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Last updated : 24/04/2026 - 17h35
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Haffner Energy's Stock Soars 8% Against a Declining CAC 40

Haffner Energy's stock traded at €0.0564 this Monday afternoon, marking a sharp increase of 8.25% compared to last Friday's close. This surge comes as the CAC 40 drops by 1.01% during the session amidst heightened geopolitical tensions. However, the company specializing in green hydrogen production technologies is still down more than 82% over the year.


Haffner Energy's Stock Soars 8% Against a Declining CAC 40

Current Market Position of Haffner Energy

The stock price of Haffner Energy is currently positioned within its Bollinger Bands, ranging between €0.04 (lower boundary) and €0.07 (upper boundary), indicating a neutral short-term stance with no signs of overbuying or overselling. The RSI at 56 supports this moderate reading, suggesting a slight resurgence in upward momentum without excess.

The stock is at the level of its 20 and 50-day moving averages, both at €0.05, which it is attempting to surpass during this session. The 200-day moving average, significantly higher at €0.17, however, highlights the extent of the discount accumulated over the past year. Despite today's rise, the weekly performance remains negative at -6.62%, while over three months, the stock has rebounded 14.17% from its lows. The nearest resistance is at €0.07, which also corresponds to the upper Bollinger Band: a sustained crossing of this threshold would constitute a notable technical signal.

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The Parisian market is under pressure this Monday: the CAC 40 is down by 1.01% during the session at 8,176.58 points, and the SBF 120 also drops by 1.01%. In this context, the rebound of Haffner Energy stands out from the general market tone, although it is important to note the usual low liquidity of the stock, which amplifies fluctuations.

The next major financial event for the company is scheduled for June 25, 2026, the date of the annual results publication. This milestone will be closely watched to assess the company's ability to deploy its thermolysis technology applied to the production of decarbonized hydrogen, in a green energy sector that struggles to attract capital to smaller listed values. The beta of 0.60 also indicates that the stock remains structurally less reactive than the overall market to general index movements, which moderates the direct impact of macroeconomic events on its stock performance.



Sector Energie · Pétrole et gaz Carburants alternatifs


Assurance vie

The information presented in this article is provided for informational purposes only and does not constitute an investment recommendation, an incentive to buy or sell a financial asset, or investment advice. Readers are invited to conduct their own research before making any decision.

Investments in the stock market involve risks, including the risk of capital loss. Past performance of an asset or market is no guarantee of future results. Any investment decision should be made taking into account your personal financial situation, objectives and risk tolerance.

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