Vonovia SE N
Vonovia SE operates as an integrated residential real estate company in Europe, with four segments: Rental, Value-Add, Recurring Sales, and Development. The company offers property management services, value-added services including maintenance and modernization, and sells individual condos and single-family homes.
Overview
Strengths
- Price to book ratio (0.83) is lower than the sector mean (11.04).
- Price to free cash flow (8.26) is lower than the sector mean.
Weaknesses
- With a depreciation Potential of -100.00%, based on our fundamental analysis, it suggests the stock may be overvalued.
- Current Price to Earnings Ratio (100.00) is significantly higher than the sector mean (66.80).
- Analysts expect revenues to decline in the coming year.
- The company has high debt. Net Debt to EBITDA Ratio (51.12) is higher than the sector mean.
- The company have lower returns than the sector in which it operates. ROIC (3.62%) is significantly lower than the sector mean (5.30%).
- EV/EBITDA (76.06) is significantly higher than the sector mean (45.48).
- EV/EBIT (221.17) is significantly higher than the sector mean.
Key Financial Data