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US_AVB

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Key metrics

Net debt (table and EV/EBITDA): |short-term borrowings| + |long-term borrowings| + |other financial liabilities| when extracted + |non-controlling interest| when extracted − |cash and equivalents|; amounts in millions of the reporting currency.

Market

Price
Market cap

Growth

Δ revenue y/y
2.3%
Δ EBITDA y/y
2.3%

Multiples

P/E (LTM)
P/B (FY)
EV/EBITDA (LTM)

Cash return

Dividend yield
FCF yield (LTM)

Liquidity

Daily turnover

Shares: unknown

Financial results

Monetary columns are in M USD, one decimal; scale (K/M/B/T) keeps values readable. For the period (default) shows P&L and cash flow for that row’s reporting window: quarterly amounts when the feed uses quarter-duration facts (typical US 10-Q revenue and income), quarterly cash flows after stripping YTD where only cumulative tags exist, and an implied Q4 on 31 Dec FY rows (P&L: FY minus Q1–Q3; operating / investing cash flow: FY 12m minus 9M YTD to 30 Sep when sourced from SEC builder evidence) so they match 10-Q scale. Some issuers still use cumulative YTD minus the prior row in the same calendar year. As reported shows values stored on each row (e.g. full-year on FY). Balance sheet is always as reported. Source JSON may use millions etc.; conversion uses amounts_unit per row.

DatePeriodStatusRevenueM USDOperating profitM USDD&AM USDEBITDAM USDNet profitM USDOperating CFM USDCapex + M&AM USDAssetsM USDEquityM USDROE (annualized)Net debtM USDSource
2026-06-30Q2 2026 (3M)OK777.8
y/y 2.3%
529.2
y/y 3.0%
233.0
y/y 0.5%
762.2
y/y 2.3%
155.7
y/y -42.0%
364.1-77.622300.4
y/y 2.1%
12022.4
y/y 0.6%
5.3%8944.1
2026-03-31Q1 2026 (3M)OK770.3
y/y 3.3%
517.5
y/y 4.3%
233.1
y/y 7.0%
750.6
y/y 5.1%
325.7
y/y 37.7%
418.9-336.822127.0
y/y 4.3%
11490.9
y/y -3.6%
11.3%9239.0
2025-12-31Q4 2025 (3M)OK767.9
y/y 3.7%
509.4
y/y 5.5%
233.4
y/y 8.3%
742.8
y/y 6.4%
166.0
y/y -41.2%
400.4-359.722192.1
y/y 5.7%
11611.3
y/y -2.8%
9.0%9141.4
2025-09-30Q3 2025 (3M)OK766.8
y/y 4.4%
503.8
y/y 4.8%
230.4
y/y 8.6%
734.2
y/y 6.0%
381.3
y/y 2.4%
477.00.021949.2
y/y 3.0%
11937.9
y/y 0.4%
4.3%8602.3
2025-06-30Q2 2025 (3M)OK760.2
y/y 4.7%
513.7
y/y 6.3%
231.7
y/y 12.0%
745.4
y/y 8.0%
268.7
y/y 5.8%
377.80.021837.9
y/y 3.8%
11947.7
y/y 1.8%
9.0%8557.3
2025-03-31Q1 2025 (3M)OK745.9
y/y 4.6%
496.4
y/y 3.6%
217.9
y/y 2.6%
714.3
y/y 3.3%
236.6
y/y 36.4%
415.9-237.321215.7
y/y 2.8%
11916.3
y/y 1.7%
7.9%8250.1
2024-12-31Q4 2024 (3M)OK740.5
y/y 5.1%
482.9
y/y 19.3%
215.5
y/y 936.1%
698.4
y/y 64.1%
282.1
y/y 16.5%
328.8-259.421000.7
y/y 1.6%
11941.1
y/y 1.3%
9.1%7968.6
2024-09-30Q3 2024 (3M)OK734.3
y/y 5.3%
480.6
y/y 2.9%
212.1
y/y 5.5%
692.7
y/y 3.7%
372.5
y/y 116.8%
486.20.021308.4
y/y 2.9%
11884.9
y/y 0.9%
4.2%7822.9
2024-06-30Q2 2024 (3M)OK726.0
y/y 5.1%
483.3
y/y 3.8%
206.9
y/y 3.2%
690.2
y/y 3.6%
253.9
y/y -31.0%
380.00.021037.0
y/y 1.1%
11741.5
y/y -0.6%
8.7%7828.2
2024-03-31Q1 2024 (3M)OK712.9
y/y 5.7%
479.1
y/y 3.6%
212.3
y/y -13.5%
691.4
y/y -2.3%
173.4
y/y 18.1%
412.9-207.620640.9
y/y 2.3%
11714.2
y/y 4.9%
5.9%7695.4
2023-12-31Q4 2023 (3M)OK704.7
y/y
404.7
y/y
20.8
y/y
425.5
y/y
242.1
y/y
346.2-210.320678.2
y/y
11783.2
y/y
7.9%7583.9
2023-09-30Q3 2023 (3M)OK697.6
y/y
467.1
y/y
201.0
y/y
668.1
y/y
171.8
y/y
471.30.020702.8
y/y
11777.5
y/y
1.9%7438.4
2023-06-30Q2 2023 (3M)OK690.9
y/y
465.7
y/y
200.5
y/y
666.2
y/y
367.8
y/y
346.50.020806.2
y/y
11815.5
y/y
12.8%7293.1
2023-03-31Q1 2023 (3M)OK674.7
y/y
462.4
y/y
245.4
y/y
707.8
y/y
146.8
y/y
396.1-229.420174.9
y/y
11169.2
y/y
7812.4

