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Renault Group Unveils Growth and Resilience Strategy

On Thursday, February 19, 2026, Renault Group released its 2025 results and medium-term outlook, announcing a strategic roadmap focused on business growth and strengthening the resilience of its operational and financial model. A detailed presentation will take place on March 10, 2026.


Renault Group Unveils Growth and Resilience Strategy

Strategic Priorities and Market Positioning

The automotive group states that its robust product strategy and the strength of its brands have proven their relevance in a challenging market environment. The medium-term strategic roadmap revolves around three priorities: sustained growth driven by products and international market expansion; strengthening the group's position in Europe on an autonomous basis, complemented by partnerships as accelerators of international competitiveness; and accelerating internal transformation to increase speed, agility, efficiency, and simplicity. The group also aims to create value with consistency and predictability for all its stakeholders.

Financial Forecasts and Cost Management

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In the medium term, Renault Group anticipates single-digit revenue growth, supported by both the Automotive activity and Mobilize Financial Services. Cost reduction remains a key priority, based on performance in managing variable costs and strict discipline over fixed costs. Investment in product and innovation will be maintained within a highly disciplined approach to reduce entry costs, with R&D and Capex expenditures remaining below 8% of revenue. Capital allocation will be rigorous and balanced, aiming for a high return rate approaching 25% in the medium term. No specific timeline is provided for the implementation of these measures.



Sector Industrie · Automobile · Constructeurs automobiles Automobiles


Assurance vie

Context

Period
  • Period: 2025
Key reported figures
  • Revenue: 57 922 millions d'euros
  • Revenue growth: 3,0 %
  • Net income: -10 931 millions d'euros
  • Free cash flow: 1 473 millions d'euros
  • Net debt: 7 370 millions d'euros
  • Dividend per share: 2,20 euros par action
Guidance from the release
  • "Nos résultats 2025, dans un contexte de marché difficile, démontrent l’engagement de nos équipes pour délivrer une performance régulière de premier plan parmi les acteurs de l’industrie automobile."
  • Résultats 2025: chiffre d’affaires Groupe de 57 922 millions d’euros (+3,0 % YoY; +4,5 % à taux de change constants); chiffre d’affaires Automobile de 51 442 millions d’euros (+1,8 %); marge opérationnelle Groupe de 6,3 %; résultat net part du Groupe de -10 931 millions d’euros; résultat net du Groupe hors Nissan de 715 millions d’euros; free cash-flow Automobile de 1 473 millions d’euros; position financière nette Automobile de 7 370 millions d’euros; dividende proposé de 2,20 euros par action; perspectives 2026: marge opérationnelle du Groupe entre 5 % et 7 %, free cash-flow de l’Automobile d’environ 1,0 milliard d’euros et dividendes Mobilize Financial Services d’environ 350 millions d’euros; perspectives à moyen terme axées sur une croissance soutenue et la réduction des coûts.
Outlook / guidance
  • Management commentary: Renault Group vise une marge opérationnelle du Groupe entre 5 % et 7 % du chiffre d’affaires sur le moyen terme et un free cash-flow de l’Automobile d’environ 1,0 milliard d’euros par an en moyenne sur le moyen terme, incluant environ 350 millions d’euros de dividendes reçus de Mobilize Financial Services à partir de 2026.

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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