Please use this identifier to cite or link to this item: http://hdl.handle.net/10362/187148
Title: Vonovia: more opportunities than risks ahead
Author: Linden, Johanna Kirsten
Advisor: Prado, Melissa
Keywords: Real estate
Equity research
Vonovia
Germany
Europe
Residential
Financial modeling
Financial analysis
Valuation
Defense Date: 20-Jan-2025
Abstract: This thesis evaluates Vonovia’s financial and strategic performance and focuses on its growth outlook, valuation, and response to market challenges. The analysis incorporates key drivers like disposals, developments, and liquidity generation, alongside a detailed review of the macroeconomic environment and German real estate industry dynamics. An ESG analysis highlights Vonovia’s leadership in sustainability and lower CO₂ tax burden compared to peers. A comprehensive valuation using DCF, APV, and peer comparisons reveals significant upside potential. These findings support a BUY recommendation for the stock and reflect Vonovia’s ability to deliver long-term value despite current economic headwinds.
URI: http://hdl.handle.net/10362/187148
Designation: A Work Project, presented as part of the requirements for the Award of a Master’s degree in Finance from the Nova School of Business and Economics
Appears in Collections:NSBE: Nova SBE - MA Dissertations

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