Orange Stock Leads the CAC 40 and Rebounds Above its 200-Day Moving Average
The telecom operator boosts the Parisian index in mid-morning trading, going against a nearly stagnant market. The rebound comes after several weeks of consolidation below short-term moving averages, amidst a resurgence of risk aversion related to energy.
A Rebound that Positions Orange at the Forefront of the CAC 40 Despite a Fragile Underlying Trend
Orange's stock rises 2.27% to €16.23, leading the CAC 40 while the Parisian index itself is up only 0.07%. The stock widens the gap with the rest of the pack, ahead of TotalEnergies (+1.65%) and Sanofi (+1.30%). Today's rebound occurs after a challenging phase: the stock is still down nearly 9% over one month and 9.6% over three months, despite a positive annual performance of nearly 25%.
Today's rebound occurs in a context of energy-related risk aversion, with Brent futures up about 4% at $79.11 following a new escalation between Washington and Tehran around the Strait of Hormuz, while defensive sectors like telecoms are historically sought after in these phases. The VIX rises by 8.2% to 16.26, without, however, penalizing defensive values like telecoms, which are historically sought after in these phases.
Technical Rebound from the 200-Day Moving Average with an RSI Exiting the Oversold Zone
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Today's rebound is particularly evident in technical indicators. At €16.23, the price moves back above its 200-day moving average (€15.96) with a gap of 1.69%, while it remains below its 20-day moving average (€16.54) and significantly below its 50-day moving average (€17.43), at nearly 7% from the latter. The RSI at 31 has just exited the oversold zone, which makes the observed recovery on this Monday coherent.
The support at €15.70, a lower technical level monitored on the stock, was not breached during the recent decline. The next resistance is at €18.02, more than 10% above the current price. The next significant event for the stock is the publication of the semi-annual accounts, traditionally scheduled for the end of July.
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Context
Period
Period: 1T2026
Key reported figures
Revenue: 10095M€
EBITDA: 2601M€
Guidance from the release
Merci à tous les collaborateurs d'Orange pour ces beaux succès du premier trimestre.
Une performance commerciale soutenue en Afrique et Moyen-Orient, France et Europe.
Risks mentioned
Exposition limitée aux effets de la crise au Moyen-Orient.
Effet exceptionnel anticipé dans les objectifs 2026.
Opportunities identified
Lancement du plan Trust the future.
Prise de contrôle exclusive de MasOrange prévue d'ici fin juin.
Entrée en négociations exclusives avec Altice pour l'achat de SFR.
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.