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Last updated : 10/06/2026 - 11h03
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Carmila Stock: 2.1% Increase at Close Ahead of Quarterly Earnings Release

The share of the real estate investment trust specializing in shopping centers ended the session on October 22 on a positive note, recording a 2.1% gain to close at €17.54. This performance comes in a context of a declining Parisian market and just hours before the release of third-quarter results.


Carmila Stock: 2.1% Increase at Close Ahead of Quarterly Earnings Release

Market Performance and Trading Volume

Carmila closed the session at €17.54, up 2.1% from the previous day when the share was trading at €17.18. This increase stands out against the performance of the CAC 40, which fell by 0.63% over the same period to close at 8,206.87 points. Trading volume remained moderate with only 0.09% of the capital traded during the day, indicating limited rotation of the stock. Over the past week, the real estate company's stock has shown a performance of 3.66%, continuing a positive trend also observable over three months with a gain of 3.06%. However, on an annual scale, the stock has declined by 4.98%, in stark contrast to the 8.9% increase recorded by the CAC 40 over the same period. The beta coefficient of -0.03 underscores the lack of significant correlation between Carmila's performance and the overall market trend. The one-month volatility stands at 3.79, reflecting relatively contained price fluctuations.

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The real estate investment trust is set to unveil its third-quarter revenue on October 23, according to the schedule published by listed companies. This announcement is a highly anticipated event to assess the company's commercial activity during the summer period. The last results were communicated on July 23, when Carmila published its half-yearly accounts for 2025. The group had also announced in February the launch of a share buyback program worth 10 million euros. Updated analyst forecasts in October anticipate a dividend of €1.34 per share for fiscal year 2025 and €1.39 for 2026, representing respective yields of 7.89% and 8.18% based on current prices. The net earnings per share are estimated at €1.79 in 2025 and €1.86 in 2026, with price-to-earnings ratios of 9.51 and 9.15 respectively.

Technical Outlook

From a technical standpoint, the stock is now trading at €17.54, very close to its resistance level at €17.56. The price is positioned above its 50-day moving average set at €17.24 and slightly above its 200-day moving average at €17.38. The stock is also in the upper part of its Bollinger Bands, which range between €16.57 and €17.63. The RSI indicator shows a value of 43, placing the stock in a neutral zone, away from overbought or oversold thresholds. The MACD presents a slightly positive signal with a MACD line at 0.00, a signal line at -0.01, and a histogram at 0.01. The support level is at €16.64, providing a cushion in case of a correction. The CMF indicator is at 0.10, while the OBV reaches 120,902, both metrics providing insights into capital flows.



Sector Immobilier / construction · Immobilier commercial / foncières Fonds Immobiliers Commerciaux


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Contexte

Period
  • Period: 1T2026
Key reported figures
  • Revenue: 112.3M€
Guidance from the release
  • Ce trimestre a été caractérisé par notre élan de croissance continue.
  • Carmila affiche une bonne dynamique grâce à des résultats solides en Espagne.
Risks mentioned
  • Impact négatif de 1% sur le revenu locatif net 2026 à cause des ventes réalisées en 2025.
  • Contexte géopolitique pesant sur la consommation des ménages en France.
Opportunities identified
  • Vente de Villers-Semeuse finalisée pour 12,4 millions d'euros.
  • Carmila vise une cible d'acquisitions de 100 millions d'euros par an.

Les informations présentées dans cet article sont fournies à titre purement indicatif et ne constituent en aucun cas une recommandation d'investissement, une incitation à acheter ou vendre un actif financier, ni un conseil en placement. Le lecteur est invité à réaliser ses propres recherches avant toute décision.

Les investissements en bourse comportent des risques, notamment de perte en capital. La performance passée d'un actif ou d'un marché ne présage en rien de ses performances futures. Toute décision d'investissement doit être prise en tenant compte de votre situation financière personnelle, de vos objectifs et de votre tolérance au risque.

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