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Stellantis Stock: New Midday Increase of 2.16% in a Rising Market

Stellantis stock continues its recovery this Tuesday, October 21, in the Paris session. At 1:25 PM, the automaker's stock is priced at 9.31 euros, up 2.16% from the previous day's close of 9.11 euros. This performance is part of a positive trend that has been emerging over several sessions.


Stellantis Stock: New Midday Increase of 2.16% in a Rising Market

Stock Performance and Market Dynamics

The stock has been fluctuating between 9.12 euros and 9.37 euros since the opening. Trading remains moderate with a capital turnover of 0.04%, indicating a relatively calm market. The stock is slightly outperforming the CAC 40 index, which has risen by 0.41% to 8,239.68 points over the same period. The weekly trend confirms the upward momentum: the stock has gained 5.78% over the last seven days and 11.34% over the past five sessions. This improvement comes after several challenging months, with the stock still down 23.55% over the year, while the CAC 40 has posted a positive performance of 8.23% over the same period. In the shorter term, the quarterly performance is at +17.65%, marking a significant turnaround.

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The improvement in the stock comes in a more favorable business environment. On October 15, the group announced a $13 billion investment over four years in the United States to boost growth and strengthen its industrial presence overseas. These funds will support the launch of five new vehicles and aim to increase local production by 50%. Recent business data indicate an operational recovery. On October 10, the automaker reported consolidated billings up 13% for the third quarter of 2025, at 1.3 million units. This increase is primarily due to dynamics in the American market, where sales rebounded by 16% in September. More recently, registrations of passenger cars increased by 11.5% in the European Union in September 2025.

Technical Analysis and Market Indicators

From a technical standpoint, the stock is now trading above its 50-day moving average, set at 8.36 euros, but remains below its 200-day moving average at 9.51 euros. The RSI indicator is at 66, approaching the overbought zone without reaching it. The MACD shows a neutral setup with both the signal line and the MACD line at 0.20, producing a zero histogram. Bollinger Bands frame the stock's movement between a support at 7.65 euros and a resistance at 9.64 euros. The current price is close to the upper boundary. The one-month volatility is set at 15.62%, while the ATR stands at 0.27 euro. Analyst consensus sets a three-month price target at 9.10 euros, representing a slight negative potential of 0.62% from current levels.



Sector Industrie · Automobile · Constructeurs automobiles Automobiles


Assurance vie

Context

Period
  • Period: 2025
Key reported figures
  • Revenue: 153 508 millions d'euros
  • Revenue growth: -2,0 %
  • Net income: -22 332 millions d'euros
  • Free cash flow: -4 525 millions d'euros
Guidance from the release
  • Nos résultats pour l’année 2025 reflètent le coût d’une surestimation du rythme de la transition énergétique et la nécessité d’entreprendre un « reset » pour replacer au cœur de notre activité la liberté de choix de nos clients.
  • Stellantis publie les résultats annuels 2025 avec un chiffre d’affaires net de 153,5 milliards d’euros et une perte nette de 22,3 milliards d’euros, principalement due à des charges exceptionnelles. Le deuxième semestre 2025 montre une reprise de la croissance et une amélioration du free cash flow industriel. Disponibilité de liquidités industrielles à 46 milliards d’euros; le dividende 2026 est suspendu et des obligations hybrides jusqu’à 5 milliards d’euros peuvent être émises. Perspectives 2026 affirmées avec une progression attendue du chiffre d’affaires net, de la marge AOI et du free cash flow industriel; accélération attendue entre H1 et H2 2026.
Outlook / guidance
  • Expected revenue: Prévision d’un chiffre d’affaires net en hausse de milieu à un chiffre pour 2026, avec une amélioration progressive entre le premier et le second semestre.
  • Expected EBITDA: Marge AOI à un chiffre dans la fourchette basse en 2026; amélioration de la génération du free cash-flow industriel attendue.
  • Expected net income: Perspectives 2026 axées sur une amélioration progressive du chiffre d’affaires, de la marge AOI et du free cash-flow industriel.
  • Management commentary: La société réaffirme ses perspectives pour 2026 et prévoit des améliorations progressives entre H1 et H2 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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