Valuation: Cromwell Property Group

Capitalization 1.07B 753M 650M 586M 563M 1.03B 69.24B 6.93B 2.78B 33.2B 2.83B 2.77B 119B P/E ratio 2026 *
13.7x
P/E ratio 2027 * 13.7x
Enterprise value 1.73B 1.22B 1.05B 947M 909M 1.66B 112B 11.2B 4.49B 53.62B 4.57B 4.47B 192B EV / Sales 2026 *
9.64x
EV / Sales 2027 * 9.54x
Free-Float
51.44%
Yield 2026 *
7.32%
Yield 2027 * 7.6%
1 week-7.87%
Current month-7.87%
1 month-2.38%
3 months-14.58%
6 months-8.89%
Current year-10.87%
1 week 0.4
Extreme 0.4
0.44
1 month 0.4
Extreme 0.4
0.46
Current year 0.4
Extreme 0.4
0.48
1 year 0.34
Extreme 0.335
0.5
3 years 0.31
Extreme 0.31
0.68
5 years 0.31
Extreme 0.31
0.96
10 years 0.31
Extreme 0.31
1.34
Manager TitleAgeSince
Chief Executive Officer 55 05/10/2021
Director of Finance/CFO - 01/01/2024
Chief Operating Officer - 01/01/2024
Director TitleAgeSince
Director/Board Member 58 21/10/2019
Director/Board Member 65 21/10/2019
Chairman 73 17/03/2021
Change 5d. change 1-year change 3-years change Capi.($)
0.00%-7.87%+7.89%-40.15% 753M
+1.26%-2.35%+16.02%-2.90% 2.87B
-0.29%-6.05%+59.66%-12.21% 2.69B
-0.63%-3.75%+8.09%-14.44% 2.65B
-0.18%-2.93%+1.44%+0.98% 2.13B
+0.65%-1.62%+3.63%+30.80% 1.05B
-0.67%-6.28%-1.97%-14.94% 967M
+1.52%+6.35%+59.52%+59.52% 944M
+0.98%-1.71%+18.35%+1.38% 837M
-2.38%-9.26% - - 657M
Average +0.03%-3.26%+19.18%+0.89% 1.56B
Weighted average by Cap. +0.10%-3.34%+20.83%-2.17%

Financials

2026 *2027 *
Net sales 180M 126M 109M 98.2M 94.23M 172M 11.6B 1.16B 465M 5.56B 474M 463M 19.89B 191M 134M 116M 104M 100M 183M 12.33B 1.23B 495M 5.91B 504M 493M 21.15B
Net income 77M 54.03M 46.58M 42.05M 40.35M 73.58M 4.97B 497M 199M 2.38B 203M 198M 8.52B 78M 54.73M 47.19M 42.6M 40.87M 74.53M 5.03B 504M 202M 2.41B 205M 201M 8.63B
Net Debt 660M 463M 400M 361M 346M 631M 42.58B 4.26B 1.71B 20.42B 1.74B 1.7B 73.03B 750M 526M 454M 410M 393M 717M 48.36B 4.84B 1.94B 23.19B 1.98B 1.93B 82.95B
Logo Cromwell Property Group
Cromwell Property Group is an Australia-based real estate investor and fund manager. The Company's segments include Funds and asset management and Investment portfolio. Its Fund management segment represents activities in relation to the establishment and management of external funds for institutional and retail investors. Asset management includes property and facility management, leasing and project management and development related activities. The Investment portfolio segment involves the ownership of investment properties located in Australia. The Company’s properties include HQ North Tower, Brisbane, Queensland; 475 Victoria Avenue, Chatswood, New South Wales (NSW); Qantas HQ, Sydney; 207 Kent Street, Sydney, and others.
Employees
-
Date Price Change Volume
06/03/26 0.4100 $ 0.00% 981,088
05/03/26 0.4100 $ 0.00% 1,815,582
04/03/26 0.4100 $ -1.20% 3,266,783
03/03/26 0.4150 $ -2.35% 4,390,218
02/03/26 0.4250 $ -4.49% 3,062,618
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
2
Last Close Price
0.4100AUD
Average target price
0.5650AUD
Spread / Average Target
+37.80%

Quarterly revenue - Rate of surprise