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![]() Colonial SFL Socimi S.A.COL SM · Real Estate · EUR Current priceEUR 5.12as of Sep 21, 2026 Summary
Analyst consensusStrong Buy 1Buy 7Hold 5Sell 1Strong Sell 317 analysts 3-year price (EUR)Market data
Business descriptionColonial SFL Socimi S.A. (COL) is the leading platform in Europe's prime commercial real estate market, with a presence in the main business districts of Barcelona, Madrid, and Paris. It operates as an office REIT focused on high-quality, centrally located commercial properties. Competitive moatDominant ownership of prime, irreplaceable office assets in Barcelona, Madrid, and Paris central business districts. Prime-location concentration creates high barriers to entry, though office demand cycles and rate sensitivity remain structural headwinds. Recent developments
Investment risks / red flags
Financials
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Last updated: Aug 10, 2026
Current price: EUR 5.12 · Sep 21, 2026· EUR
TBI Multi Score69
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Price Chart (TradingView)
Symbol: BME:COLBusiness description
Colonial SFL Socimi S.A. (COL) is the leading platform in Europe's prime commercial real estate market, with a presence in the main business districts of Barcelona, Madrid, and Paris. It operates as an office REIT focused on high-quality, centrally located commercial properties.
Competitive moat
Dominant ownership of prime, irreplaceable office assets in Barcelona, Madrid, and Paris central business districts. Prime-location concentration creates high barriers to entry, though office demand cycles and rate sensitivity remain structural headwinds.
Recent developments
- HOLD maintained: CFRA keeps a 3-star Hold, citing fair valuation at a 10.6x trailing P/E with a 4.8% yield.
- Scorecard: SPGMI Quality Ranking B; Relative Strength Rank MODERATE (44/99); Street opinions 7 Buy / 2 Buy-Hold / 5 Hold / 4 Hold-Sell / 0 Sell.
Investment risks / red flags
- Office sector cyclicality: Exposure to softening office demand and occupancy risk in post-pandemic hybrid-work environment.
- Rate sensitivity: As a leveraged REIT (debt % cap not disclosed), rising rates pressure valuations and refinancing.
- Beta 1.50: High volatility vs broader market.
Market Data
Source: mkts.io · Sep 21, 2026, 22:00 UTC
Key Metrics
P/E (TTM)9.65
P/E (Fwd)13.79
Dividend6.29%
Beta1.23
52W HighEUR 5.84
52W LowEUR 4.84
Analyst Consensus
7
5
3
Strong Buy1Buy7Hold5Sell1Strong Sell317 analysts
Consensus TargetEUR 6.48
+26.7% upside
Calendar Events
Next EarningsNov 12, 2026
Ex-DividendJul 9, 2026
Financials
RevenueEUR 435.99M
Rev Growth3.70%
Earnings Growth-11.00%
Gross Margin100.00%
Op Margin73.97%
Profit Margin74.55%
EBITDAEUR 339.24M
ROA1.68%
ROE5.42%
Rev/ShareEUR 0.71
Total CashEUR 389.21M
Total DebtEUR 5.10B
D/E Ratio74.86
Free Cash FlowEUR 141.35M
Op Cash FlowEUR 265.13M
Current Ratio0.55
Forward Estimates
| Period | EPS Est | Rev Est |
|---|---|---|
| 0q | 0.09 | EUR 103.45M |
| +1q | 0.09 | EUR 104.56M |
| 0y | 0.35 | EUR 414.61M |
| +1y | 0.37 | EUR 441.92M |
Earnings
Quarterly EPS
3Q2025
Est: 0.090.08Miss
4Q2025
Est: 0.090.09Miss
1Q2026
Est: 0.090.09Miss
2Q2026
Est: 0.090.09Beat
Annual
2022
Rev EUR 354.00MEarn EUR 8.00M
2023
Rev EUR 377.00MEarn -EUR 1.02B
2024
Rev EUR 391.00MEarn EUR 307.39M
2025
Rev EUR 399.00MEarn EUR 344.00M
