Valuation: VGP NV

Market Cap 2.44B 2.79B 2.25B 2.07B 3.91B 269B 3.99B 26.88B 10.57B 132B 10.47B 10.24B 453B P/E 2026 *
7.65x
P/E 2027 * 6.72x
Enterprise Value 4.62B 5.29B 4.26B 3.93B 7.41B 509B 7.57B 50.95B 20.04B 249B 19.85B 19.41B 858B EV / Sales 2026 *
17.1x
EV / Sales 2027 * 16.1x
Free-Float
54.12%
Yield 2026 *
4.61%
Yield 2027 * 4.77%
1 day-3.99%
1 week-2.22%
Current month-5.59%
1 month-3.99%
3 months-14.25%
6 months-23.80%
Current year-18.81%
1 week 79.4
Extreme 79.4
82.7
1 month 79.4
Extreme 79.4
87
Current year 76.6
Extreme 76.6
110.8
1 year 76.6
Extreme 76.6
110.8
3 years 69.1
Extreme 69.1
112.4
5 years 66.2
Extreme 66.2
262.5
10 years 41.5
Extreme 41.504
262.5
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.($)
-3.99%-2.22% - - 2.79B
-1.14%+3.31%+34.10%+27.18% 45.06B
-2.60%+4.79%+18.94%+7.90% 30.67B
-2.44%-1.60%+52.89%+144.91% 30.47B
-3.46%-5.90%-25.85%+64.84% 26.85B
-0.77%+1.72%+15.52%+67.28% 25.48B
-1.59%+0.05%+42.28%+113.38% 21.41B
-0.13%+4.00%+33.94%+8.07% 21.11B
0.00%-6.58%-38.26%-63.92% 20.47B
-1.40%+3.56%-0.22%-16.75% 18.66B
Average -1.75%+0.48%+14.82%+39.21% 26.69B
Weighted average by Cap. -1.61%+0.74%+17.76%+42.95%

Financials

2026 *2027 *
Net sales 269M 308M 249M 229M 432M 29.69B 442M 2.97B 1.17B 14.54B 1.16B 1.13B 50.06B 299M 343M 276M 255M 480M 33B 491M 3.3B 1.3B 16.16B 1.29B 1.26B 55.64B
Net income 336M 384M 310M 286M 538M 36.99B 550M 3.7B 1.46B 18.12B 1.44B 1.41B 62.37B 390M 446M 360M 332M 625M 42.96B 639M 4.3B 1.69B 21.04B 1.68B 1.64B 72.44B
Net Debt 2.18B 2.5B 2.01B 1.86B 3.5B 240B 3.58B 24.07B 9.47B 118B 9.38B 9.17B 405B 2.39B 2.73B 2.2B 2.03B 3.82B 263B 3.91B 26.31B 10.35B 129B 10.25B 10.03B 443B
Logo VGP NV
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
440
Date Price Change
17/07/26 €79.40 -3.99%
16/07/26 €82.70 +1.22%
15/07/26 €81.70 +1.36%
14/07/26 €80.60 +0.25%
13/07/26 €80.40 -0.99%
Trader
Investor
Global
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
8
Last Close Price
80.30EUR
Average target price
97.00EUR
Spread / Average Target
+20.80%

Annual profits - Rate of surprise