Vonovia Stock CINNOBER BOAT
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DE000A1ML7J1
Real Estate Development & Operations
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|
5-day change | 1st Jan Change | ||
| - EUR | -.--% |
|
-.--% | - |
| 06-16 | VONOVIA : Goldman Sachs reaffirms its Buy rating | ZD |
| 06-16 | VONOVIA : Bernstein reaffirms its Neutral rating | ZD |
| Market Cap | 17.71B 20.56B 16.3B 15.31B 28.77B 1,946B 29.09B 192B 75.01B 954B 77.14B 75.5B 3,299B | P/E Ratio 2026 * |
7.43x | P/E Ratio 2027 * | 6.49x |
|---|---|---|---|---|---|
| Enterprise Value | 57.21B 66.45B 52.67B 49.47B 92.96B 6,287B 93.99B 622B 242B 3,082B 249B 244B 10,658B | EV / Sales 2026 * |
16.3x | EV / Sales 2027 * | 15.7x |
| Free-Float |
98.01% | Yield 2026 * |
6.13% | Yield 2027 * | 6.37% |
Last Transcript: Vonovia
| Manager | Title | Age | Since |
|---|---|---|---|
Luka Mucic
CEO | Chief Executive Officer | 55 | 2025-12-30 |
Philip Grosse
DFI | Director of Finance/CFO | 55 | 2021-12-31 |
Stefan Heinz
IRC | Investor Relations Contact | - | - |
| Director | Title | Age | Since |
|---|---|---|---|
| Chairman | 57 | 2023-05-16 | |
Florian Funck
BRD | Director/Board Member | 55 | 2014-08-20 |
| Director/Board Member | 59 | 2014-08-20 |
| Change | 5-day change | 1-year change | 3-year change | Capi.($) | ||
|---|---|---|---|---|---|---|
| -.--% | -.--% | - | - | 20.44B | ||
| +0.73% | -0.51% | +353.80% | +625.23% | 55B | ||
| +0.29% | -6.95% | +99.56% | +141.59% | 21.29B | ||
| 0.00% | +7.93% | +19.51% | +170.72% | 15.4B | ||
| +0.33% | +1.66% | -18.22% | -14.42% | 8.45B | ||
| -2.86% | -0.08% | +34.04% | +54.80% | 6.03B | ||
| -1.92% | -2.23% | -52.33% | -79.14% | 5.24B | ||
| -3.17% | +2.01% | +158.55% | +177.81% | 4.98B | ||
| +0.47% | +6.03% | -24.03% | -1.36% | 4.68B | ||
| -2.26% | +0.61% | +9.07% | -10.39% | 3.81B | ||
| Average | -0.84% | +0.47% | +64.44% | +118.32% | 13.87B | |
| Weighted average by Cap. | -0.00% | -1.03% | +179.12% | +325.65% |
| 2026 * | 2027 * | |
|---|---|---|
| Net sales | 3.52B 4.09B 3.24B 3.04B 5.72B 387B 5.78B 38.26B 14.91B 190B 15.33B 15.01B 656B | 3.63B 4.21B 3.34B 3.14B 5.89B 399B 5.96B 39.44B 15.37B 195B 15.81B 15.47B 676B |
| Net income | 2.32B 2.7B 2.14B 2.01B 3.77B 255B 3.82B 25.25B 9.84B 125B 10.12B 9.91B 433B | 2.69B 3.12B 2.48B 2.33B 4.37B 296B 4.42B 29.24B 11.4B 145B 11.72B 11.47B 501B |
| Net Debt | 39.51B 45.88B 36.37B 34.16B 64.19B 4,341B 64.9B 429B 167B 2,128B 172B 168B 7,360B | 39.29B 45.63B 36.17B 33.97B 63.83B 4,317B 64.54B 427B 166B 2,116B 171B 168B 7,319B |
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Quality
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ESG MSCI
The MSCI ESG score assesses a company’s environmental, social, and governance practices relative to its industry peers. Companies are rated from CCC (laggard) to AAA (leader). This rating helps investors incorporate sustainability risks and opportunities into their investment decisions.

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