AVB- AvalonBay Communities Inc
Real Estate · REIT - Residential
Price & Performance
Performance
Analysis & Verdict
Analyst Ratings
HoldWall Street consensus from 17 analysts
12-Month Price Target
$201.71
Based on analyst estimates; price targets are opinions, not guarantees.
Fair Value Estimates
Current price: $184.06
Graham Number
√(22.5 × EPS × Book Value)
$117.97
Benjamin Graham's intrinsic value formula. Assumes a fair stock trades at no more than 22.5× the product of EPS and book value per share.
Bazin Ceiling Price
Avg. Annual DPS (5Y) ÷ 6%
N/A
Décio Bazin's dividend-based ceiling. The max price you should pay so that dividends alone deliver at least 6% annual yield on your cost basis.
These are simplified estimates. Not financial advice.
Buy & Hold Checklist
Quality criteria for long-term holding
4/10
44% score
Pays dividends
No dividend history found
Dividend consistency (5Y+)
Uninterrupted dividend payments for at least 5 years
ROE above 10%
8.5%Return on equity - measures how efficiently capital is used
Positive profit margin
33.3%Net profit margin must be positive - company earns more than it spends
Revenue growth (annual)
+2.3%Annual revenue must be growing compared to the prior year
Earnings growth (annual)
-41.3%Annual earnings must be growing compared to the prior year
Debt/Equity below 2×
75.13×Low financial leverage reduces risk of distress
Current ratio above 1
0.34×Short-term assets must cover short-term liabilities
Daily liquidity above $5M
$633M/dayHigh trading volume ensures easy entry and exit
Dividend yield above 0%
3.87%Stock must distribute income to shareholders
Financials
Revenue & Results
Key Statistics
Earnings
Next Earnings
Oct 28, 2026
46
days
EPS (TTM)
$7.29
P/E (TTM)
25.2
Fwd P/E
36.8
SEC Filings & Reported Financials
Earnings History
SEC EDGAR · official filings
SEC Filings
Official EDGAR documents
Insider Transactions
SEC Form 4 · officers, directors & 10% owners
Dividends & Income
Dividends
This stock does not pay dividends.
Dividend Calculator
3.87% yieldEstimate AVB dividend income at the current rate.
Per year
$386.83
Per month
$32.24
≈ 54.3 shares at $7.12/share a year. Estimate only - dividends can be cut or raised.
Tools & Simulators
AVB vs Peers, Indexes & Commodities
?Click a card below to plot it on the chart
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Parameters
Final value
$426,404.61
Total invested
$130,000.00
Total interest
$296,404.61
Balance over time
Period breakdown
| Period | Balance | Invested | Interest |
|---|---|---|---|
| Start | $10,000.00 | $10,000.00 | $0.00 |
| Year 1 | $17,270.27 | $16,000.00 | $1,270.27 |
| Year 2 | $25,267.56 | $22,000.00 | $3,267.56 |
| Year 3 | $34,064.59 | $28,000.00 | $6,064.59 |
| Year 4 | $43,741.32 | $34,000.00 | $9,741.32 |
| Year 5 | $54,385.72 | $40,000.00 | $14,385.72 |
| Year 6 | $66,094.55 | $46,000.00 | $20,094.55 |
| Year 7 | $78,974.28 | $52,000.00 | $26,974.28 |
| Year 8 | $93,141.97 | $58,000.00 | $35,141.97 |
| Year 9 | $108,726.44 | $64,000.00 | $44,726.44 |
| Year 10 | $125,869.35 | $70,000.00 | $55,869.35 |
| Year 11 | $144,726.56 | $76,000.00 | $68,726.56 |
| Year 12 | $165,469.48 | $82,000.00 | $83,469.48 |
| Year 13 | $188,286.70 | $88,000.00 | $100,286.70 |
| Year 14 | $213,385.63 | $94,000.00 | $119,385.63 |
| Year 15 | $240,994.47 | $100,000.00 | $140,994.47 |
| Year 16 | $271,364.18 | $106,000.00 | $165,364.18 |
| Year 17 | $304,770.87 | $112,000.00 | $192,770.87 |
| Year 18 | $341,518.22 | $118,000.00 | $223,518.22 |
| Year 19 | $381,940.31 | $124,000.00 | $257,940.31 |
| Year 20 | $426,404.61 | $130,000.00 | $296,404.61 |
What is compound interest?
