation and amortization
4.86%2.93B
4.21%12.39B
2.63%3.23B
-4.01%2.87B
18.81%3.49B
-0.50%2.8B
5.30%11.89B
13.72%3.15B
7.90%2.99B
2.73%2.93B
Deferred tax
-78.17%143M
231.41%1.37B
97.81%-28M
-2.89%269M
636.36%472M
1,323.91%655M
-344.94%-1.04B
-1,515.19%-1.28B
-34.82%277M
-155.00%-88M
Other non cash items
19.75%-195M
13.92%-1.95B
28.61%-1.13B
-76.61%-385M
15.77%-187M
-2.97%-243M
-43.32%-2.26B
-59.66%-1.59B
-17.84%-218M
-17.46%-222M
Change In working capital
89.71%-311M
-183.92%-1.53B
-16.53%591M
60.77%1.34B
-119.96%-442M
-56.10%-3.02B
161.20%1.82B
-59.43%708M
204.11%836M
295.07%2.21B
-Change in receivables
----
-299.50%-7.19B
----
----
----
----
81.03%-1.8B
----
----
----
-Change in inventory
----
187.98%666M
----
----
----
----
70.67%-757M
----
----
----
-Change in payables and accrued expense
----
38.53%7.01B
----
----
----
----
-45.76%5.06B
----
----
----
-Change in other current assets
----
-195.18%-2.02B
----
----
----
----
-176.21%-685M
----
----
----
Cash from discontinued investing activities
Operating cash flow
92.29%6.06B
-3.83%20.13B
13.21%4.14B
4.02%6.86B
-21.28%5.98B
2.14%3.15B
30.46%20.93B
-34.98%3.66B
27.07%6.6B
142.99%7.59B
Investing cash flow
Cash flow from continuing investing activities
-14.72%-4.49B
-39.92%-20.52B
-154.25%-6.51B
4.95%-5.02B
-11.17%-5.07B
-73.11%-3.91B
18.00%-14.66B
62.92%-2.56B
-92.27%-5.28B
-5.65%-4.56B
Capital expenditure reported
34.75%-1.82B
1.28%-10.83B
12.76%-3.23B
13.02%-2.25B
-14.08%-2.57B
-14.48%-2.78B
-18.75%-10.97B
-12.13%-3.71B
-22.67%-2.58B
-3.87%-2.25B
Net PPE purchase and sale
-379.49%-1.68B
-622.73%-4.39B
-705.00%-1.77B
-468.14%-1.28B
-261.99%-981M
-419.09%-351M
-126.56%-607M
-174.58%-220M
-135.09%-226M
-144.87%-271M
Net investment purchase and sale
268.00%420M
-92.98%345M
-52.69%1.06B
-244.44%-13M
-219.84%-447M
-110.85%-250M
230.05%4.92B
190.10%2.23B
-98.05%9M
235.14%373M
Net other investing changes
-166.23%-1.41B
29.46%-5.65B
-195.73%-2.56B
40.48%-1.48B
55.39%-1.08B
76.39%-530M
-11.93%-8B
39.20%-867M
-41.92%-2.48B
2.66%-2.41B
Cash from discontinued investing activities
Investing cash flow
-14.72%-4.49B
-39.92%-20.52B
-154.12%-6.51B
4.91%-5.02B
-11.20%-5.07B
-73.03%-3.91B
18.00%-14.66B
62.91%-2.56B
-92.27%-5.28B
-5.65%-4.56B
Financing cash flow
Cash flow from continuing financing activities
-281.00%-543M
130.52%1.94B
87.48%-1.02B
-184.33%-829M
38.13%3.49B
117.80%300M
-1,754.69%-6.35B
-2,496.83%-8.18B
-32.72%983M
131.93%2.53B
Net issuance payments of debt
101.63%1.85B
65.75%10.16B
87.76%3.93B
-69.23%476M
46.73%4.84B
213.75%918M
-6.81%6.13B
116.12%2.09B
-52.62%1.55B
86.76%3.3B
Net common stock issuance
-618.57%-2.01B
36.45%-7.06B
53.12%-4.69B
-312.80%-1.03B
-113.20%-1.07B
24.12%-280M
-344.60%-11.12B
-899.60%-10B
83.33%-250M
---500M
Cash dividends paid
11.62%-175M
-9.38%-653M
