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General Motors earnings: here’s an $11.5B reason to buy GM stock

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July 21, 2026
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General Motors earnings: here’s an $11.5B reason to buy GM stock
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General Motors (GM) shares are inching higher on Tuesday morning after the automaker posted a powerhouse Q2 earnings release, outperforming Street expectations across key operational metrics

Revenue came in just over $48 billion – reflecting a 1.9% year-over-year increase – while adjusted earnings per share went up 41.3% versus last year to $3.57 in the second quarter.

Driven by North American truck demand, resilient pricing power, and strict discipline on operating overhead, GM raised its full-year adjusted profit and free cash flow guidance for the second time this year.

Despite headline GAAP net income pressure, the firm’s “core engine” seems to be running at full throttle in an uncertain automotive landscape. Still, General Motors stock is hovering around the same price at which it started 2026.

Here’s what was bullish in General Motors’ earnings

GM’s standout performance in Q2 was fuelled by its lucrative North American vehicle portfolio.

Segment adjusted EBIT surged 42.7% year-over-year to $3.5 billion – pushing North American margins up to 8.6% – as average vehicle transaction prices remained “rock-solid” around $52,000, as consumer appetite for full-size pickups and SUVs showed remarkable stability.

Pricing gains added $700 million to adjusted EBIT, while internal cost discipline – notably lower warranty expenses – contributed another $300 million.

Crucially, General Motors made tangible progress narrowing its electric vehicle losses, remaining on track to cut EV cash burn by up to $1.5 billion this year.

Buoyed by these tailwinds, management boosted full-year adjusted EBIT guidance to at least $14 billion, triggering a 4% rally in GM shares.

Here’s what was concerning in GM’s quarterly print

General Motors’ quarterly print wasn’t entirely free of weaknesses, though.

In Q2, net income attributable to stockholders tanked 31.1% year-over-year to $1.3 billion.

The primary drag stems from massive accounting write-downs and cash outlays associated with scaling back its electric vehicle footprint, bringing cumulative EV-related retreat charges to $10.9 billion.

Consequently, GM trimmed its full-year GAAP net income target to $8.4 billion–$9.8 billion.

Beyond restructuring noise, operational cost pressures persist.

Profitability faced headwinds from rising memory-chip costs, freight logistics inflation, and short-term friction tied to manufacturing onshoring.

Moreover, the company’s financial segment earnings before taxes slid 14% year-over-year to $605 million amid broader consumer credit tightening.

How to play General Motors at current levels?

For investors, GM stock presents a classic value-and-capital-return thesis.

Trading at “single-digit” earnings multiples, it offers massive upside potential relative to its fundamental cash generation.

Management’s aggressive share buyback plan – shrinking diluted shares outstanding by over 20% across two years – provides a powerful structural tailwind for adjusted EPS growth.

Paired with a newly declared $0.18 quarterly dividend and raised adjusted free cash flow guidance of up to $11.5 billion, General Motors’ capital return strategy is top-tier.

Conservative traders should consider accumulating on short-term market dips. While write-downs from the EV pivot create temporary noise, GM’s dominant combustion-engine cash engine makes it a resilient long-term buy.

The post General Motors earnings: here’s an $11.5B reason to buy GM stock appeared first on Invezz

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