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LVMH Stock: Weekly Rebound of Over 9% Despite Quarterly Downtrend

LVMH stock is up 1.35% this Monday morning, trading at 562.20 euros on Euronext Paris. This upward movement extends a significant recovery week, with a gain of 9.34% over seven days. However, the stock remains nearly 10% down over three months and 20% over a year.


LVMH Stock: Weekly Rebound of Over 9% Despite Quarterly Downtrend

Current Market Position of LVMH Stock

LVMH stock is currently trading above its 200-day moving average, which is at 540.72 euros, confirming the maintenance of a medium-term support base. However, the price remains significantly below the 50-day moving average, set at 592.91 euros, a level that acts as an intermediate resistance in the short term. This gap of about thirty euros illustrates the transition phase in which the stock finds itself after several months of decline. The RSI, an indicator measuring the momentum of a movement, is positioned at 55, which is in a slightly upward-oriented neutral zone. This level suggests that the recent rebound has not yet reached an overbought stage, allowing room for fluctuation in both directions. The major technical resistance is located at 652.10 euros, approximately 16% above the current price.

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The financial calendar for the luxury group led by Bernard Arnault includes two notable deadlines in the coming weeks. The shareholders' general meeting is scheduled for April 23, 2026, during which management will present the results of the past fiscal year and the strategic orientations of the group. One week later, on April 30, the detachment of the balance of the dividend for the fiscal year 2025 will take place. Regarding annual performance, the nearly 20% decline recorded over twelve months reflects the challenges faced by the entire luxury sector, in a context of slowing demand across several international markets. The rebound observed in recent sessions follows a period where the stock price approached the technical support of 514.20 euros, a floor that was not breached. The monthly volatility, measured at 10.85%, remains contained for a stock of this market capitalization, while the beta of 0.05 indicates a low correlation with general market movements in the recent period.



Sector Luxe Vêtements et accessoires


Assurance vie

Context

Period
  • Period: 2025
Key reported figures
  • Revenue: 80,8 milliards d’euros
  • Revenue growth: -5,0 %
  • Net income: 10,9 milliards d’euros
  • Free cash flow: 11,3 milliards d’euros
  • Dividend per share: 13 euros

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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