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General Electric GE Business Segments

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
Revenue by Business
Commercial Engines & Services$35.26B+6.8%$33B+5.8%$31.18B+6.4%$29.31B+6.8%$27.45B+2.1%
Defense & Propulsion Technologies$11.44B+4.7%$10.93B+3.0%$10.61B+5.8%$10.03B+1.6%$9.87B+4.1%
Cost of revenue by Business
Commercial Engines & Services$23.39B+7.7%$21.72B+7.3%$20.23B+6.4%$19.02B+7.2%$17.74B+0.2%
Defense & Propulsion Technologies$8.62B+4.7%$8.24B+3.2%$7.98B+4.8%$7.62B+1.4%$7.51B+3.8%
Other segment expenses (income) by Business
Commercial Engines & Services-$697M-2.2%-$682M-3.2%-$661M-2.5%-$645M-12.2%-$575M-4.9%
Defense & Propulsion Technologies-$45M+4.3%-$47M-4.4%-$45M-2.3%-$44M-18.9%-$37M+50.0%
Gross profit (loss) by Business
Commercial Engines & Services$9.3B+5.0%$8.85B+1.3%$8.74B+7.9%$8.1B+7.3%$7.55B+7.0%
Defense & Propulsion Technologies$1.38B+4.1%$1.33B+0.8%$1.31B+14.5%$1.15B+1.6%$1.13B+6.5%
Costs and Expenses by Business
Commercial Engines & Services$25.96B+7.5%$24.15B+7.6%$22.45B+5.8%$21.21B+6.6%$19.9B+0.4%
Defense & Propulsion Technologies$10.07B+4.8%$9.6B+3.3%$9.3B+4.7%$8.88B+1.6%$8.73B+3.8%
Selling, general and administrative expenses by Business
Commercial Engines & Services$1.92B+4.7%$1.83B+10.0%$1.67B-1.2%$1.69B+1.5%$1.66B-1.0%
Defense & Propulsion Technologies$1.16B+5.4%$1.1B+4.9%$1.05B+5.0%$1B+4.8%$956M+0.2%
R&D by Business
Commercial Engines & Services$1.35B+5.0%$1.28B+5.9%$1.21B+5.9%$1.15B+6.3%$1.08B+8.5%
Defense & Propulsion Technologies$322M+4.5%$308M-0.3%$309M+2.3%$302M-1.3%$306M+1.7%
Goodwill by Business
Commercial Engines & Services$26.3B+0.2%$26.24B+0.8%$26.02B+0.5%$25.9B+0.8%$25.69B
Defense & Propulsion Technologies$9.81B+2.6%$9.57B+3.3%$9.26B+1.8%$9.1B-0.6%$9.16B
Goodwill acquisition by Business
Commercial Engines & Services$0$0
Defense & Propulsion Technologies$107M-27.7%$148M
Depreciation and amortization of property, plant and equipment (Note 6) by Business
Commercial Engines & Services$471M+1.7%$463M+0.9%$459M+0.9%$455M+3.9%$438M+18.1%
Defense & Propulsion Technologies$164M+6.5%$154M+3.4%$149M-0.7%$150M+1.4%$148M-1.3%
Goodwill adjustments by Business
Commercial Engines & Services$151M-50.2%$303M+139%$127M-38.0%$205M
Defense & Propulsion Technologies$50M-30.6%$72M+279%$19M-62.0%$50M
Gross premiums or assessments recognized during period by Product
Life$276M-9.8%$306M-15.2%$361M+0.3%$360M+2.0%$353M0.0%
Long-term care$458M-1.1%$463M0.0%$463M-1.1%$468M-1.1%$473M-1.3%
Structured settlement annuities$0$0$0$0$0
Cost of revenue by Product
Equipment$13.33B+7.6%$12.38B+8.6%$11.4B+6.9%$10.66B+4.4%$10.21B-1.3%
Services$17.57B+5.9%$16.59B+3.9%$15.97B+5.3%$15.17B+5.7%$14.35B+2.7%
Other by Product
Life$450M-0.2%$451M-0.7%$454M-0.9%$458M-1.5%$465M+0.4%
Long-term care$0$0$0$0$0
Other contracts$1.27B-21.2%$1.61B-4.4%$1.68B-0.9%$1.7B+23.8%$1.37B+23.6%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, Expected Net Premium, Net Premium Collected by Product
Life$264M-9.6%$292M-8.8%$320M+0.9%$317M+1.3%$313M+1.3%
