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GM (GM) Stock Analysis

Consumer Cyclical
$80.43as of 2026-06-22

BriMind AI Score

Proprietary
52
Neutral
Price CAGR
12.3%
1Y Return
+64.5%
Analyst Upside
+19.6%
Rev Growth
-0.9%

Score based on historical price CAGR, revenue growth, analyst upside, and valuation factors. Updated daily.

BriMind 1-Year Price Target

$83.61+3.9% potential
Bear Case
$56.84
Bull Case
$121.66
Model Confidence90%

BriMind AI combines DCF, momentum, and analyst consensus to project a 12-month price target.

GM Revenue & Profitability Breakdown

This chart shows how GM's revenue flows through to profit. Each row deducts a layer of costs: first the direct cost of making products/services (Cost of Revenue), then operating expenses like marketing and R&D, then taxes. What remains at the bottom is net income — the actual profit shareholders own. High gross and net margins indicate a business with strong pricing power and efficiency.

Revenue
$184.62B
Cost of Revenue
-$164.05B
Gross Profit
$20.57B11.1% margin
Operating Expenses
-$3.29B
Operating Income
$17.28B9.4% margin
Tax & Other
-$14.74B
Net Income
$2.54B1.4% margin
Gross Margin
11.1%
Operating Margin
9.4%
Net Margin
1.4%

Key Financial Metrics

A snapshot of the company's valuation, growth, profitability, and financial health. Key things to look at: P/E ratio measures how much you pay for $1 of earnings (lower = cheaper, but fast-growing companies command higher P/E); Free Cash Flow is the cash left after running the business — companies with strong FCF can buy back shares, pay dividends, or invest; Debt/Equity shows how leveraged the company is (high debt can be risky); Return on Equity tells you how efficiently the company generates profit from shareholders' money.

Market Cap
$71.49B
P/E (Trailing)
28.94
P/E (Forward)
5.63
Revenue
$184.62B
Revenue Growth
-0.9%
Earnings Growth
-15.8%
Gross Margin
11.1%
Operating Margin
9.4%
Net Margin
1.4%
Return on Equity
4.0%
Return on Assets
2.7%
Free Cash Flow
$22.47B
Debt / Equity
199.05
Current Ratio
1.15
Quick Ratio
0.89
Beta
1.30
Dividend Yield
0.9%
Payout Ratio
23.0%
Book Value / Share
$69.47

Wall Street Analyst Consensus

Professional analysts at investment banks set 12-month price targets after researching the company's earnings, competitive position, and industry trends. Strong Buy / Buy means the majority expect meaningful upside. Hold means analysts see fair value near the current price — not a sell signal, but limited near-term upside expected. The mean target is the average of all analyst price targets; the range shows where the most optimistic and most cautious analysts stand.

Mean Target$94.81+17.9% upside

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