Trade Tag Immobilien AG - TEG CFD

Trading Conditions
Spread0.080
Long position overnight fee
Long position overnight fee

Margin. Your investment
€1,000.00
Overnight fee
Charges from full value of position
-0.022099 %
(-€0.88)

Trade size with leverage ~ €5,000.00

Short position overnight fee ~ €4,000.00


-0.022099%
Short position overnight fee
Short position overnight fee

Margin. Your investment
€1,000.00
Overnight fee
Charges from full value of position
-0.000123 %
(-€0.01)

Trade size with leverage ~ €5,000.00

Short position overnight fee ~ €4,000.00


-0.000123%
Overnight fee time21:00 (UTC)
CurrencyEUR
Min traded quantity1
Margin20
Stock exchangeGermany
Commission on trade10%

Information_provided_by_capital
1Our charge for executing your trade is the spread, the difference between the buy and sell price. Please consult the Charges and Fees section of our website for further information

Key Stats
Prev. Close12.175
Open12.125
1-Year Change61.67%
Day's Range12.075 - 12.375

TAG Immobilien Company profile

About TAG Immobilien AG

TAG Immobilien AG is a Germany-based real estate company that focuses on the acquisition, development and management of residential real estate. The geographical focus is on northern and eastern Germany, such as the metropolitan areas of Hamburg and Berlin, as well as on the Salzgitter and Thuringia/Saxony regions and North Rhine-Westphalia.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, TAG Immobilien AG revenues increased 2% to EUR436.9M. Net income applicable to common stockholders increased 45% to EUR570.5M. Revenues reflect rental segment increase of 3% to EUR332.5M, services segment increase of 1% to EUR55.1M, Funds from Operations (FFO) Per Share - increase of 5% to EUR1.24. Net income benefited from rental segment income increase of 5% to EUR230.9M.

Equity composition

02/2006, Rights Issue, 1 new share for every 4 shares held @ EUR 8.5 (Factor: 1.002331). 08/2005, Rights Issue, 1 new share for every 3 shares held @ EUR 7. 07/2006, Rights Issue, 2 new shares for every 1 held @ EUR 8 (Factor: 1.012422). 11/22/2010, Rights Issue, 1 new bond for every 5 shares held @ EUR 7.4 (Factor: 1). (- > Notes section)