Pluxee Shares: 2.5% Rebound but Still Significantly Down Over the Year
This Friday morning, Pluxee shares show a notable rebound of 2.49%, trading at 11.52 euros after closing at 11.24 euros the previous day. This surge comes in a context of significant decline, with the stock having lost nearly 47.5% of its value over twelve months and more than 13% over the last three months.
Pluxee's stock price is currently above its 20-day moving average (11.25 euros), indicating a slight short-term recovery. However, the stock remains significantly below its 50-day moving average, which is at 12.13 euros, illustrating the persistence of the downward trend that has been ongoing for several months. The 200-day moving average, set at 15.83 euros, confirms the extent of the decline suffered by the stock over a long period. The RSI, an indicator measuring the dynamics of price movements, is at 55, in a neutral zone. This level indicates a lack of overbought or oversold conditions, leaving the stock in a waiting position from a technical standpoint. The resistance level to watch is at 12.79 euros: crossing this level could signal a more significant change in dynamics.
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As the stock has lost nearly half of its capitalization in a year, upcoming financial deadlines will be closely monitored. Pluxee will publish its first half 2026 results on April 16, a release that could provide crucial insights into the group's ability to improve its profitability and support its organic growth. The specialist in employee benefits will then communicate its third-quarter revenue on July 3, before the announcement of the annual results scheduled for October 29. The general meeting of shareholders is scheduled for December 17. These milestones will be essential to assess the operational trajectory of the group in a context of prolonged decline in the stock price. The weekly performance of 3.78% offers a respite, but the magnitude of the correction over the past twelve months keeps a strong focus on the upcoming fundamentals.
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Context
Period
Period: 1T 2026
Guidance from the release
Trimestre après trimestre, nous enregistrons un démarrage solide de l’exercice 2026, porté par la dynamique commerciale de l'activité Avantages aux salariés; nous avons poursuivi notre feuille de route stratégique avec les acquisitions de Skipr et ProEves et restons confiants dans notre capacité à délivrer des performances durables malgré un environnement réglementaire exigeant au Brésil.
Démarrage robuste au T1 2026 : chiffre d'affaires total de 308 M€ (+9,0 % organique), solide croissance en Amérique latine, effet de change négatif (notamment livre turque) et impact réglementaire potentiel au Brésil; exécution active de la stratégie M&A.
Risks mentioned
Évolutions réglementaires au Brésil pouvant impacter les résultats (impact anticipé H1 2027 si confirmées)
Effets de change défavorables (dépréciation de la livre turque, impact sur croissance publiée)
Fin ou redimensionnement des programmes d'aide publique en Europe continentale
Report de commande d'un large programme en Roumanie affectant le timing du volume d'affaires
Opportunities identified
Pipeline M&A solide et diversifié permettant d'accroître l'offre multi-avantages
Croissance soutenue en Amérique latine, en particulier au Brésil
Renforcement de l'offre via les acquisitions de Skipr (mobilité) et ProEves (garde d'enfants) pour pénétrer de nouveaux segments
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.