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Exosens Shares Hit New Historic High After Better-Than-Expected 2025 Results

This Monday, Exosens announced its annual 2025 results, revealing that it exceeded its own targets with a 22% increase in revenue. The stock, which had reached a peak of 61.5 euros during the session, however, gave up ground, falling by 2.76% to 59.80 euros, in a profit-taking move after an outstanding year.


Exosens Shares Hit New Historic High After Better-Than-Expected 2025 Results

Impressive Annual Financials Drive Record Highs

Exosens unveiled its annual accounts for the fiscal year 2025 on February 23, posting consolidated revenue of 468.2 million euros. This 22.1% year-over-year increase exceeds the group's set objectives, specializing in detection and imaging technologies. The business momentum was primarily fueled by the defense and surveillance segments, two markets that are expanding rapidly in the current geopolitical context. The stock reached a new all-time high during the session at 61.5 euros, surpassing the previous record set on February 20. The stock performance remains spectacular across different time horizons: it has gained nearly 5.84% over the past week, over 41% in three months, and has soared 150% over twelve months. The release of the first quarter 2026 results, scheduled for April 27, will be the next milestone followed by the market, before the annual general meeting planned for May 22.

Despite Recent Pullback, Upward Trend Persists

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Despite the decline observed this Monday, Exosens' chart configuration remains upward-oriented. The price is significantly above its 50-day moving average, located at 52.90 euros, indicating a well-established bullish trend for several weeks. The nearly 7 euros gap between the current price and this moving average illustrates the magnitude of the recent movement. However, the stock is now facing a resistance zone identified around 60.50 euros, a threshold tested during the session but not sustainably breached. The RSI, an indicator measuring the speed and intensity of price variations, stands at 66, close to the conventionally set overbought zone of 70. This positioning signals that the immediate bullish potential might be more limited in the short term, without questioning the underlying trend. The day's pullback, while the upper Bollinger band is at 61.01 euros, illustrates the difficulty of the stock to break free from these high technical levels without a consolidation phase.



Sector Défense Défense


Assurance vie

Context

Period
  • Period: 9M 2025
Guidance from the release
  • Nous sommes fiers de présenter notre performance sur les neuf premiers mois de l’année 2025, qui témoignent d'une croissance soutenue du chiffre d'affaires et de la marge brute ajustée, portée par la forte dynamique du secteur de la Défense.
  • Marché de la Défense très dynamique, forte demande pour la vision nocturne et les systèmes pour drones/anti-drones, croissance soutenue en Europe avec contribution des États-Unis et de l’Asie-Pacifique. Lancement commercial réussi des tubes 5G (plus de 5 000 commandes avant lancement).
Risks mentioned
  • Cession de l’activité Amplification par Micro-ondes entraînant une perte comptable sans impact de trésorerie en 2025
  • Dépendance aux budgets de Défense et aux évolutions géopolitiques
  • Risque d'intégration des acquisitions récentes
  • Incertitudes de la demande dans les Sciences de la Vie (marché américain)
Opportunities identified
  • Croissance adressable liée à la vision nocturne et aux applications drones/anti-drones
  • Commercialisation des tubes 5G avec commandes significatives (>5 000 tubes)
  • Expansion des capacités de production (+40% d’ici 2027) soutenant le développement commercial
  • Effets de croissance externe (Noxant, NVLS, Phasics) élargissant le marché adressable

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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