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Last updated : 03/06/2026 - 17h35
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Arkema's Stock Advances Against CAC 40 Trend, But Deutsche Bank Targets 17% Lower

On Thursday, the specialty chemicals company's stock rose by 1.34% to €60.35, bucking the trend of a CAC 40 that fell by 0.54% during the session. This increase extends a positive momentum that began in recent weeks, with a gain of more than 15% over three months. Deutsche Bank also revised its price target for the stock today.


Arkema's Stock Advances Against CAC 40 Trend, But Deutsche Bank Targets 17% Lower

Deutsche Bank Adjusts Price Target on Arkema

The German bank adjusted its price target on Arkema this Thursday, raising it from €49 to €50, while maintaining its 'hold' recommendation. This new target remains significantly lower than the current price of €60.35, implying a potential downside of about 17% according to Deutsche Bank's analysis. This cautious stance contrasts with the recent upward trajectory of the stock, which has rebounded by 2.2% over the past seven days. Arkema will publish its first-quarter results on May 6, an event that may provide new data for analysts to assess. The general meeting is scheduled for May 21.

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Graphically, the stock is currently in the upper part of its Bollinger Bands, at 96% of the amplitude between the lower bound (€50.47) and the upper bound (€60.79). This proximity to the technical ceiling suggests a potential overbought zone, which could hinder short-term progress. The RSI, at 60, confirms a bullish dynamic without marked excess for now. The 50-day and 200-day moving averages, at €57.02 and €56.21 respectively, are both below the current price, indicating a favorable underlying trend. The most immediate resistance threshold is at €61.95, just 2.6% above the current level. This zone will be a crucial test to determine the stock's ability to continue its upward movement. In this context, the SBF 120, of which Arkema is a part, fell by 0.51% during the session.



Sector Industrie · Chimie Produits Chimiques Diversifiés


Assurance vie

Context

Period
  • Period: 1T2026
Key reported figures
  • Revenue: 2181.8M€
  • EBITDA: 282.7M€
  • EBITDA margin: 13,0%
  • Net income: 64.7M€
  • Free cash flow: -95,2M€
  • 3344.1M€
Guidance from the release
  • Après des mois de janvier et février relativement faibles, la performance du premier trimestre a finalement été légèrement supérieure aux attentes.
  • Les volumes du Groupe sont stables, et la demande dans les segments clés est en hausse.
Risks mentioned
  • Impact potentiel de la crise au Moyen-Orient sur la demande mondiale.
  • Inflation des coûts des intrants résultant de la crise au Moyen-Orient.
Opportunities identified
  • Développement dans des marchés clés attractifs tels que les batteries et l'impression 3D.
  • Poursuite des efforts pour gérer strictement les coûts fixes.

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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