Long-term care$405M-0.7%$408M+1.0%$404M0.0%$404M+0.5%$402M-0.2%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, Expected Net Premium, before Reinsurance, after Discount Rate Change by Product
Life$10.16B-20.4%$12.76B-16.3%$15.25B-13.8%$17.69B-0.1%$17.71B-1.0%
Long-term care$17.26B+0.9%$17.1B+1.7%$16.81B+0.4%$16.74B+2.1%$16.4B+1.3%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, after Reinsurance by Product
Life$3.03B-2.3%$3.11B-6.9%$3.34B-6.5%$3.57B-6.1%$3.8B-5.4%
Long-term care$100.96B+0.2%$100.72B+1.1%$99.6B-1.0%$100.58B-0.2%$100.83B-1.0%
Structured settlement annuities$33.33B-0.9%$33.63B-0.1%$33.67B-1.8%$34.3B-0.9%$34.61B-1.5%
Expected future gross premiums, undiscounted by Product
Life$22.17B-27.3%$30.5B-21.2%$38.73B-16.3%$46.27B-0.7%$46.59B-1.5%
Long-term care$29.81B0.0%$29.8B-0.1%$29.82B-0.1%$29.83B+0.3%$29.76B+0.2%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, Expected Net Premium, Original Discount Rate, before Cash Flow and Reinsurance by Product
Life$9.98B-21.6%$12.73B-17.5%$15.44B-14.2%$17.99B-0.6%$18.09B-1.4%
Long-term care$16.31B+1.0%$16.14B+0.9%$15.99B+0.9%$15.85B+1.9%$15.56B+1.6%
Structured settlement annuities$0$0$0$0$0
Expected future benefit payments, undiscounted by Product
Life$23.65B-21.1%$29.96B-17.2%$36.18B-13.8%$41.96B-0.7%$42.25B-1.4%
Long-term care$245.12B-0.2%$245.69B-0.3%$246.36B-0.5%$247.66B-0.4%$248.64B-0.5%
Structured settlement annuities$71.7B-1.0%$72.45B-1.1%$73.23B-1.1%$74.04B-0.9%$74.73B-0.9%
Expected future gross premiums, discounted by Product
Life$11.54B-22.8%$14.94B-17.9%$18.21B-14.6%$21.33B-0.1%$21.35B-0.9%
Long-term care$19.07B-0.1%$19.08B+0.6%$18.97B-0.7%$19.1B+0.2%$19.07B-0.4%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, Reinsurance Recoverable, after Allowance by Product
Life$720M-7.1%$775M+18.1%$656M+28.9%$509M+74.3%$292M+135%
Long-term care$636M-1.5%$646M-1.1%$653M-4.1%$681M+0.3%$679M+0.7%
Structured settlement annuities$0$0$0$0$0
Liability for Future Policy Benefit, Expected Future Policy Benefit, Discounted, before Reinsurance by Product
Life$13.91B-16.4%$16.64B-13.5%$19.24B-11.6%$21.76B-0.2%$21.8B-1.0%
Long-term care$118.85B+0.3%$118.46B+1.2%$117.06B-0.8%$118B+0.1%$117.92B-0.7%
Structured settlement annuities$33.33B-0.9%$33.63B-0.1%$33.67B-1.8%$34.3B-0.9%$34.61B-1.5%
Liability for Future Policy Benefit, Expected Future Policy Benefit, before Reinsurance, after Discount Rate Change by Product
Life$13.91B-16.4%$16.64B-13.5%$19.24B-11.6%$21.76B-0.2%$21.8B-1.0%
Long-term care$118.85B+0.3%$118.46B+1.2%$117.06B-0.8%$118B+0.1%$117.92B-0.7%
Structured settlement annuities$33.33B-0.9%$33.63B-0.1%$33.67B-1.8%$34.3B-0.9%$34.61B-1.5%
Weighted-average interest accretion rate by Product
Life21.3%+0.1pp21.2%+0.2pp21%+0.2pp20.8%+0.1pp20.7%+0.1pp
Long-term care22.5%+0.1pp22.4%0.0pp22.4%0.0pp22.4%0.0pp22.4%0.0pp
Structured settlement annuities21.6%0.0pp21.6%0.0pp21.6%0.0pp21.6%0.0pp21.6%0.0pp
Liability for Future Policy Benefits and Unpaid Claims and Claims Adjustment Expense by Product
Life$4.2B-3.0%$4.33B-2.6%$4.44B-2.0%$4.53B-0.5%$4.56B-1.0%
Long-term care$101.59B+0.2%$101.37B+1.1%$100.25B-1.0%$101.26B-0.2%$101.51B-1.0%
