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Last updated : 29/09/2026 - 13h36
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Gecina Stock Falls to Five-Year Low at €62.95

The Paris-based real estate company recorded a new five-year low on Tuesday, with its share price declining to €62.95 during the trading session, breaking the previous low of €63.10. The stock has recovered slightly from this trough, but underlying momentum remains under pressure, with a decline of nearly one quarter of its value over one year.


Gecina Stock Falls to Five-Year Low at €62.95

Five-Year Low Reached During Session, Extreme Oversold Signal on RSI

Gecina touched €62.95 during trading on Tuesday, erasing the previous floor at €63.10 and marking a new five-year record low. From this trough, the stock has recovered slightly and was trading at €63.50 at midday, representing a gain of 0.4% compared to the previous close at €63.25. This rebound remains fragile: the price remains below its 20-day moving average at €66.02 (down -3.82%) and even further below its 50-day moving average at €70.73 (-10.22%), with both averages forming a distant technical ceiling.

The RSI at 22 signals an extreme oversold configuration, similar to that observed in early September when the stock slipped below €67 with an RSI at 21. The nearest resistance level remains distant at €73.50, more than 15% above the current price. Over one month, the stock is down 9.29%; over one year, the loss reaches 24.09%.

Compressed Valuation in a Context of Rising Rates and Pressures on Paris Real Estate

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Fundamentally, Gecina operates in a rising rate environment that mechanically weighs on real estate companies: the 3-month Euribor stands at 2.51% and the average effective rate on fixed-rate mortgage loans of over twenty years reaches 3.97% as of July 1, 2026. This increase in financing costs raises capital costs for asset portfolios. Under these conditions, the stock trades at approximately 9.5 times expected earnings according to analyst consensus, a valuation compressed compared to historical sector standards.

From a macro perspective, Brent crude rising beyond 107 dollars per barrel, in the wake of tensions around the Strait of Hormuz, fuels general inflationary pressures likely to maintain European long-term rates at elevated levels, a parameter structurally unfavorable to real estate equities. Gecina remains historically sensitive to employment indicators in France and banking credit conditions. The support level at €63.25, the same level corresponding to the previous close, was broken this morning at the low of €62.95: its holding at close will be a benchmark to follow in assessing the strength of the intraday rebound.



Sector Foncières / REITs › Immobilier commercial / foncières


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Context

Period
  • Period: S1 2026
Key reported figures
  • Revenue: 358,5 millions d'euros
  • Quarterly revenue: 358,5 millions d'euros
  • Revenue growth: -0,4 %
  • EBITDA: 298,1 millions d'euros
  • Net income: 3,1 millions d'euros
  • 6 876 millions d'euros
Guidance from the release
  • guidance 2026 confirmée ; tous les moteurs de croissance organique sont activés
Risks mentioned
  • Marché prudent durant la croissance des revenus.
  • Polarisation du marché affecte les valeurs du portefeuille.
Opportunities identified
  • Acquisitions génératrices de revenus.
  • Transformation de la structure en sièges sociaux.

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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