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Métropole TV Shares Fall by 2.5% and Slide Among the Worst Declines in the SBF 120

The broadcasting group sinks further in the mid-afternoon, moving against the grain of a broadly rising SBF 120. The decline extends the negative streak started at the beginning of the week and brings the stock back to its technical support, as the momentum of the rebound observed in May seems to be fading.


Métropole TV Shares Fall by 2.5% and Slide Among the Worst Declines in the SBF 120

The Stock Falls Below All Its Moving Averages, Losing 7.3% Over the Week

Métropole TV shares are trading at €11.74 during the session, down 2.33% from the previous close of €12.02. This movement brings the weekly loss to 7.27%, where the performance remains slightly positive over one month (+2.09%) and three months (+3.35%). The stock has fallen below its MM20 (€12.13, a gap of -3.22%), MM50 (€12.04, -2.49%) and MM200 (€12.05, -2.57%), three benchmarks now aligned above the price, indicating a bearish alignment in the short and medium term.

The RSI at 47 remains in the neutral zone, with no sign of seller exhaustion, while the support identified at €11.32 now serves as the next low reference, about 3.6% below the current price. The stock ranks among the strongest declines in the SBF 120, while the broader index gains 0.67% in the session.

A Bearish Sequence That Contrasts with the Underlying Dynamics and Market Context

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Today's decline is part of a series of consolidation sessions for the Neuilly-sur-Seine channel, following the rebound that began in early June amid recurring rumors of a merger with TF1. The movement occurs as the Parisian market benefits from a supportive climate, with the CAC 40 at 8,441.83 points (+0.67%) and a VIX down by 8.5% at 17.84, indicating less nervousness in the equity markets. The underlying dynamics remain mixed: while the stock maintains a gain over the quarter, it has lost 6.23% over the year and is now trading below its three reference moving averages, a configuration not seen since the April low. The support at €11.32 will be the next technical level to watch to assess the strength of the lower zone.



Sector Médias / publicité / divertissement · Media · Divertissement / contenus Diffuseurs radio et télévision


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Context

Period
  • Period: 3T 2025
Guidance from the release
  • Notre Groupe réalise sa meilleure rentrée TV depuis six ans sur les cibles commerciales... le Groupe affiche une stabilité de ses revenus publicitaires et la flexibilité de notre modèle nous permet de maintenir une marge opérationnelle élevée; nous continuons d'accélérer sur le streaming.
  • Stabilité des revenus publicitaires au T3 2025, EBITA en légère progression, forte croissance du streaming (+25 % CA streaming T3; +30 % sur 9M 2025), mais incertitude politique susceptible d'affecter le marché publicitaire au T4 2025.
Risks mentioned
  • Incertitude politique pesant sur le marché publicitaire en fin 2025
  • Recul des revenus non publicitaires (-14,3 % au T3 2025; -12,8 % sur 9M) lié au moindre dynamisme production et droits et activité immobilière faible
  • Effet de base défavorable lié à l'Euro 2024 pour les recettes publicitaires vidéo
Opportunities identified
  • Accélération du streaming avec forte croissance des heures vues et des utilisateurs (+40 % d'utilisateurs uniques, M6+ +17 % d'heures vues vs T3 2024)
  • Objectif de chiffre d'affaires streaming >200 M€ en 2028 et >1 milliard d'heures visionnées sur M6+ d'ici 2028
  • Amélioration des parts d'audience TV sur cibles commerciales (21,5 % sur 25-49 ans)

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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