Zalando SE

TickerZAL.XETRA
Current Price
Zalando SE – stock chart

5-year stock timeline

Zalando 5‑year timeline (2020–2026): concise view of the major events, how investor narrative shifted, and the key technical phases; latest price 19.67.

Major events

Zalando rode the pandemic e‑commerce wave in 2020 — GMV climbed ~30.4% to €10.7bn and adjusted EBIT reached €420.8m, while the company secured roughly €1bn in additional liquidity (including convertibles) to cushion uncertainty.

In March 2021 Zalando raised its mid‑term ambition to >€30bn GMV by 2025 and reshuffled the Management Board as it deepened its pivot toward a platform model.

From 2022–2023 the group contended with a softer consumer environment: FY‑2022 GMV ~€14.8bn with adjusted EBIT around €185m as management prioritized margin progression, and financing included a sizeable convertible bond issuance in the 2023 window.

Investor perception

Early‑2020s sentiment positioned Zalando as a high‑growth e‑commerce winner riding the pandemic acceleration and buoyed by strong 2020 results.

By 2021 the narrative shifted to "platform scale" — investors zeroed in on Partner Program expansion and the thesis that market share could convert into sustainable GMV and profitable scaling.

In 2022–2023 sentiment recalibrated toward profitability and efficiency as analysts rewarded margin recovery, though caution lingered around slower GMV growth and capital dilution risks from financing moves.

Technical phases

The chart showed a strong uptrend through 2020 as online demand surged, supported by solid topline performance and liquidity measures that sustained investor optimism.

Through 2021–2022 the stock drifted into volatile, sideways territory with sharp pullbacks during macro headwinds and a re‑rating as growth expectations normalized and margins took center stage.

From 2023 into 2024 the market priced in margin improvement and adjusted EBIT recovery, with consolidation around a new range as guidance steadied, later reinforced by leadership and finance appointments (CFO appointment announced in 2025, effective 2026) that clarified the corporate roadmap.

Key risks and downside factors

Zalando operates as a leading pan-European online fashion marketplace, positioning itself against fast-fashion pure-plays, local omnichannel retailers, global marketplaces like Amazon, and specialty platforms such as ASOS and Boohoo [8][3]. The company faces meaningful headwinds: margin compression from price-driven competitors, intensifying marketplace competition, and the operational complexity of scaling logistics efficiently across fragmented European markets [8][3].

  • Gross margins are under pressure from low-price marketplaces and ultra-fast fashion platforms—Amazon, Shein, Temu—that compete on price and force constant promotional spending [8][11].
  • Specialized pure-plays and strong local omnichannel retailers are squeezing both customer acquisition and retention, which erodes pricing power and shrinks wallet share [3][8].
  • Expanding pan-European logistics and fulfillment operations (ZEOS and warehousing) are straining both operations and capital. If scale benefits don't materialize as expected, the company risks higher operating expenses and negative operating leverage.
  • Regulatory and marketplace risks across EU markets can materially increase compliance costs and complexity. These span returns and consumer protection rules, data and privacy requirements, and third-party seller disputes.

Competitive landscape

Zalando operates in a crowded European fashion e-commerce landscape where both specialized pure-plays like ASOS and Farfetch, and broader platforms from Amazon and Inditex, compete aggressively on share and price [10][3][23][20][13][14]. This competitive intensity squeezes margins and demands constant investment in logistics, returns infrastructure, customer acquisition, and platform technology just to maintain differentiation [10][3]. Beyond competition, the business carries meaningful inventory and working-capital exposure, contends with apparel's notoriously high return rates, and navigates an expanding web of EU regulatory requirements and ESG/data-privacy obligations that layer in costs and can slow growth momentum [10][9].

Private competitors

  • BestSecret [web:2]
  • Miinto [web:9]
  • VeePee (Vente‑Privée) [web:9]

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Performance Figures of Zalando SE

in EUR

1M High / Low
23.75 / 18.61
52W High / Low
32.60 / 18.61
5Y High / Low
105.90 / 15.95
1M
-15.69%
3M
-6.47%
6M
-11.16%
1Y
-35.76%
3Y
-36.28%
5Y
-77.22%

Relative Performance vs Benchmarks

PeriodZalando SE vs DAX vs S&P 500 (SPY)
1M -15.69% -15.93% -19.22%
3M -6.47% -4.20% -13.96%
6M -11.16% -17.15% -23.13%
1Y -35.76% -37.59% -60.94%
3Y -36.28% -86.66% -118.42%
5Y -77.22% -135.77% -166.55%

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Historical valuation trends

How the company’s key valuation ratios (P/E, P/S, P/B and P/CF) have evolved over time compared to today.

PeriodP/E RatioP/S RatioP/B RatioP/CF Ratio
Current43.20.41.96.1
1Y ago28.50.72.912.6
3Y ago200.90.83.610.6
5Y ago60.12.49.330.4

Frequently Asked Questions

Where is the Zalando SE stock traded?

The Zalando SE stock trades under the ticker ZAL.XETRA on the XETRA exchange. ISIN: DE000ZAL1111.

What does Zalando SE do?

Zalando SE is a company characterized by the following investment thesis:

What are the key metrics for ZAL.XETRA?

