Factsheet

as of March 31, 2026

graphic

Company Profile

Vonovia SE is Europe’s leading private residential real estate company. Vonovia currently owns around 530,000 residential units in all attractive cities and regions in Germany, Sweden and Austria. It also manages around 76,000 apartments. Its portfolio is worth approximately € 84.7 billion. As a modern service provider, Vonovia focuses on customer orientation and tenant satisfaction. Offering tenants affordable, attractive and livable homes is a prerequisite for the company’s successful development. Therefore, Vonovia makes long-term investments in the maintenance, modernization and senior-friendly conversion of its properties. The company is also creating more and more new apartments by realizing infill developments and adding to existing buildings.

The company, which is based in Bochum, has been listed on the stock exchange since 2013. Since September 2015 Vonovia has been a constituent in the DAX 30 (today DAX 40). Vonovia SE is also a constituent of additional national and international indices, including DAX 50 ESG, Dow Jones Sustainability Index Europe, STOXX Global ESG Leaders, EURO STOXX ESG Leaders 50, FTSE EPRA/NAREIT Developed Europe, and GPR 250 World. Vonovia has a workforce of approximately 13,000 employees.

Management Board

Luka Mucic; Arnd Fittkau; Philip Grosse; Daniel Riedl; Ruth Werhahn; Katja Wünschel

Supervisory Board

Clara-Christina Streit; Vitus Eckert; Birgit M. Bohle; Jürgen Fenk; Dr. Florian Funck; Dr. Daniela Gerd tom Markotten; Matthias Hünlein; Dr. Ariane Reinhart; Michael Rüdiger; Dr. Marcus Schenck

Share Information (as of March 31, 2026)

Share Information (as of March 31, 2026)

First day of trading

July 11, 2013

Subscription price

€ 16.50 | € 14.71*

Total number of shares

848,425,239

Share capital

€  848,425,239

ISIN

DE000A1ML7J1

WKN

A1ML7J

Ticker symbol

VNA

Common code

94567408

Share class

Registered shares with no par value

Stock exchange

Frankfurt Stock Exchange

Market segment

Regulated market

Indices

DAX 40, DAX 50 ESG, Dow Jones Best-in-Class Europe Index, STOXX Global ESG Leaders, EURO STOXX ESG Leaders 50, FTSE EPRA/NAREIT Developed Europe and GPR 250 World

  1. *TERP-adjusted.

Financial Calendar

May 21, 2026

Annual General Meeting

August 5, 2026

Publication of the interim financial report for 6M of 2026

November 4, 2026

Publication of the interim statement for 9M of 2026

Key Figures

Financial Key Figures

Financial Key Figures in € million

3M 2025

3M 2026

Change in %

12M 2025

Adjusted EBITDA Total (continuing operations)*

701.9

711.6

1.4

2,800.8

Adjusted EBITDA Rental

592.6

629.7

6.3

2,445.0

Adjusted EBITDA Value-add

38.5

50.1

30.1

197.5

Adjusted EBITDA Recurring Sales

19.1

18.2

-4.7

83.2

Adjusted EBITDA Development*

51.7

13.6

-73.7

75.1

Adjusted EBT (continuing operations)*

482.1

462.2

-4.1

1,904.3

Adjusted EBT (continuing operations) per share in €**

0.59

0.54

-7.0

2.29

Adjusted earnings for the period attributable to minorities

33.7

50.7

50.4

165.5

Adjusted earnings for the period attributable to Vonovia’s shareholders

394.0

365.6

-7.2

1,541.0

Adjusted earnings for the period attributable to Vonovia’s shareholders per share in €**

0.48

0.43

-10.0

1.85

Income from fair value adjustments of investment properties

1,390.0

Earnings before tax (EBT)

338.8

388.0

14.5

2,527.7

Profit for the period

515.4

250.3

-51.4

4,185.5

Operating Free Cash-Flow***

633.6

363.9

-42.6

1,778.5

Cash flow from operating activities

804.3

553.1

-31.2

2,448.3

Cash flow from investing activities

353.8

-109.7

-127.1

Cash flow from financing activities

-764.3

-1,897.4

>100

-878.4

Total sum of maintenance, modernization, portfolio investments and new construction (to hold)

409.6

441.9

7.9

1,972.7

thereof for maintenance measures

175.1

175.6

0.3

811.2

thereof for modernization & portfolio investments

181.7

202.2

11.3

807.5

thereof for new construction (to hold)

52.8

64.1

21.4

354.0

Key Balance Sheet Figures/Financial Indicators in € million

Dec. 31, 2025

Mar. 31, 2026

Change in %*****

Fair value of the real estate portfolio

84,448.2

84,698.1

0.3

EPRA NTA

39,253.7

39,514.2

0.7

EPRA NTA per share in €****

46.28

46.57

0.6

LTV (%)

45.4

45.1

-0.3 pp

Adjusted Net debt/Adjusted EBITDA Total

13.8x

13.7x

-0.1x

ICR (Adj. EBITDA Total/Adj. financial result)

3.8x

3.7x

-0.1x

Non-financial Key Figures

3M 2025

3M 2026

Change in %*****

12M 2025

Number of units managed

607,404

606,145

-0.2

607,234

thereof own apartments

534,566

530,506

-0.8

530,979

thereof apartments owned by others

72,838

75,639

3.8

76,255

Number of units bought

1,081

761

-29.6

2,082

Number of units sold

6,060

1,250

-79.4

11,306

thereof Recurring Sales

689

348

-49.5

2,333

thereof Non Core/Other

5,371

902

-83.2

8,973

Number of new units completed

86

303

>100

2,090

thereof own units

38

21

-44.7

800

thereof units for sale

48

282

>100

1,290

Vacancy rate (in %)

2.1

2.3

0.2 pp

2.1

Monthly in-place rent in €/m²

8.15

8.46

3.8

8.38

Organic rent increase (in %)

4.3

4.0

-0.3 pp

4.1

Carbon intensity achieved in Germany (in kg CO₂e/m²)

31.0

30.9

-0.3

30.7

Number of employees (continuing operations)

12,306

12,898

4.8

12,708

  1. *In accordance with the current definition of key figures including restatements for impairment losses/reversals of impairment losses from development-to-sell projects (previous year adjustment: +€ 3.4 million).
  2. **Based on the weighted average number of shares carrying dividend rights.
  3. ***In accordance with the current definition of key figures including intragroup profits/losses and specification of net working capital.
  4. ****Based on the shares carrying dividend rights on the reporting date.
  5. *****Unless otherwise specified.
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