FCR Immobilien Aktiengesellschaft header image

FCR Immobilien Aktiengesellschaft

FC9

Equity

ISIN DE000A1YC913 / Valor 44755041

Xetra (2025-12-19)
EUR 11.60%

FCR Immobilien Aktiengesellschaft
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About company

FCR Immobilien Aktiengesellschaft is a real estate investment company focused on acquiring and managing commercial properties in Germany.

Summarized from source with an LLMView SourceSector: Finance

Latest Results (08.11.2025):

FCR Immobilien Aktiengesellschaft’s first half 2025 financial report shows that despite a challenging economic environment, the company maintained a solid profitability and strengthened its balance sheet. The report, covering the period from 01.01.2025 to 30.06.2025, highlights stable Funds from Operations (FFO) with improvements in operating margins and financing conditions, alongside enhanced portfolio performance and a robust equity position.

Earnings and Profitability

The company reported a revenue of €18.8 million, with EBITDA at €10.6 million and EBIT at €10.1 million. While revenue decreased from €26.6 million in H1 2024, the period’s net profit increased to €4.5 million compared to €4.2 million, reflecting disciplined cost management. Funds from Operations (FFO) remained steady at €3.9 million, underscoring the underlying strength of the property portfolio.

Improved Financing Conditions

FCR Immobilien Aktiengesellschaft achieved significant improvements on the financing side by reducing financing expenses to €6.3 million from €8.1 million in the prior year period. This benefit stems from a more favorable interest rate environment, contributing to the overall financial stability of the company.

Balance Sheet and Portfolio Strength

The balance sheet remains robust with an equity ratio climbing to 33.7% (from 32.3% at 31.12.2024) and a rising EPRA-Net Asset Value (NAV) from €145.6 million to €161.5 million. Additionally, portfolio metrics remained strong with 82 properties, annualized net rental income slightly adjusted to €30.9 million, and an increased occupancy rate of 94.2% coupled with an improved WAULT of 5.9 years, indicating a secure and attractive asset base.

Summarized from source with an LLMView Source

Key figures

13.7%1Y
-23.2%3Y
-2.11%5Y

Performance

31.7%1Y
36.3%3Y
31.9%5Y

Volatility

Market cap

134 M

Market cap (USD)

Daily traded volume (Shares)

Daily traded volume (Shares)

1 day high/low

10.6 / 10.6

1 day high/low (USD)

52 weeks high/low

0.00 / 0.00

52 weeks high/low (USD)

Dividend ex-date

01 January, 2022

Dividend ex-date

Dividend

0.00

Dividend (USD)

Dividend yield (p.a.)

0.00%

Dividend yield (p.a.)

0.002022
0.002023
0.002024

Est dividend (USD)

0.00%2022
0.00%2023
0.00%2024

Est dividend yield

P/E ratio

10.00

P/E ratio

00.002022
00.002023
00.002024

Est P/E ratio

EPS

0.00

EPS (USD)

0.002022
0.002023
0.002024

Est EPS (USD)

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