Key metrics for ZAL.XETRA include valuation (P/E 24.3, P/S 0.4, P/B 1.8), profitability (profit margin 0.91%, ROE 4.28%), and growth (revenue —, earnings —). Market capitalization is 5.13B EUR. These metrics give an overview of the company's financial performance and valuation.

How has Zalando SE's stock price performed?

Zalando SE's stock has returned — over 1 year, — over 3 years, and — over 5 years. Performance can vary depending on market conditions and company developments.

How is ZAL.XETRA valued?

ZAL.XETRA has the following valuation metrics: P/E Ratio: 24.3, P/S Ratio: 0.4, P/B Ratio: 1.8. These metrics help assess whether the stock is fairly valued compared to its fundamentals.

What are the key risks when investing in ZAL.XETRA?

Key risks for ZAL.XETRA include: Zalando operates as a leading pan-European online fashion marketplace, positioning itself against fast-fashion pure-plays, local omnichannel retailers, global marketplaces like Amazon, and specialty platforms such as ASOS and Boohoo [web:8][web:3]. The company faces meaningful headwinds: margin compression from price-driven competitors, intensifying marketplace competition, and the operational complexity of scaling logistics efficiently across fragmented European markets [web:8][web:3].
  • Gross margins are under pressure from low-price marketplaces and ultra-fast fashion platforms—Amazon, Shein, Temu—that compete on price and force constant promotional spending [web:8][web:11].
  • Specialized pure-plays and strong local omnichannel retailers are squeezing both customer acquisition and retention, which erodes pricing power and shrinks wallet share [web:3][web:8].
  • Expanding pan-European logistics and fulfillment operations (ZEOS and warehousing) are straining both operations and capital. If scale benefits don't materialize as expected, the company risks higher operating expenses and negative operating leverage.
  • Regulatory and marketplace risks across EU markets can materially increase compliance costs and complexity. These span returns and consumer protection rules, data and privacy requirements, and third-party seller disputes.
Investors should consider these risk factors carefully before making an investment decision.

Who are the main competitors of Zalando SE?

Zalando SE competes with several listed peers in its sector. Zalando operates in a crowded European fashion e-commerce landscape where both specialized pure-plays like ASOS and Farfetch, and broader platforms from Amazon and Inditex, compete aggressively on share and price [web:10][web:3][web:23][web:20][web:13][web:14]. This competitive intensity squeezes margins and demands constant investment in logistics, returns infrastructure, customer acquisition, and platform technology just to maintain differentiation [web:10][web:3]. Beyond competition, the business carries meaningful inventory and working-capital exposure, contends with apparel's notoriously high return rates, and navigates an expanding web of EU regulatory requirements and ESG/data-privacy obligations that layer in costs and can slow growth momentum [web:10][web:9].
  • Amazon.com, Inc. (AMZN.NASDAQ)
  • Farfetch Ltd. (FTCH.NYSE)
  • Industria de Diseño Textil (Inditex) (ITX.MC)
These competitors influence pricing power, growth opportunities and relative valuation.

When does Zalando SE report earnings?

Zalando SE's next earnings report date is August 4, 2026.

Key Metrics

Market Capitalization
5.13B EUR
P/E Ratio
24.25
Analyst Target Price

Valuation Metrics

P/S Ratio
0.40
P/B Ratio
1.81

Profitability Metrics

Profit Margin
0.91%
Operating Margin
-2.66%
Return on Equity
4.28%
Return on Assets
2.44%

Growth Metrics

Revenue Growth
Earnings Growth

Dividend history

Long-term record of paid dividends (amount per share and dividend yield at the time of payment).

No dividend data available.

Earnings history & estimates

Historical earnings performance shows how consistently the company meets or exceeds analyst expectations. Forward estimates provide insight into expected profitability and growth trajectory.

Historical earnings performance

31.9%
Beat estimate
61.7%
Miss estimate
+66.41%
Avg surprise when beat
-75%
Avg surprise when miss

Reports analyzed: 47

Upcoming earnings report

August 4, 2026
Next earnings date

Analyst estimates for upcoming periods

Next year
December 31, 2027
Consensus1.86
Range1.37 – 2.23
11 analysts
Est. growth vs prior: 22.43%
Revisions: 7d ↑0 ↓0 · 30d ↑4 ↓6
Next quarter
September 30, 2026
Consensus0.43
Range0.43 – 0.43
1 analysts
Est. growth vs prior: 214.69%
Revisions: 7d ↑1 ↓0 · 30d ↑1 ↓0

Key financial figures

All figures in EUR

Selected income statement, balance sheet and cash flow figures. Annual and quarterly, based on reported IFRS/GAAP financials.

20252024202320222021
Revenue12.35B10.57B10.14B10.34B10.35B
Operating income (EBIT)415.20M391.90M228.80M99.50M415.60M
Net income215.10M251.10M83.00M16.80M234.50M
Free cash flow1.03B447.30M686.30M108.30M283.30M
Total assets9.69B7.98B8.11B7.63B6.90B
Equity2.83B2.67B2.37B2.20B2.22B
Net debt-435.80M-862.30M-681.60M-308.10M-712.90M
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