Net debt structure (leases included, IFRS 16) 2026-06-30

Long-term debt (incl. LT leases)9 025
− Cash & equivalents81
Net debt8 944

Net debt / LTM EBITDA: 3.0x

Revenue & EBITDA

RevenueEBITDA

Quarterly values ($ mln)

02004006008002024 q12024 q22024 q32024 q42025 q12025 q22025 q32025 q42026 q12026 q2

Year-over-year change

-20%0%20%40%60%2024 q12024 q22024 q32024 q42025 q12025 q22025 q32025 q42026 q12026 q2

Cash flow

FCF ($ mln)

-10001002003004002024 q12024 q22024 q32024 q42025 q12025 q22025 q32025 q42026 q12026 q2

Net debt / cash ($ mln)

02 0004 0006 0008 00010 0002024 q12024 q22024 q32024 q42025 q12025 q22025 q32025 q42026 q12026 q2

Profit and cash

Profit is cash-backed
In a typical year of 2022–2025 operating cash flow came to 1.53x of reported net profit; after capex, 0.52x.
year2022202320242025
cash flow / profit1.25x1.68x1.49x1.58x
accruals, % of assets-1.4%-3.0%-2.5%-2.8%
Last twelve months (to 2026-06-30): 1.61x of profit came back as operating cash flow.
net debt / EBITDA 3.1x · EBIT covers interest 7.8x · capex 1.2x of depreciation
Read from the reported annual statements: cash flow / profit is the median of the yearly operating cash flow over net profit for the years shown; accruals are (profit − operating cash flow) / assets, the classic gap between what was booked and what was collected. A gap can be growth in working capital, capitalised costs, revaluations or profit from associates — the panel points at it, the statements explain it. Not investment advice.

Revenue growth & acceleration

Growth steady →
Last-year revenue growth +4% vs +5% the year before — a -0.9 pp move. 3-year CAGR +5%.
revenue growth by year: 2023 +7% · 2024 +5% · 2025 +4%
The growth-acceleration signal behind the GARP+acceleration strategy — it favours companies whose revenue growth is speeding up and flags those slowing down (the second derivative of growth).

EV/EBITDA — daily history

Current 11.4x · 3-year average 21.3x

EV/EBITDA3-year 75th pct

Dividends

No dividend rows found for this issuer.

Reporting forms detected in loaded periods: (Balance sheet / Profit or loss (P&L) / Cash flows)

Financial results, valuation multiples (P/E, P/B, EV/EBITDA), profitability and dividend yield of US_AVB — from primary filings.

AvalonBay Communities is a real estate investment trust that develops, redevelops, acquires, and manages apartment communities in major metropolitan areas across the United States.

See also: The Cheapest Stocks in the World (2026): What Value Investing Says About Buying Cheap · global valuation map