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Last updated : 15/09/2026 - 17h35
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CLARIANE Stock Rebounds 3.43% at the Close of November 10

After several weeks of turbulence, the stock of the European long-term care manager regains some momentum this Monday. At the close, CLARIANE was up at €3.44, a 3.43% increase from the previous day (€3.33). This movement occurs in a generally bullish context as the CAC 40 gained 1.32% on the same day. However, trading volumes remain very thin with only 0.2% of the capital traded.


CLARIANE Stock Rebounds 3.43% at the Close of November 10

Closing Price Details

The closing price of €3.44 reflects a modest improvement in a context where the value remains lagging across all investment horizons. Over seven days, the stock shows a decline of 7.62%, while the drop intensifies in the longer term with a fall of 20.62% over three months. This negative performance sharply contrasts with the multi-year dynamic: CLARIANE still boasts a gain of 71.93% over the past year, outperforming the CAC 40 over the same period (+9.77%), but it misrepresents the current market's lack of confidence. The weakness in volumes also reflects a persistent disinterest in this stock. With only 0.2% of the capital traded today, transactions remain sluggish. This situation of reduced liquidity makes rebounds particularly fragile and can amplify movements, both upward and downward, as soon as sizeable orders are executed on the order book.

Context of the Rebound

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This rebound occurs in a context marked by difficulties revealed at the end of October. On October 28, CLARIANE had announced a lowering of its profitability target for 2025, which triggered a sharp market reaction. The stock plummeted 14% following this warning, consolidating a downward trajectory marked by a significant bearish gap that occurred the same week. Since the summer highs, the stock had been under regular pressure. The warning on the annual Ebitda ultimately only hastened a correction already underway and worsened the concern about the group's ability to stabilize its financial trajectory.

Technical Perspective

From a technical standpoint, the situation is characterized by several signals that justify this Monday's movement. The relative strength index stands at 22, an extremely low level indicating a pronounced oversold condition. The stock was indeed trading well below its fifty-day moving average (€4.21) and was approaching the lower limit of its Bollinger bands (€3.19). This sustained gap with the short-term moving averages fueled a technical dynamic that could justify a pure rebalancing rebound. The support level at €3.33 held during the day, while resistance remains positioned at €4.74. The monthly volatility displayed at 17.10% remains moderate, reflecting the absence of acute exogenous shocks but primarily a gradual erosion of confidence.



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Context

Period
  • Period: S1 2026
Key reported figures
  • Revenue: 2 699 millions d'euros
  • Quarterly revenue: 2 699 millions d'euros
  • Revenue growth: 1,6 %
  • EBITDA: 524 millions d'euros
  • EBITDA margin: 10,4 %
  • Net income: -47,5 millions d'euros
  • Free cash flow: 20 millions d'euros
  • 3 020 millions d'euros
Guidance from the release
  • Le Groupe s'appuiera principalement sur la poursuite de l'amélioration de la performance opérationnelle et le maintien d'une stricte discipline d'investissements
Risks mentioned
  • Environnement géopolitique complexe affectant les opérations de refinancement
  • Exposition aux épisodes climatiques frappant durement certains territoires en Europe
  • Pression inflationniste continue sur les coûts opérationnels malgré les gains tarifaires
Opportunities identified
  • Amélioration de la marge EBITDA de 100-150 points de base d'ici fin 2026
  • Croissance des volumes d'activité portée par l'augmentation progressive des taux d'occupation
  • Refinancement réussi de €1 063m renforçant la flexibilité financière et réduisant le coût de la dette
Outlook / guidance
  • Expected revenue: 5 522 millions d'euros

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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