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Paramount Group, Inc. (PGRE) Stock Analysis

Real Estate

Paramount Group, Inc.

$6.60

+$0.01 (+0.15%)

Last Updated: December 18, 2025

Price History

Analysis

Company Overview

Paramount Group, Inc. operates as a fully-integrated real estate investment trust headquartered in New York City, owning, operating, managing, acquiring, and redeveloping high-quality, Class A office properties located in select central business district submarkets of New York City and San Francisco. This business model places the company squarely within the Real Estate sector, specifically the REIT - Office industry, which defines its role as a vehicle for generating rental income from commercial real estate assets rather than manufacturing or consumer goods. The company's scale is defined by a market capitalization of $1.57B and an employee count of 316, figures that establish its presence as a mid-to-large cap entity within the specialized office property management landscape. The market cap figure of $1.57B indicates that the market values the company's portfolio of assets and future cash flow potential significantly higher than its book value, reflecting confidence in the stability of its New York and San Francisco locations.

Financial Health

The financial statements for Paramount Group, Inc. do not currently disclose specific figures for revenue, net income, or EBITDA in the available data, meaning the gap between top-line revenue and bottom-line earnings cannot be quantified through these specific metrics in this context. Consequently, the free cash flow is also not disclosed as a specific number, which limits the ability to calculate precise financial flexibility based on reported cash generation versus capital expenditures. While the gross margin, operating margin, and profit margin are listed as unavailable, the absence of these figures prevents a direct analysis of how effectively the company converts sales into profit at each stage of its operational model. The comparison between total cash and total debt cannot be performed with exact precision because both cash and debt figures are listed as unavailable, though the lack of a debt-to-equity ratio suggests that leverage is either negligible or not standardly reported in the current dataset. Without a stated current ratio, the short-term liquidity position relative to current liabilities remains unquantified in this specific factual snapshot. Furthermore, the return on equity and return on assets are not provided, which means management effectiveness in generating returns from shareholder capital and total assets cannot be explicitly evaluated through these specific return metrics.

Valuation Assessment

The trailing twelve-month P/E ratio and the forward P/E ratio are both listed as N/A, implying that either the company does not generate positive earnings in the standard sense required for these ratios or the data is not currently available for calculation. Similarly, the price-to-book ratio is unavailable, which prevents a direct comparison of the market price against the book value per share to determine if the stock trades at a premium or discount relative to its asset base. The price-to-sales ratio and the EV/EBITDA multiple are also not disclosed, limiting the ability to use these alternative valuation metrics to gauge how the market prices the company relative to its revenue generation or operational cash earnings. Regarding price metrics, the stock has traded within a 52-week range with a high of $7.85 and a low of $3.75, indicating a wide trading band of $4.10 that reflects significant volatility in investor sentiment toward the office real estate sector. The beta value is 0.94, which indicates that the stock's price volatility is slightly lower than the broader market, suggesting that the asset class may be less sensitive to general market swings than the average stock.

Growth & Income

The revenue growth and earnings growth rates for the year-over-year period are not available in the provided facts, preventing a determination of whether earnings are growing faster or slower than revenue and what that might imply about the business model. Since specific dividend figures are listed, the dividend yield is 2.3%, while the payout ratio is N/A, meaning the sustainability of this yield relative to earnings cannot be explicitly calculated from the available data points. In the absence of a disclosed payout ratio, the analysis must rely on the stated dividend yield of 2.3% as the primary indicator of income return, without being able to confirm if this payout is supported by a specific earnings multiple. The overall growth and income profile for Paramount Group, Inc. is characterized by a lack of reported growth metrics in the available dataset, paired with a defined dividend yield that offers income exposure, though the specific growth trajectory remains unquantified in this specific factual summary.

Peer Comparison

Paramount Group, Inc. (PGRE) operates in the REIT - Office industry. Here is how it compares to its closest peers by market capitalization:

Company Ticker Market Cap P/E Ratio
Paramount Group, Inc. PGRE $1.57B N/A
BXP, Inc. BXP $10.81B 30.5
Alexandria Real Estate Equities, Inc. ARE $8.45B N/A
Vornado Realty Trust VNO $6.70B 9.0

The REIT - Office industry average P/E ratio is 38.5x. Paramount Group, Inc. trades at a P/E of N/A.

This analysis is AI-generated for informational purposes only and should not be considered financial advice. Data may be delayed or inaccurate. Always do your own research and consult a qualified financial advisor before making investment decisions.

About Paramount Group, Inc.

Headquartered in New York City, Paramount Group, Inc. is a fully-integrated real estate investment trust that owns, operates, manages, acquires and redevelops high-quality, Class A office properties located in select central business district submarkets of New York City and San Francisco. Paramount is focused on maximizing the value of its portfolio by leveraging the sought-after locations of its assets and its proven property management capabilities to attract and retain high-quality tenants.

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Key Statistics

Market Cap
$1.57B
P/E Ratio
N/A
52-Week High
$7.85
52-Week Low
$3.75
Avg Volume
2.67M
Beta
0.94
Dividend Yield
2.30%

Data provided by Yahoo Finance via yfinance. Updated daily.

Company Info

Exchange
NYSE
Country
United States
Employees
316