GE Vernova Inc. (GEV) Stock Total Returns

Growth of $10,000 chart

2024-03-27 to 2026-04-14
to
$
%
%
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Investment Performance

Final Value
$75,460
Total Return
654.60%
CAGR
168.28%
Dividends
$152.62
Yield on Cost
1.53%

Rolling Returns

1-Month (21 Trading Days)
Average+9.22%
Median+8.29%
Best+47.88%
Worst-27.93%
% of Windows Positive71.7%
1-Year (252 Trading Days)
Average+155.82%
Median+154.05%
Best+304.13%
Worst+52.44%
% of Windows Positive100.0%
3-Year (756 Trading Days)

Risk Metrics

Maximum Drawdown -38.29%
Average Drawdown -6.81%
Drawdown Duration 80 Trading Days
Sortino Ratio 3.34
Calmar Ratio 4.40
CVaR (5%) -7.01%

Yearly Returns

Year Percentage Abs. Return Dividends Taxes Trans. Costs
2026 partial +51.25% (+327.69% ann.) +$5125.33 $15.31 $3.06 $0.02
2025 +98.96% +$9895.53 $22.81 $4.56 $0.04
2024 partial +150.76% (+233.18% ann.) +$15075.93 $19.05 $3.81 $0.03

Market Regimes

Regime Period Percentage Annual Abs. Return Dividends Taxes Trans. Costs
Disinflation rebound / AI-led narrow bull / higher-for-longer partial March 27, 2024 – September 17, 2024 +80.69% +246.19% +$8068.57 $0.00 $0.00 $0.00
Disinflationary easing / resilient growth / AI capex under oil-shock test partial September 18, 2024 – April 14, 2026 +320.25% +149.72% +$32025.46 $85.00 $17.00 $0.13

Dividend History

Annual Dividends Per Share
TTM Yield
Consecutive Years Paid
current
Consecutive Years of Growth
current

Date Per Share Yield %
2024-12-20 $0.2500 0.08%
2025-04-17 $0.2500 0.08%
2025-07-21 $0.2500 0.04%
2025-10-20 $0.2500 0.04%
2026-01-05 $0.5000 0.07%
2026-03-17 $0.5000 0.06%
Total 6 payments

Portfolio Dividend Returns

Based on $10,000 initial investment, 20% tax rate, 0.2% transaction cost. Showing 2024-03-27 to 2026-04-14. Change
Date Total Yield Tax Trans. Cost Shares Bought
2024-12-20 $19.05 $3.81 $0.03 0.0444
2025-04-17 $19.06 $3.81 $0.03 0.0470
2025-07-21 $19.07 $3.81 $0.03 0.0269
2025-10-20 $19.08 $3.82 $0.03 0.0256
2026-01-05 $38.17 $7.63 $0.06 0.0448
2026-03-17 $38.19 $7.64 $0.06 0.0361
Total $152.62 $30.52 $0.24 0.2248

All calculations use split-adjusted closing prices. Dividends are reinvested on the ex-dividend date at that day's closing price.

For each rolling window, returns are calculated at every possible starting point:

return = (value[i] ÷ value[i − windowSize] − 1) × 100

Windows
1-month = 21 trading days, 1-year = 252 trading days, 3-year = 756 trading days.
Statistics
Average: arithmetic mean. Median: middle value when sorted. Best / Worst: max and min. % Positive: share of windows with return > 0.

The series is segmented by calendar year:

return = (endValue ÷ startValue − 1) × 100

startValue is the last value of the prior year (or the first value for the initial year). Partial first/last years are flagged. Dividends, taxes, and transaction costs are scaled proportionally to the initial investment.

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