TELEPERFORMANCE Stock: Significant Weekly Decline in a Falling Stock Market
The past week has seen a sharp correction in Teleperformance's stock, aligning with the downward trend observed in the main Parisian indices. The stock experienced pronounced volatility, with intensified trading around its technical thresholds. Market developments confirm a persistent negative trend in the sector, compounded by the stock's annual underperformance.
Teleperformance ended the week at a price of €61.96, down 6.32% from the previous week's close. This movement occurred as the CAC 40 saw a more moderate decline of 1.27% over the same period, and the SBF 120 dropped by 1.30%. Since the beginning of the year, Teleperformance's stock has also depreciated by more than 35%, bringing the twelve-month decline to nearly 37%. The stock has been in a negative trend for several sessions, with a weekly low at €61.90 and a high at €67.20. Trading volume remained significant throughout the week, indicating intense capital rotation. This decline adds to a long-term trend, with the stock having lost more than 70% over three years, despite reaching a historical high of over €400 five years ago.
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From a technical standpoint, the outlook remains bearish. The stock is now trading below its short and long-term moving averages (MM50 at €64.59 and MM200 at €82.98), indicating a persistent negative trend. The closing on October 31 was very close to the support threshold identified at €61.94, far from the resistance level set at €67.64. The gap between the upper and lower Bollinger bands (€67.36 and €60.97) confirms the high volatility observed during the week, while the RSI indicator, at 44, reflects a period of hesitation that signals neither overselling nor a clear recovery. The MACD line, very slightly negative at -0.06, suggests a lack of strong directional signals. The one-month volatility stands at 8.41%, demonstrating ongoing instability around the stock.
SectorServices aux entreprises›Services de soutien aux entreprises
Context
Period
Period: 9M 2025
Guidance from the release
Le troisième trimestre 2025 s’est globalement inscrit dans la continuité du premier semestre et a démontré la résilience de LanguageLine Solutions.
Chiffre d'affaires 9M 2025 de 7 623 millions d’euros (+ 1,5 % à données comparables). Core services porteurs (+ 3,2 % à données comparables sur 9M). Impact négatif des changes et non-renouvellement d’un contrat significatif sur les services spécialisés. Déploiement accéléré des solutions IA et création d’un Value Creation Office.
Risks mentioned
Volatilité de l'environnement commercial aux États-Unis affectant les services d'interprétariat (LanguageLine Solutions)
Non-renouvellement d’un contrat significatif dans la gestion des demandes de visa (TLScontact)
Impact négatif significatif des variations de change (appréciation de l’euro)
Hyperinflation en Argentine et en Turquie (application IAS 29) affectant la comparabilité
Opportunities identified
Déploiement de TP.ai FAB et solutions augmentées par l'IA (plus de 400 nouveaux projets d’IA sur 9M 2025)
Montée en puissance des solutions de back-office et services de données liés à l'IA
Création du Value Creation Office pour accélérer la transformation et améliorer l'efficacité opérationnelle
Croissance attendue en Inde et en Amérique latine pour les solutions BPO et domestiques
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.