-22.12%-127M
-5.49%-192M
-7.94%-136M
-7.03%-198M
-50.38%-597M
18.11%-104M
3.70%-182M
-1,475.00%-126M
Net other financing activities
-47.86%-207M
34.15%-509M
18.13%-140M
37.88%-82M
-0.68%-147M
56.79%-140M
76.58%-773M
-8.92%-171M
-14.78%-132M
94.77%-146M
Cash from discontinued financing activities
Financing cash flow
-281.00%-543M
130.51%1.94B
87.47%-1.03B
-184.44%-830M
38.17%3.49B
117.80%300M
-1,758.75%-6.35B
-2,488.29%-8.18B
-32.72%983M
131.93%2.53B
Net cash flow
Beginning cash position
4.78%22.96B
-0.14%21.92B
-7.81%26.72B
-4.24%25.62B
1.12%21.38B
-0.14%21.92B
-6.77%21.95B
23.32%28.98B
35.70%26.75B
5.82%21.14B
Current changes in cash
322.78%1.03B
1,923.53%1.55B
52.02%-3.4B
-55.91%1.02B
-20.92%4.4B
46.46%-461M
94.16%-85M
-341.92%-7.08B
-41.10%2.3B
5,444.23%5.56B
Effect of exchange rate changes
165.38%51M
-1,031.48%-503M
-1,630.43%-352M
203.90%80M
-383.33%-153M
-244.44%-78M
139.13%54M
-55.77%23M
37.90%-77M
133.96%54M
End cash Position
12.46%24.04B
4.78%22.96B
4.78%22.96B
-7.81%26.72B
-4.24%25.62B
1.12%21.38B
-0.14%21.92B
-0.14%21.92B
23.32%28.98B
35.70%26.75B
Free cash flow
101.08%33M
-62.50%-5.98B
9.09%-3.13B
43.19%862M
-138.94%-646M
-22.73%-3.07B
28.46%-3.68B
-505.99%-3.44B
164.04%602M
173.50%1.66B
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 92.23%6.06B-3.84%20.13B13.13%4.14B4.02%6.86B-21.29%5.98B2.17%3.15B30.47%20.93B-34.98%3.66B27.07%6.6B142.91%7.59B
Net income from continuing operations -3.39%2.85B-39.40%5.96B-244.13%-2.87B0.47%3.01B14.76%2.88B25.87%2.95B1.36%9.84B-0.65%1.99B-7.96%2.99B52.68%2.51B
Operating gains losses 5,690.91%637M468.13%3.89B551.35%4.35B13.38%-246M-193.50%-230M-79.63%11M183.01%684M281.71%668M-4.80%-284M217.14%246M
Depreciation and amortization 4.86%2.93B4.21%12.39B2.63%3.23B-4.01%2.87B18.81%3.49B-0.50%2.8B5.30%11.89B13.72%3.15B7.90%2.99B2.73%2.93B
Deferred tax -78.17%143M231.41%1.37B97.81%-28M-2.89%269M636.36%472M1,323.91%655M-344.94%-1.04B-1,515.19%-1.28B-34.82%277M-155.00%-88M
Other non cash items 19.75%-195M13.92%-1.95B28.61%-1.13B-76.61%-385M15.77%-187M-2.97%-243M-43.32%-2.26B-59.66%-1.59B-17.84%-218M-17.46%-222M
Change In working capital 89.71%-311M-183.92%-1.53B-16.53%591M60.77%1.34B-119.96%-442M-56.10%-3.02B161.20%1.82B-59.43%708M204.11%836M295.07%2.21B
-Change in receivables -----299.50%-7.19B----------------81.03%-1.8B------------
-Change in inventory ----187.98%666M----------------70.67%-757M------------
-Change in payables and accrued expense ----38.53%7.01B-----------------45.76%5.06B------------
-Change in other current assets -----195.18%-2.02B-----------------176.21%-685M------------
Cash from discontinued investing activities
Operating cash flow 92.29%6.06B-3.83%20.13B13.21%4.14B4.02%6.86B-21.28%5.98B2.14%3.15B30.46%20.93B-34.98%3.66B27.07%6.6B142.99%7.59B
Investing cash flow