Other contracts$4.74B-8.9%$5.2B-3.7%$5.4B-3.5%$5.59B+3.7%$5.39B+2.4%
Structured settlement annuities$35.96B-1.0%$36.33B-0.3%$36.44B-1.9%$37.14B-1.1%$37.54B-1.5%
Future policy benefit reserves by Product
Life$3.75B-3.3%$3.88B-2.8%$3.99B-2.1%$4.08B-0.4%$4.09B-1.2%
Long-term care$101.59B+0.2%$101.37B+1.1%$100.25B-1.0%$101.26B-0.2%$101.51B-1.0%
Other contracts$1.4B+0.4%$1.4B0.0%$1.4B-0.5%$1.4B-2.0%$1.43B-1.9%
Structured settlement annuities$33.33B-0.9%$33.63B-0.1%$33.67B-1.8%$34.3B-0.9%$34.61B-1.5%
Liability for Future Policy Benefit, Expected Future Policy Benefit, Benefit Payment by Product
Life$356M-9.2%$392M-6.7%$420M-3.0%$433M+3.3%$419M-2.6%
Long-term care$1.57B+3.2%$1.52B+1.7%$1.49B+0.1%$1.49B+4.0%$1.44B-0.6%
Structured settlement annuities$657M-1.1%$664M+1.1%$657M-0.6%$661M-0.5%$664M0.0%
Investment contracts by Product
Life$0$0$0$0$0
Long-term care$0$0$0$0$0
Other contracts$2.07B-5.7%$2.19B-5.5%$2.32B-6.8%$2.49B-3.8%$2.59B-4.0%
Structured settlement annuities$2.64B-2.4%$2.7B-2.6%$2.77B-2.5%$2.84B-2.7%$2.92B-2.5%
AOCI, Liability for Future Policy Benefit, Expected Future Policy Benefit, before Tax by Product
Life-$306M-88.9%-$162M-328%$71M-58.7%$172M-34.6%$263M-23.1%
Long-term care-$7.45B+2.4%-$7.64B-12.9%-$6.77B+15.6%-$8.02B+3.2%-$8.28B+10.9%
Structured settlement annuities-$970M+5.8%-$1.03B-25.6%-$820M+30.4%-$1.18B+6.1%-$1.26B+18.5%
Interest accrual by Product
Life$181M-11.3%$204M-7.7%$221M+0.5%$220M+0.5%$219M+0.5%
Long-term care$1.52B+0.7%$1.51B+0.6%$1.5B+0.5%$1.5B+0.3%$1.49B+0.4%
Structured settlement annuities$426M-0.7%$429M-0.7%$432M-0.9%$436M-0.7%$439M-0.5%
Beginning balance at locked-in discount rate by Product
Life$13.61B-17.5%$16.48B-14.6%$19.31B-12.0%$21.93B-0.6%$22.06B-1.4%
Long-term care$111.39B+0.5%$110.82B+0.5%$110.29B+0.3%$109.99B+0.3%$109.64B+0.2%
Structured settlement annuities$32.36B-0.7%$32.6B-0.8%$32.85B-0.8%$33.12B-0.7%$33.36B-0.7%
Current discount rate by Product
Life19.9%+0.2pp19.7%-0.2pp19.9%+0.3pp19.6%-0.2pp19.8%0.0pp
Long-term care21.7%0.0pp21.7%-0.3pp22%+0.3pp21.7%+0.1pp21.6%+0.4pp
Structured settlement annuities21.7%+0.1pp21.6%-0.2pp21.8%+0.4pp21.4%+0.1pp21.3%+0.3pp
Effect of changes in discount rate assumptions by Product
Life$177M+510%$29M+116%-$187M+37.2%-$298M+21.0%-$377M+17.1%
Long-term care$951M-0.1%$952M+16.2%$819M-8.6%$896M+5.5%$849M-4.0%
Structured settlement annuities$0$0$0$0$0
Effect of foreign currency by Product
Long-term care$0$0$0$0$0
Structured settlement annuities$0$0$0$0$0

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Questions, answered.

How does General Electric break its business down?
General Electric (GE) reports revenue by business across 2 parts — Commercial Engines & Services and Defense & Propulsion Technologies. Each is extracted from the segment footnotes and tracked over time.
Where does General Electric's segment data come from?
Segment breakdowns are pulled from the segment footnotes in General Electric's SEC filings (the XBRL dimensional tags), so every line ties back to a reported figure. Switch between quarterly, annual, and TTM, or open any segment for its full history.