Immobiliare Grande Distribuzione SIIQ S.p.A. (IGD) — analisi fondamentale e valutazione

Immobiliare Grande Distribuzione SIIQ S.p.A. e' una societa' quotata del settore Other, ITA, con codice di borsa IGD su MIL.

Immobiliare Grande Distribuzione SIIQ S.p.A. is a key player in Italy's retail real estate sector. IGD owns a rich portfolio of shopping centres located throughout Italy, which are managed by in-house asset, property, facility and leasing management divisions. IGD also acts as a service provider, managing portfolios of institutional third parties. An extensive domestic presence, a solid financial structure, the ability to plan, monitor and manage all phases of a center's life cycle, both freehold and leasehold, as well as ongoing investments in retail and technology innovation, ensure IGD's position as a point of reference in the retail real estate sector. The Company, listed on Borsa Italiana's STAR segment, was the first SIIQ (Società di Investimento Immobiliare Quotata or real estate investment trust) in Italy. IGD's freehold portfolio, valued at more than 1,704.8 million euros at 31 December 2025, includes 8 hypermarkets and supermarkets, 25 shopping malls and retail parks in Italy and a portfolio of shopping centres in 8 Romanian cities, which are managed directly based on the same model used in Italy. The Company also holds 40% of two real estate funds which are comprised of 13 hypermarkets, 4 supermarkets and 2 shopping malls for which IGD manages project, property & facility management activities. Immobiliare Grande Distribuzione SIIQ S.p.A. was incorporated in 1977 in Italy.

Dati di mercato

Analisi quantitativa ForwardAlpha

ForwardAlpha calcola per Immobiliare Grande Distribuzione SIIQ S.p.A. un Value Score, un Growth Score e un Best Score proprietari, ottenuti confrontando la societa' con tutte le altre del suo mercato su valutazione, crescita degli utili e dei ricavi e andamento del prezzo. I punteggi sono riservati agli utenti registrati: l'iscrizione e' gratuita.

Cosa trovi nella scheda

Grafico dei prezzi a cinque anni, rendimenti a una settimana, un mese, sei mesi, dodici mesi, tre e cinque anni, multipli di valutazione, confronto con la media del settore e posizionamento nel proprio mercato di quotazione.

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