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Valuation: Stockland

Market Cap 10.33B 7.31B 6.3B 5.8B 5.45B 10.23B 691B 68.55B 26.71B 338B 27.43B 26.85B 1,173B P/E Ratio 2026 *
11.8x
P/E Ratio 2027 * 11.3x
Enterprise Value 15.38B 10.88B 9.37B 8.63B 8.11B 15.22B 1,028B 102B 39.74B 504B 40.82B 39.96B 1,745B EV / Sales 2026 *
3.85x
EV / Sales 2027 * 3.9x
Free-Float
99.81%
Yield 2026 *
5.9%
Yield 2027 * 5.89%
1 week+14.33%
Current month+1.53%
1 month+9.09%
3 months-7.56%
6 months-18.57%
Current year-18.10%
1 week 2.39
Extreme 2.387
2.71
1 month 2.24
Extreme 2.24
2.71
3 years 2.14
Extreme 2.1355
3.74
5 years 2.04
Extreme 2.043
3.74
10 years 1.01
Extreme 1.0118
3.74
Manager TitleAgeSince
Chief Executive Officer 56 01/06/2021
Director of Finance/CFO - 04/08/2025
Chief Investment Officer - 01/11/2021
Director TitleAgeSince
Chairman 68 26/10/2016
Director/Board Member 66 01/07/2017
Director/Board Member 57 18/05/2018
Change 5-day change 1-year change 3-year change Capi.($)
0.00%+14.33%-14.00%+1.19% 7.31B
+252.94%-99.80%-99.74% - 95.45B
-1.97%-1.38%+31.50%+11.70% 43.25B
-1.48%-3.78%+22.98%+0.79% 31.99B
-0.79%-0.24%+52.56%+137.80% 31.47B
+2.44%+13.74%+0.24%+92.65% 29.6B
-0.88%-1.94%+11.30%+60.08% 25.91B
-2.55%-4.36%+7.50%-16.01% 21.36B
-0.90%+0.86%+20.88%+91.51% 20.45B
-1.85%+1.02%+35.94%+1.54% 20.73B
Average +27.20%+1.79%+6.92%+42.36% 35.58B
Weighted average by Cap. +74.70%+1.31%-12.94%+46.26%

Financials

2026 *2027 *
Net sales 3.99B 2.82B 2.43B 2.24B 2.1B 3.95B 267B 26.47B 10.31B 131B 10.59B 10.37B 453B 3.99B 2.82B 2.43B 2.24B 2.1B 3.95B 267B 26.47B 10.31B 131B 10.59B 10.37B 453B
Net income 863M 610M 526M 484M 455M 854M 57.69B 5.72B 2.23B 28.25B 2.29B 2.24B 97.9B 916M 648M 558M 514M 483M 906M 61.26B 6.08B 2.37B 30B 2.43B 2.38B 104B
Net Debt 5.04B 3.57B 3.07B 2.83B 2.66B 4.99B 337B 33.46B 13.03B 165B 13.39B 13.11B 572B 5.23B 3.7B 3.19B 2.94B 2.76B 5.18B 350B 34.72B 13.52B 171B 13.89B 13.6B 594B
Logo Stockland
Stockland Corporation Limited is an Australia-based creator and curator of connected communities. The Company is a diversified property group in Australia. It owns, funds, develops and manages portfolios of residential and land lease communities, retail town centers, and workplace and logistics assets. The Company's segments include Development, Investment Management, and Other. The Development segment develops a range of assets including residential properties, commercial properties and mixed-use assets. The Investment Management segment invests in and manages commercial properties and residential investment properties, manages capital investments, and earns management income for services performed. The Company sector includes masterplanned communities, land lease communities, town centre, logistics, and workplaces. It comprises investments and asset management across all asset classes, property management, leasing and funds management of its capital partnership platform.
Employees
-
Date Price Change
17/06/26 2.628 0.00%
16/06/26 2.628 -2.95%
15/06/26 2.708 +5.62%
12/06/26 2.564 +2.58%
11/06/26 2.500 +4.73%
Trader
Investor
Global
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
10
Last Close Price
4.260AUD
Average target price
4.974AUD
Spread / Average Target
+16.76%

Annual profits - Rate of surprise

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