Idéal Investisseur
Français English
CAC 40 : Market closed
8 072,13 pts
-0.39%


Last updated : 29/04/2026 - 17h35
🏠 Home   ➤    Stock news

Nexity Shares Continue to Decline, Moving Away from Their Moving Averages

The real estate developer's stock fell 2.01% in the late afternoon of this Wednesday, April 29, 2026 session, to €8.27. The decline is part of a downward-oriented Parisian market, with the CAC 40 losing 0.38% during the session. The stock continues a negative trend that began in mid-April.


Nexity Shares Continue to Decline, Moving Away from Their Moving Averages

A Slide that Intensifies After Quarterly Results

Nexity's stock declines for the third consecutive session, marking an 8.26% drop over seven days. Over three months, the decline reaches 15.7%. This recent dynamic contrasts with the rebound observed at the beginning of April, when the stock had gained nearly 10% in a week. Since the announcement of the first quarter business activity on April 23, selling pressure has dominated. The real estate developer operates in a sector affected by changes in financing conditions and weak construction starts. Among comparable stocks listed in Paris, BASSAC is down 0.21% and Kaufman and Broad is down 1.07% during the session, indicating a shared weakness in the new housing market. The next financial calendar event is the general assembly, scheduled for May 21, 2026.

The Stock Moves Away from Its Moving Averages

Free · Every morning
Technical market signals, before the opening bell.
Bullish and bearish momentum, analyst changes, stocks to watch — automatically computed from Euronext data.
Before 9 AM every morning Euronext data AI-powered analysis

At €8.27, the stock is trading below its 50-day moving average, which is at €8.46, and significantly below the 200-day moving average, at €9.26. This gap reflects a fundamentally deteriorated orientation. The RSI at 56 remains in the neutral zone, with no overbought or oversold signals. The stock is positioned in the lower part of the Bollinger Bands, at 32% of the amplitude, with a lower boundary identified at €7.73, which also corresponds to the technical support threshold provided in the data. The one-month volatility stands at 12.91, a moderate level for the stock. The next operational deadline for holders remains the general assembly on May 21, 2026.



Sector Immobilier / construction · Opérateurs immobiliers Construction résidentielle


Assurance vie

Context

Period
  • Period: 9M2025
Guidance from the release
  • L’activité commerciale de Nexity continue de s’améliorer au 3ème trimestre ... renouer avec une croissance rentable dès 2025.
  • Fin du dispositif Pinel entraînant une forte baisse des investisseurs particuliers (-45 %) ; accédants en forte progression (+26 % pour Nexity sur 9M) soutenus par l’extension du PTZ et des taux stabilisés autour de 3,1 % ; marché tertiaire en bas de cycle avec livraisons 2024 impactant le CA tertiaire 2025 ; backlog à 3,9 Md€ (?1,5 année d’activité).
Risks mentioned
  • Dégradation de l’environnement macro-économique (guidance conditionnelle)
  • Risque lié aux municipales ralentissant l’instruction des permis de construire
  • Baisse du marché de détail liée à la fin du Pinel (-45 % investisseurs particuliers)
  • Segment tertiaire en bas de cycle et absence de rechargement du backlog tertiaire
Opportunities identified
  • Extension du PTZ favorisant la demande des accédants et des terrains à bâtir (+41 %)
  • Croissance des activités d’exploitation (résidences étudiantes, coworking) avec taux d’occupation élevés
  • Partenariat Carrefour avec potentiel CA à terminaison estimé à plus de 2 Md€
  • Recalibrage de l’offre commerciale et développement sélectif améliorant les délais d’écoulement (5 mois)

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.

Advertisement
Every morning
Technical market signals,
before the opening bell.
CAC 40 · SBF 120 · Signals · Analysts
🤖
Today's edition — pre-market
CAC 40
7 702
-0,87%
SBF 120
5 827
-0,87%
📈 Bullish signals
+5,2%
+1,8%
+0,9%
📉 Bearish signals
-14%
-5,7%
🔄 Analyst opinions
▲ 35 €
▼ 80 €
Sign up to see everything →
Before 9 AM every morning
Euronext data
AI-powered analysis





BOURSE · Chaque matin
La synthèse bourse,
avant l'ouverture.
Notre moteur analyse chaque nuit le CAC 40 et le SBF 120. Ce qui mérite attention remonte directement dans votre boîte mail. Gratuit.
Avant 9h00 1000+ inscrits 100% gratuit