Vonovia SE Stock Other OTC
Stocks
VONOY
US92887H1077
Real Estate Development & Operations
OTC Markets Traded| Market Cap | 17.42B 19.99B 16.06B 15.1B 28.25B 1,884B 28.45B 191B 74.19B 928B 75.04B 73.43B 3,218B | P/E 2026 * |
7.33x | P/E 2027 * | 6.4x |
|---|---|---|---|---|---|
| Enterprise Value | 56.87B 65.27B 52.42B 49.31B 92.24B 6,151B 92.89B 624B 242B 3,031B 245B 240B 10,506B | EV / Sales 2026 * |
16.2x | EV / Sales 2027 * | 15.6x |
| Free-Float |
98.01% | Yield 2026 * |
6.2% | Yield 2027 * | 6.45% |
Last Transcript: Vonovia SE
| 1 day | +2.19% |
| 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.($) | ||
|---|---|---|---|---|---|---|
| +2.19% | +2.13% | - | - | 20.33B | ||
| +6.98% | +4.80% | +368.42% | +667.85% | 54.81B | ||
| +6.96% | -1.63% | +107.47% | +157.86% | 21.11B | ||
| +2.56% | +12.09% | +22.09% | +173.38% | 16.14B | ||
| +1.56% | +2.24% | -23.44% | -14.11% | 8.27B | ||
| -1.49% | -5.73% | +33.01% | +54.56% | 5.88B | ||
| -0.97% | -2.86% | -53.14% | -78.95% | 5.16B | ||
| +5.91% | +12.15% | +167.19% | +180.87% | 5.06B | ||
| +0.57% | +4.41% | -29.05% | +0.21% | 4.64B | ||
| +0.32% | +11.51% | +16.98% | +21.57% | 3.86B | ||
| Average | +2.42% | +3.83% | +67.73% | +129.25% | 13.88B | |
| Weighted average by Cap. | +4.44% | +4.67% | +186.67% | +348.44% |
| 2026 * | 2027 * | |
|---|---|---|
| Net sales | 3.52B 4.04B 3.24B 3.05B 5.71B 381B 5.75B 38.6B 14.99B 188B 15.16B 14.84B 650B | 3.63B 4.16B 3.34B 3.15B 5.88B 392B 5.93B 39.79B 15.45B 193B 15.63B 15.29B 670B |
| Net income | 2.42B 2.78B 2.23B 2.1B 3.93B 262B 3.95B 26.54B 10.31B 129B 10.42B 10.2B 447B | 2.94B 3.38B 2.71B 2.55B 4.78B 319B 4.81B 32.3B 12.54B 157B 12.69B 12.41B 544B |
| Net Debt | 39.45B 45.27B 36.36B 34.2B 63.99B 4,267B 64.44B 433B 168B 2,103B 170B 166B 7,288B | 39.22B 45.01B 36.15B 34.01B 63.62B 4,242B 64.06B 430B 167B 2,091B 169B 165B 7,246B |
Trader
This super rating is the result of a weighted average of the rankings based on the following ratings: Valuation (Composite), EPS Revisions (4 months), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
Investor
This super composite rating is the result of a weighted average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), EPS Revisions (1 year), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
Global
This composite rating is the result of an average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), Financial Estimates Revisions (Composite), Consensus (Composite) and Visibility (Composite). The company must be covered by at least 4 of these 5 ratings for the calculation to be carried out. We recommend that you carefully review the associated descriptions.
Quality
This composite rating is the result of an average of rankings based on the following ratings: Returns (Composite), Profitability (Composite) and Quality of Financial Reporting (Composite), and Financial Health (Composite). The company must be covered by at least 2 of these 3 ratings for the calculation to be performed. We recommend that you carefully read the associated descriptions.
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.

















