Vonovia SE
OTC:VNNVF

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Vonovia SE
OTC:VNNVF
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Price: 26.91 USD -2.18% Market Closed
Market Cap: $21.9B

EV/FCFF

26
Current
18%
Cheaper
vs 3-y average of 31.8

Enterprise Value to Free Cash Flow to Firm (EV/FCFF) ratio compares a company`s total enterprise value to the free cash flow available to all investors, both debt and equity holders. It shows how much investors are paying for each dollar of cash flow the business generates before interest payments.

EV/FCFF
26
=
Enterprise Value
$53.5B
/
Free Cash Flow to Firm
€2.1B

Enterprise Value to Free Cash Flow to Firm (EV/FCFF) ratio compares a company`s total enterprise value to the free cash flow available to all investors, both debt and equity holders. It shows how much investors are paying for each dollar of cash flow the business generates before interest payments.

EV/FCFF
26
=
Enterprise Value
$53.5B
/
Free Cash Flow to Firm
€2.1B

Valuation Scenarios

Vonovia SE is trading below its 3-year average

If EV/FCFF returns to its 3-Year Average (31.8), the stock would be worth $32.97 (23% upside from current price).

Statistics
Positive Scenarios
2/4
Maximum Downside
-32%
Maximum Upside
+25%
Average Upside
2%
Scenario EV/FCFF Value Implied Price Upside/Downside
Current Multiple 26 $26.91
0%
3-Year Average 31.8 $32.97
+23%
5-Year Average 32.4 $33.58
+25%
Industry Average 23.6 $24.44
-9%
Country Average 17.7 $18.33
-32%

Forward EV/FCFF
Today’s price vs future free cash flow to firm

Not enough data available to calculate forward EV/FCFF

Peer Comparison

All Multiples
EV/FCFF
P/E
All Countries
Close

Market Distribution

Higher than 70% of companies in Germany
Percentile
70th
Based on 1 970 companies
70th percentile
29.4
Low
0.1 — 11.9
Typical Range
11.9 — 29.2
High
29.2 —
Distribution Statistics
Germany
Min 0.1
30th Percentile 11.9
Median 17.7
70th Percentile 29.2
Max 2 317.8

Vonovia SE
Glance View

Market Cap
21.9B USD
Industry
Real Estate

Vonovia SE stands as a significant player in the European residential real estate market. Its roots trace back to Germany, where it has become a dominant force in managing and developing residential properties. The company operates primarily through a portfolio-based approach, maintaining a vast number of apartments that it rents to residents across Germany and other European countries. Vonovia's core business model revolves around the acquisition, management, and enhancement of residential properties. By focusing on maintaining and upgrading its existing properties, the company ensures that homes meet modern living standards, which in turn supports tenant satisfaction and retention. Beyond property management, Vonovia expands its revenue streams through strategic development and modernization projects. By investing in new constructions and sustainable refurbishments, it not only increases its housing stock but also enhances the value of its assets. Vonovia also engages in supplemental services such as property sales, energy services, and technical maintenance, which complement its rental income. This diversified approach allows the company to stabilize its revenue even in the face of changing market conditions. Thus, Vonovia’s comprehensive strategy of owning, developing, and managing residential spaces underpins its continued growth and relevance in the competitive real estate sector.

VNNVF Intrinsic Value
59.95 USD
Undervaluation 55%
Intrinsic Value
Price $26.91
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