Cash flow from continuing investing activities -14.72%-4.49B-39.92%-20.52B-154.25%-6.51B4.95%-5.02B-11.17%-5.07B-73.11%-3.91B18.00%-14.66B62.92%-2.56B-92.27%-5.28B-5.65%-4.56B
Capital expenditure reported 34.75%-1.82B1.28%-10.83B12.76%-3.23B13.02%-2.25B-14.08%-2.57B-14.48%-2.78B-18.75%-10.97B-12.13%-3.71B-22.67%-2.58B-3.87%-2.25B
Net PPE purchase and sale -379.49%-1.68B-622.73%-4.39B-705.00%-1.77B-468.14%-1.28B-261.99%-981M-419.09%-351M-126.56%-607M-174.58%-220M-135.09%-226M-144.87%-271M
Net investment purchase and sale 268.00%420M-92.98%345M-52.69%1.06B-244.44%-13M-219.84%-447M-110.85%-250M230.05%4.92B190.10%2.23B-98.05%9M235.14%373M
Net other investing changes -166.23%-1.41B29.46%-5.65B-195.73%-2.56B40.48%-1.48B55.39%-1.08B76.39%-530M-11.93%-8B39.20%-867M-41.92%-2.48B2.66%-2.41B
Cash from discontinued investing activities
Investing cash flow -14.72%-4.49B-39.92%-20.52B-154.12%-6.51B4.91%-5.02B-11.20%-5.07B-73.03%-3.91B18.00%-14.66B62.91%-2.56B-92.27%-5.28B-5.65%-4.56B
Financing cash flow
Cash flow from continuing financing activities -281.00%-543M130.52%1.94B87.48%-1.02B-184.33%-829M38.13%3.49B117.80%300M-1,754.69%-6.35B-2,496.83%-8.18B-32.72%983M131.93%2.53B
Net issuance payments of debt 101.63%1.85B65.75%10.16B87.76%3.93B-69.23%476M46.73%4.84B213.75%918M-6.81%6.13B116.12%2.09B-52.62%1.55B86.76%3.3B
Net common stock issuance -618.57%-2.01B36.45%-7.06B53.12%-4.69B-312.80%-1.03B-113.20%-1.07B24.12%-280M-344.60%-11.12B-899.60%-10B83.33%-250M---500M
Cash dividends paid 11.62%-175M-9.38%-653M-22.12%-127M-5.49%-192M-7.94%-136M-7.03%-198M-50.38%-597M18.11%-104M3.70%-182M-1,475.00%-126M
Net other financing activities -47.86%-207M34.15%-509M18.13%-140M37.88%-82M-0.68%-147M56.79%-140M76.58%-773M-8.92%-171M-14.78%-132M94.77%-146M
Cash from discontinued financing activities
Financing cash flow -281.00%-543M130.51%1.94B87.47%-1.03B-184.44%-830M38.17%3.49B117.80%300M-1,758.75%-6.35B-2,488.29%-8.18B-32.72%983M131.93%2.53B
Net cash flow
Beginning cash position 4.78%22.96B-0.14%21.92B-7.81%26.72B-4.24%25.62B1.12%21.38B-0.14%21.92B-6.77%21.95B23.32%28.98B35.70%26.75B5.82%21.14B
Current changes in cash 322.78%1.03B1,923.53%1.55B52.02%-3.4B-55.91%1.02B-20.92%4.4B46.46%-461M94.16%-85M-341.92%-7.08B-41.10%2.3B5,444.23%5.56B
Effect of exchange rate changes 165.38%51M-1,031.48%-503M-1,630.43%-352M203.90%80M-383.33%-153M-244.44%-78M139.13%54M-55.77%23M37.90%-77M133.96%54M
End cash Position 12.46%24.04B4.78%22.96B4.78%22.96B-7.81%26.72B-4.24%25.62B1.12%21.38B-0.14%21.92B-0.14%21.92B23.32%28.98B35.70%26.75B
Free cash flow 101.08%33M-62.50%-5.98B9.09%-3.13B43.19%862M-138.94%-646M-22.73%-3.07B28.46%-3.68B-505.99%-3.44B164.04%602M173.50%1.66B
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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