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13F Pro Quality Score

57.5/100

Rank #1,034 of 2,879 stocksTOP 50%

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Rankings refresh quarterly once 80% of peers have filed (~45 days after quarter-end). Next update: ~Aug 14, 2026.

Revenue Growth

22.9/100

Profitability

99.9/100

Balance Sheet

72.3/100

Earnings Quality

67.4/100

Free Cash Flow

99.9/100

Institutional Flow

4.5/100

Revenue Scale

2.8/100

Dilution Risk

60.8/100

AVB Stock Analysis & AI Quality Score

AI stock analysis and institutional research for AVALONBAY COMMUNITIES INC (AVB), a Real Estate sector company. 13F Pro's AI-powered ranking engine scores AVB at 57.5/100 on a 32-signal composite quality model, placing it at rank #1,034 of 2,879 stocks — the top half of the AI-ranked universe. AVB scores in the top quartile across profitability (99.9), free cash flow (99.9). Areas of concern include revenue scale (2.8) and institutional flow (4.5), which score below median versus the broader universe. Based on the latest XBRL financial filings (Q1 2026), AVALONBAY COMMUNITIES INC reports quarterly revenue of $770.3M, net income of $325.7M, free cash flow of $418.9M. Top institutional holders of AVB by reported 13-F value include BlackRock,, VANGUARD PORTFOLIO MANAGEMENT, STATE STREET, based on the most recent SEC filings. AVB trades on the NYSE exchange and files with the SEC under CIK 915912. 13F Pro's AI research platform runs 10 specialized AI analysts — value, growth, momentum, macro, and activist specialists — that debate AVB daily and publish AI-generated analysis with cited SEC sources. The platform aggregates historical XBRL financial facts, 10-Q and 10-K filings, insider Form 4 transactions, and institutional 13-F holdings for AVALONBAY COMMUNITIES INC directly from SEC EDGAR. AVALONBAY COMMUNITIES INC's 13F Pro composite quality score has ranged between 8 and 87 since 2021, currently 57.5 — a declining long-term trajectory across 56 quarterly and live scoring snapshots.

Revenue

Q1 2026

$770.3M

Net Income

Q1 2026

$325.7M

Free Cash Flow

Q1 2026

$418.9M

ROIC

Q1 2026

2.5%

D/E Ratio

Q1 2026

0.81

Revenue & Net Income

Earnings Per Share

Key Financials Over Time

Export Financial Table · Pro+

Revenue

+4.4% YoY
$3.04BFY 2025
FY19 $2.32BFY23 $2.77BFY24 $2.91BFY25 $3.04B

Net Income

FY 2025
FY19 FY23 $928.8MFY24 $1.08BFY25

Operating Income

+5.8% YoY
$2.02BFY 2025
FY19 $1.55BFY23 $1.79BFY24 $1.91BFY25 $2.02B

EPS (Diluted)

-2.6% YoY
$7.40FY 2025
FY19 $5.63FY23 $6.56FY24 $7.60FY25 $7.40

Total Assets

+5.7% YoY
$22.19BFY 2025
FY19 $19.12BFY23 $20.68BFY24 $21.00BFY25 $22.19B

Total Debt

+15.5% YoY
$9.33BFY 2025
FY19 $7.36BFY23 $7.98BFY24 $8.08BFY25 $9.33B

Op. Cash Flow

+3.9% YoY
$1.67BFY 2025
FY19 $1.32BFY23 $1.56BFY24 $1.61BFY25 $1.67B

AI Insight: AVB Financial Trends

AVB revenue grows steadily to $770M in Q1 2026, but total debt has surged to $9,360M — up $986M in four quarters — compressing equity to a new low of $11,491M.

Revenue rose consecutively from $726M in Q2 2024 to $770M in Q1 2026, a 6% increase over seven quarters.

Operating income climbed from $490M in Q2 2024 to $517M in Q1 2026, reflecting steady margin improvement.

Total debt expanded from $8,077M in Q4 2024 to $9,360M in Q1 2026, a $1,283M increase in just five quarters.

Equity declined from $11,948M in Q2 2025 to $11,491M in Q1 2026, a $457M erosion in three quarters.

Debt-to-equity ratio is deteriorating as debt hits $9,360M while equity falls — leverage trajectory warrants close monitoring.

Operating cash flow remains volatile, ranging from $329M to $486M across quarters; Q1 2026 of $419M is mid-range.

Net income of $326M in Q1 2026 vs. $195M in Q4 2025 shows sharp quarterly swings — earnings quality needs scrutiny.

AI Insight: AVB Ratio Trends

Operating margin has stabilized in the 64–68% range, but ROIC appears to have re-based sharply lower — from ~24% in late 2024 to ~10% in recent quarters.

Operating margin peaked at 68.5% in Q1 2025 and slipped to 67.2% in Q1 2026, a modest but steady compression.

ROIC dropped dramatically from 24.7% in Q4 2024 to 9.9% in Q1 2026, suggesting a significant methodology or capital base shift.

D/E edged up from 0.72 in Q2 2025 to 0.81 in Q1 2026, indicating modest incremental leverage over three quarters.

Net profit margin recovered from 25.4% in Q4 2025 to 42.3% in Q1 2026, consistent with seasonal earnings patterns.

The ~15pp ROIC collapse between Q1 2025 and Q2 2025 is the key data gap to resolve — likely reflects a capital base change or methodology shift.

D/E rising to 0.81 while ROIC sits near 9.9% narrows the spread between return on capital and cost of debt — watch for further leverage increases.

Q4 2025 NPM of 25.4% vs. Q1 2026 NPM of 42.3% highlights material quarterly earnings volatility — one-off items warrant scrutiny.

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Available Research

13F Pro tracks comprehensive data for AVALONBAY COMMUNITIES INC including:

SEC EDGAR filings (10-K, 10-Q, 8-K)
XBRL financial facts (revenue, EPS, margins)
Insider transactions (Form 4)
Institutional 13F holdings
Quality rankings (32 signals)
AI analyst debates & daily meetings
Historical financial trends
Peer comparison & sector analysis

Top Institutional Holders of AVB

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Is AVB a good stock to buy?

13F Pro's AI-powered analysis of AVALONBAY COMMUNITIES INC (AVB) draws on SEC EDGAR-sourced fundamentals, institutional 13F holdings, and insider Form 4 transactions in the Real Estate sector (listed on NYSE). The 32-signal AI Quality Score, current rank, and full bull/bear verdict for AVB are available on the AVB stock profile dashboard — with the same data, AI insights, ratios, and institutional activity refreshed after every 10-K, 10-Q, 13F, and Form 4 filing.

Which hedge funds own AVB?

Institutional investors are required to disclose their holdings quarterly via SEC Form 13F. 13F Pro aggregates these filings to show which hedge funds, mutual funds, and asset managers are buying or selling AVB. Combined with insider transaction data from Form 4 filings and AI-powered analysis from 10 specialized research agents, 13F Pro provides a comprehensive view of AVALONBAY COMMUNITIES INC's investment landscape.