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Home»Alternative Investments»GE Vernova (NYSE: GEV) Surges On AI Power Demand As Hedge Funds And Analysts Turn Bullish
Alternative Investments

GE Vernova (NYSE: GEV) Surges On AI Power Demand As Hedge Funds And Analysts Turn Bullish

By CharlotteJune 8, 20263 Mins Read
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GE Vernova Inc. (NYSE: GEV) has emerged as one of the most closely watched energy infrastructure plays amid accelerating demand for electricity driven by AI data centers and hyperscalers.

Shares of GEV were trading at $1,038.74 as of May 25th, with the stock having climbed from approximately $780 to around $1,150 over the course of the bullish thesis period.

The company’s trailing price-to-earnings ratio stood at 30.35, while its forward P/E reached 37.04, according to Yahoo Finance, reflecting elevated market expectations for continued earnings growth.

GE Vernova operates across the United States, Europe, Asia, the Middle East, and Africa, providing products and services that generate, transfer, orchestrate, convert, and store electricity across global markets.

First-quarter results were exceptional, with orders rising 71% organically to $18.3 billion, revenue increasing 16% to $9.3 billion, and free cash flow reaching $4.8 billion, which surpassed the company’s entire 2025 free cash flow generation.

The company’s backlog expanded to $163 billion, while Gas Power backlog and slot reservations reached 100 GW, with customers already reserving production capacity as far out as 2030 and 2031.

Pricing on new turbine orders is running 10% to 20% above late 2025 levels, creating a future revenue stream operating at significantly better economics than contracts written just months earlier.

The Electrification segment has become a central pillar of the bull case, booking $2.4 billion in data center equipment orders in a single quarter, surpassing the entirety of 2025’s Electrification order volumes.

Management increasingly views Electrification as a platform business spanning substations, transformers, grid software, storage, and energy management systems, giving the company an integrated offering few Western competitors can replicate.

The long-term opportunity centers on the company’s expanding installed base, as every turbine shipped can generate decades of high-margin recurring service revenue that compounds over time.

While the Wind segment remains a financial drag on overall performance, the bull case rests on Electrification scaling, services compounding, and AI-driven power demand persisting long enough to build a substantial annuity-like earnings base.

115 hedge fund portfolios held GEV at the end of the fourth quarter, up from 108 in the prior quarter, according to available database records, placing it among the 40 most popular stocks among hedge funds.

The bullish thesis on GEV, published on Nikhs’s Substack, draws a parallel to a previous bullish call on Quanta Services, Inc. (NYSE: PWR), which has appreciated by approximately 147.43% since that coverage was published.

Nikhs emphasizes GE Vernova’s turbine scarcity, Electrification platform scaling, and recurring long-term services revenue as the core differentiators that set its investment case apart from broader energy infrastructure peers.



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