Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Icade SA is a diversified French real estate investment trust (REIT) headquartered in the Paris area, specializing in commercial property investment and development. Founded in 1954 as a subsidiary of Caisse des Dépôts et Consignations, it manages a portfolio valued at approximately €6.4 billion in fully owned assets as of late 2024, encompassing offices, business parks, healthcare facilities, shopping centers, warehouses, and public sector properties. The company operates through key segments including Commercial Property Investment, which focuses on holding, developing, and renting office buildings and business campuses, and Property Development, involving the sale of built assets. Icade SA emphasizes sustainable practices, urban regeneration, and long-term asset management, particularly in healthcare with high-occupancy clinics and facilities under stable leases. Major shareholders include the French government via Caisse des Dépôts (39.2%) and Crédit Agricole Assurances (18.85%), underscoring its strong institutional backing. With subsidiaries like Arkadea and ANF Immobilier, Icade SA plays a pivotal role in shaping responsible real estate across France, contributing to eco-friendly urban environments and community-focused projects.
20.60% operating margin is above average. ROIC at 2.52%. Note that capital returns lag the margin, the business may be capital-intensive despite high margins.
Revenue declined 7.6% YoY. The question is whether this is cyclical or a structural shift.
Free cash flow declined 103% versus the prior year, cash generation momentum has weakened. Negative free cash flow of -€5M. The business is consuming cash, not generating it.
Profitability & Returns
Revenue (TTM)
€1.34B
▼ -7.6% YoY
Net Income (TTM)
-€126M
▲ +60.3% YoY
Op. Margin
20.60%
▲ +6.0pp YoY
ROIC
2.52%
▲ +0.8pp YoY
Cash Flow & Balance Sheet
FCF (TTM)
-€5M
▼ -103.1% YoY
Op. Cash Flow (TTM)
€74M
▼ -55.4% YoY
Net Debt
€3.43B
Cash & Equiv.
€918M
3Y CAGR: -5.1%
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