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Last updated : 15/09/2026 - 17h35
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Vivendi Shares Drop 2.5% and Struggle with 50-Day Moving Average

Vivendi's stock significantly fell this Thursday, April 9, moving against a positive trend over the past seven days. At €2.028, the stock is operating in a declining Parisian market environment, with the CAC 40 down by 0.72% during the session.


Vivendi Shares Drop 2.5% and Struggle with 50-Day Moving Average

Market Context and Recent Performance

Vivendi SE's stock has lost 2.5% compared to the previous day's close, standing at €2.028, erasing some of the gains accumulated over the past week (+11.8%). This decline coincides with the CAC 40 dropping 0.72% to 8,204.70 points, and the SBF 120 showing a similar retreat of 0.68%. Market tension remains noticeable, with the VIX reaching 25.78 points in its last quotation, indicating high nervousness. Over longer horizons, Vivendi’s stock performance has been challenging: the stock has declined nearly 14% over three months and 14.5% over a year. Comparable values in the media and communication sector are also under pressure this Thursday, with UMG down by 1.64% and Publicis by 1.44% during the session.

Technical Analysis and Short-Term Outlook

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Technically, Vivendi's stock price is at €2.028, slightly below its 50-day moving average of €2.07, indicating short-term bearish pressure after a strong weekly rebound. However, the stock is still in the upper part of its Bollinger Bands (upper bound at €2.11, lower bound at €1.58), at 85% of the range, signaling a potential overbought zone. This positioning calls for caution: a short-term consolidation cannot be ruled out if the price fails to consistently break the resistance at €2.21. An upcoming catalyst to watch is the group's first quarter 2026 revenue announcement on April 21. This event could be a decisive factor for the stock's trajectory in the coming weeks, while the 200-day moving average at €2.67 remains significantly distant from the current price.



Sector Finance Holding et société d'investissement


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Context

Period
  • Period: S1 2026
Key reported figures
  • Revenue: 140 millions d'euros
  • Quarterly revenue: 140 millions d'euros
  • EBITDA: 28 millions d'euros
  • Net income: 28 millions d'euros
  • 1 591 millions d'euros
Risks mentioned
  • Forte tension du marché des jeux vidéo affectant la saisonnalité et la dynamique de Gameloft
  • Dégradation significative du cours de bourse d'Universal Music Group (-34,1% depuis le 1er janvier 2026) réduisant la valeur du portefeuille d'investissement
  • Procédures réglementaires en cours (enquête Commission européenne sur Lagardère, pourvoi en cassation sur contrôle de Vivendi) créant une visibilité limitée
Opportunities identified
  • Lancement stratégique de Bluey's Happy Snaps au S2 2026 en collaboration avec la BBC, porteur de croissance pour Gameloft
  • Réequilibrage du portefeuille Gameloft vers PC/Console (49% du CA) offrant meilleur profil de rentabilité (marge EBITA 6,6%)
  • V Collection positionnée comme référence du luxe en France et à l'international, capitalisant sur le succès d'Harper's Bazaar

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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