Stellantis NV stock showed an increase of 1.74% at the close of Monday, February 2, 2026, settling at 8.43 euros. The automaker continues its rebound that began last week, with a nearly 2% gain over seven days, amid ongoing economic uncertainties in the sector.
Stellantis NV is currently experiencing high volatility, with an RSI indicator at 32, signaling a situation close to overselling. This technical reading suggests that sellers have largely dominated in recent weeks, potentially creating short-term buying opportunities for opportunistic investors. However, the stock remains constrained by its medium-term moving averages: the MM50 at 9.17 euros represents a technical barrier approximately 8.5% above the current price. Crossing this level would appear as a positive reversal signal. In the longer term, the annual performance remains particularly degraded with a decline of nearly 35%, reflecting the persistent difficulties of the European automotive sector facing the challenges of electric transition and increased Asian competition.
Mixed Analyst Views on Stellantis's Future
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Financial analysts have mixed positions regarding the future of the Franco-Italian-American manufacturer. Berenberg recently raised its price target from 9.50 to 10.00 euros in mid-January, while maintaining a buy recommendation. This upward revision represents an appreciation potential of about 18.5% from the current stock level. Bank of America, on the other hand, adopts a more cautious stance with a neutral recommendation and a target set at 10.30 euros, representing a slightly higher potential of 22%. This divergence of opinions reflects ongoing questions about Stellantis's ability to improve its profitability in a competitive environment. The upcoming 2025 annual results, expected on February 26, will be a crucial moment to assess the operational trajectory of the group and its strategy to adapt to the profound changes in the global automotive market.
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.
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