Compound interest means that the interest you earn in one period is added to your principal, so in the next period you earn interest on a larger base. This creates exponential growth: the longer your time horizon, the more dramatic the effect.
Which rate should I use?
The S&P 500 has historically returned ~10%/year before inflation over long periods - use this for an all-equity US index fund scenario. A balanced growth portfolio (stocks + bonds) is closer to 7%. High-yield savings accounts (HYSA) are currently paying around 4-5% with FDIC insurance and zero market risk. Bonds historically return ~4% annualized.
Formula used
FV = PV × (1+r)^n + PMT × ((1+r)^n − 1) / rwhere r is the monthly rate, n is the number of months, PV is the initial investment, and PMT is the monthly contribution. Annual rates are converted to monthly viar = (1 + annual%)^(1/12) − 1.
For educational purposes only. Not financial advice. Past returns do not guarantee future results.
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About AvalonBay Communities Inc
AvalonBay Communities, Inc., a member of S&P 500, is an equity REIT. The firm develops, redevelops, acquires and manages apartment communities in leading metropolitan areas in Boston, Massachusetts, the New York/New Jersey Metro area, the Mid-Atlantic, Seattle, Washington, and Northern and Southern California, as well as in the Company's expansion regions of Raleigh-Durham and Charlotte, North Carolina, Southeast Florida, Dallas and Austin, Texas, and Denver, Colorado. As of June 30, 2026, the Company owned or held a direct or indirect ownership interest in 322 apartment communities containing 99,072 apartment homes in 11 states and the District of Columbia, of which 27 communities were under development and one community was under redevelopment. AvalonBay Communities, Inc. was incorporated in 1978 in Maryland and is based in Arlington, Virginia.
Sector
Real Estate
Industry
REIT - Residential
Location
Arlington, United States
Employees
3,011
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AvalonBay Communities Inc (AVB) stock trades at $184.06. With a market capitalization of $26.28 billion, AVB is a large-cap real estate stock. It trades at a price-to-earnings (P/E) ratio of 25.2, a forward P/E of 36.8 and earnings per share (EPS) of $7.29. Over the most recent period the company reported 2% year-over-year revenue growth and a net profit margin of 33.3%. Below you'll find AVB's full fundamentals, fair-value estimates, dividend history, earnings and our buy, hold or avoid verdict for 2026.
AVB - Frequently Asked Questions
Is AvalonBay Communities Inc (AVB) a good stock to buy in 2026?
AvalonBay Communities Inc (AVB) shows strengths such as a strong 33% net margin, while risks include high leverage (debt/equity of 75.1). Whether AVB is a good buy in 2026 depends on your time horizon and risk tolerance - review the full bull case, bear case and fair-value estimates above. This is informational analysis, not financial advice.
What is AVB's stock price today?
AvalonBay Communities Inc (AVB) trades at $184.06. Prices on this page update throughout the trading day.
Does AVB pay a dividend?
Yes. AvalonBay Communities Inc pays an annual dividend of $7.12 per share, a dividend yield of 3.87%. The most recent ex-dividend date was June 30, 2026. Its payout ratio is about 97% of earnings.
Is AVB overvalued?
With a P/E ratio of 25.2×, AVB is valued above the broad-market average for the real estate sector. Its PEG ratio is 7.17. See the Fair Value Estimates section above for Graham Number and dividend-based price targets.
What is AVB's market cap?
AvalonBay Communities Inc (AVB) has a market capitalization of $26.28 billion, classifying it as a large-cap stock in the Real Estate sector.
Disclaimer: This page - including any buy/hold/avoid view, fair value or price estimate - is generated from market data for informational and educational purposes only and does not constitute financial, investment or trading advice. Data may be delayed or inaccurate. Always do your own research and consult a licensed financial advisor before making any investment decision.