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Last updated : 24/04/2026 - 17h35 (last close)
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Ayvens Stock: Diverging Opinions at Market Close

At the close of Wednesday, January 28, 2026, Ayvens recorded a slight decline to 12.16 euros, dropping by 0.49%. This decrease follows a favorable sequence, with the stock having increased by 4.38% over the past week. The mobility management company shows a significantly positive annual performance.


Ayvens Stock: Diverging Opinions at Market Close

Mixed Analyst Ratings

The long-term rental specialist has elicited diverging opinions among investment banks. On January 22, Citi raised its price target from 10 euros to 11 euros, while maintaining a neutral recommendation. This target suggests a potential decrease of 9.5% from the current price. On the other hand, UBS holds a more optimistic stance. The Swiss institution set a target of 14 euros on January 16, confirming its buy advice. This valuation implies a potential increase of 15.1% from current levels, reflecting strong confidence in the car rental company's prospects.

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Technically, Ayvens is trading above its 20-day moving average, which is positioned at 11.81 euros. This setup suggests a favorable short-term trend, despite the slight drop on the day. The 14-day RSI is at 52, indicating a balanced position without overbuying or overselling, allowing for movements in both directions. The contained monthly volatility at 7.32 demonstrates a relative stability in fluctuations. The stock particularly showcases an impressive record over twelve months with a rise of 71.51%, reflecting growing investor interest in this file. Over three months, the increase has already reached 18.06%.



Sector Services financiers Services de location et de leasing


Assurance vie

Context

Period
  • Period: 3T 2025
Guidance from the release
  • delivering value to shareholders
  • Résultats solides : résultat net part du groupe 273 millions d’euros (+85,9 %), gross operating income 651 millions d’euros (+17,6 %) ; Leasing and Services margins 776 millions d’euros ; confirmation de l’intégration ALD LeasePlan et de la trajectoire de synergies ; programme de rachat de 360 millions d’euros et distribution totale annoncée 700 millions d’euros.
Risks mentioned
  • Évolution des earning assets : -1,0 % vs septembre 2024
  • Baisse des contrats de flotte : -3,7 % vs T3 2024
  • Cost of risk : 22 points de base
  • Net prospective depreciation : -80 millions d’euros
Opportunities identified
  • Objectif de synergies 2025 : 251 millions d’euros
  • Synergies réalisées depuis l’intégration : 104 millions d’euros
  • EV penetration (immatriculations passagers) élevée : 39 %

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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