— Fundamental Stock Analysis and Report Card
Located in Arlington, VA, US. At the close of 2020, AvalonBay Communities held a direct or indirect ownership stake in a substantial portfolio encompassing 291 apartment communities. These properties collectively contained 86,025 residential units across 11 states and the District of Columbia. Among these, 18 communities were actively under development, and one was undergoing redevelopment. As an equity REIT, AvalonBay's primary activities involve the development, redevelopment, acquisition, and management of apartment communities. The company strategically targets prominent metropolitan areas such as New England, the New York/New Jersey metro region, the Mid-Atlantic states, the Pacific Northwest, and both Northern and Southern California. Furthermore, AvalonBay is expanding its presence into key growth markets, specifically Southeast Florida and Denver, Colorado.
Revenue, earnings and profitability.
Strong revenue growth and earnings can attract investors, driving the stock price up. Profitability indicates the company's efficiency and sustainability, which impacts investor confidence. Poor performance in these areas can lead to a decrease in stock price.
Revenue History
Earnings History
Margins
Income & Cash Flow analysis.
An income statement shows what a company earned and spent over a period — revenue at the top, costs and expenses in between, and net income at the bottom. A cash flow statement tracks the actual cash moving in and out, across operations, investing, and financing. Read together, they show whether reported earnings are backed by real cash.
Q1 2026 Total ($) | Q1 2026 Margin (%) | |
|---|---|---|
| Revenue | 770.3m +24.4m +3.3% | |
| Gross Income | 521.7m +44.7m +9.4% | 68% +3.8pp +5.9% |
| EBITDA | 278.2m -236.1m -45.9% | 36% -32.8pp -47.6% |
| Operating Income | 218.5m -20.8m -8.7% | 28% -3.7pp -11.6% |
| Net Income | 325.7m +89.1m +37.7% | 42% +10.6pp +33.3% |
| Earnings Per Share | 2.33 +0.7 +40.4% | |
| Operating Cash Flow | 418.9m +3.0m +0.7% | 54% -1.4pp -2.5% |
| Free Cash Flow | 359.0m -8.3m -2.3% | 47% -2.6pp -5.4% |
| Research & Development | n/a n/a n/a | n/a n/a n/a |