Valuation : VGP

Market Cap 246.73Cr 287.46Cr 231.58Cr 211.51Cr 399.16Cr 27TCr 401.09Cr 2.74TCr 1.06TCr 14TCr 1.08TCr 1.06TCr 46TCr P/E 2026 *
7.74x
P/E 2027 * 6.8x
Enterprise Value 468.19Cr 545.48Cr 439.44Cr 401.36Cr 757.46Cr 52TCr 761.11Cr 5.2TCr 2.02TCr 26TCr 2.05TCr 2TCr 87TCr EV / Sales 2026 *
17.4x
EV / Sales 2027 * 16.3x
Free-Float
54.12%
Yield 2026 *
4.47%
Yield 2027 * 4.6%
Manager TitleAgeSince
Chief Executive Officer 55 11/10/2010
Director of Finance/CFO 41 01/01/2022
Chief Tech/Sci/R&D Officer 48 01/01/2016
Director TitleAgeSince
Director/Board Member 55 11/10/2010
Chairman 60 10/05/2019
Director/Board Member 60 10/05/2019
Change 5-day change 1-year change 3-year change Capi.($)
0.00%0.00% - - 287.46Cr
-0.88%+2.75%+34.68%+39.31% 4.61TCr
-2.70%-0.94%+8.81%+6.25% 3.16TCr
-0.74%+3.90%+19.62%+107.40% 2.86TCr
0.00%-0.18%-24.66%+59.42% 2.65TCr
-0.10%+4.94%-4.38%+45.54% 2.57TCr
-1.41%+0.35%+25.94%+8.26% 2.09TCr
-0.39%+0.92%-33.77%-61.30% 2.1TCr
-0.32%+3.45%+10.27%+84.98% 1.97TCr
-1.25%+1.50%-0.28%-9.51% 2TCr
Average -0.78%+2.74%+4.03%+31.15% 2.67TCr
Weighted average by Cap. -0.90%+2.83%+7.09%+34.12%

Financials

2026 *2027 *
Net sales 27Cr 31Cr 25Cr 23Cr 44Cr 2.99TCr 44Cr 299.3Cr 115.99Cr 1.51TCr 117.87Cr 115.31Cr 5TCr 30Cr 35Cr 28Cr 26Cr 48Cr 3.33TCr 49Cr 332.62Cr 128.9Cr 1.68TCr 131Cr 128.15Cr 5.56TCr
Net income 34Cr 39Cr 32Cr 29Cr 54Cr 3.74TCr 55Cr 373.42Cr 144.72Cr 1.88TCr 147.07Cr 143.87Cr 6.24TCr 39Cr 45Cr 37Cr 33Cr 63Cr 4.33TCr 63Cr 433.06Cr 167.83Cr 2.19TCr 170.55Cr 166.85Cr 7.24TCr
Net Debt 221.46Cr 258.03Cr 207.86Cr 189.85Cr 358.29Cr 25TCr 360.02Cr 2.46TCr 953.33Cr 12TCr 968.81Cr 947.78Cr 41TCr 240.65Cr 280.38Cr 225.88Cr 206.3Cr 389.34Cr 27TCr 391.22Cr 2.67TCr 1.04TCr 13TCr 1.05TCr 1.03TCr 45TCr
Logo VGP
VGP NV specializes in owning, developing and managing semi-industrial real estate assets located in Central Europe and Germany. At the end of 2025, the group's real estate portfolio (including joint-ventures), with a total area of 7,444,395 m2, amounted in market value, to EUR 8,715 million (at share). The geographic breakdown of the portfolio by value is as follows: Germany (50%), the Czech Republic (11.2%), Spain (8.1%), Romania (4.4%), Hungary (4.3%), the Netherlands (4%), Slovakia (4%), Italy (3.1%), Austria (3%), France (2.2%), Portugal (1.5%), Serbia (1.2%), Latvia (0.9%), Croatia (0.8%), Denmark (0.7%) and the United Kingdom (0.6%).
Employees
-
Trader
Investor
Global
Quality
ESG MSCI
AA