Danone Shares Jump 4.68% at Close After Target Revisions
Danone shares showed a marked rebound on Monday, February 2, 2026, climbing 4.68%. This upward movement comes in a context where several analysts have adjusted their expectations for the stock, while maintaining a favorable discourse. However, the agribusiness giant has been under pressure for the past three months, with a decline of more than 10%.
The recent adjustments by analysts reflect a cautious reevaluation of the group's prospects. Morgan Stanley lowered its price target from 87 to 75 euros on January 29, yet maintained its 'overweight' recommendation. This target now implies a limited upside potential of about 8.8% compared to the current price. Two days earlier, Oddo BHF also revised its estimate, reducing its target from 84 to 79 euros while maintaining an 'outperform' rating. Despite these downward adjustments, both institutions continue to favor the case, showing relative confidence in the group's ability to recover. These revisions occur as the stock struggles to regain its fundamental momentum, showing a decline of 10.12% over three months.
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Technically, Danone is operating in a delicate environment. The RSI is at 12, an extreme oversold level suggesting that the stock might be oversold in the short term, which partly explains the rebound observed today. However, the stock remains significantly below its moving averages: the MM50 is at 74.95 euros and the MM200 at 73.74 euros, levels that represent potential resistance zones. The support identified at 65.84 euros, corresponding to last Friday's session low, held well, allowing this rebound. The major resistance remains set at 78.26 euros, still nearly 13.5% away. The monthly volatility of nearly 10% and a negative beta of -0.05 indicate some instability as the group prepares to publish its annual 2025 results on February 20.
SectorAgroalimentaire · Grande consommation›Produits alimentaires
Context
Period
Period: 1T2026
Key reported figures
Revenue: 6708M€
Guidance from the release
La performance du premier trimestre confirme, une nouvelle fois, la résilience, la solidité et la pertinence de notre portefeuille axé sur la santé.
Chiffre d'affaires en baisse de -2,0% en données publiées, mais croissance solide de +2,7% en données comparables.
Risks mentioned
Impact des rappels de laits infantiles en Europe sur la Nutrition Spécialisée.
Conflit au Moyen-Orient influençant la performance en EMEA.
Dépréciation de plusieurs devises par rapport à l'euro.
Opportunities identified
Acquisition de Huel renforçant notre présence dans la nutrition fonctionnelle.
Création d'une joint-venture avec Arcor ouvrant des opportunités dans les produits laitiers.
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.