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Last updated : 07/10/2026 - 11h36
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Renault shares: leading the CAC 40, the stock gains 4.5% after -7.5% in one month

The diamond-shaped automaker takes first place in the Paris index, while the CAC 40 declines mid-morning. The rebound comes after a difficult September for the security.


Renault shares: leading the CAC 40, the stock gains 4.5% after -7.5% in one month

A rebound of 4.65% that places Renault at the top of the CAC 40 mid-morning

The stock gains 4.65% to €27.00, compared to €25.80 the previous day, and outpaces Stellantis (+4.23%) in a CAC 40 that falls 0.37% to 7,835.95 points. Over one week, Renault shares rise 3.61%, but remain down 7.34% over one month. The rebound does not bring the stock above its moving averages: it remains 0.84% below the MA20 (€27.23) and 7.79% below the MA200 (€29.28).

The RSI at 40 is neutral. On the analyst side, CIC Market Solutions reiterated its buy rating yesterday with a price target of €40, which is 48% above the current price.

French debt under tension and a new finance director from Michelin

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The Paris market is evolving against the backdrop of tension over French debt: the 10-year OAT stands at 4.72% according to the latest reading from the Banque de France on October 6, with a spread of 1.27 points versus the Bund. On the company side, Renault announced on October 5 the arrival of Carine Damois at the head of finance effective November 14, 2026, replacing Duncan Minto. When publishing H1 2026 results on July 30, the group indicated that the Middle East crisis was weighing on raw material costs, energy and logistics. Based on earnings expected by the consensus of surveyed analysts, the stock is trading at approximately 4 times current year earnings.



Sector Automobile et mobilité › Constructeurs automobiles


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Context

Period
  • Period: S1 2026
Key reported figures
  • Revenue: 30 252 millions d'euros
  • Quarterly revenue: 30 252 millions d'euros
  • Net income: 705 millions d'euros
  • Free cash flow: 653 millions d'euros
  • -6 570 millions d'euros
Guidance from the release
  • Grâce à une exécution rigoureuse, la solidité de nos fondamentaux nous permet de délivrer une rentabilité et un free cash-flow robustes tout en investissant dans notre croissance future.
Risks mentioned
  • Crise au Moyen-Orient pesant sur les coûts de matières premières, d'énergie et de logistique
  • Environnement décrit comme difficile par le Groupe pour 2026
  • Effets de change négatifs : croissance de 9,5 % contre 10,3 % à change constant
Opportunities identified
  • Accélération de l'électrification : mix électrifié en Europe à 52,0 %, +8,2 points
  • Ventes de véhicules électriques en hausse de 47,6 %
  • Croissance à l'international : Inde +61,2 %, Turquie +15,4 %, Maroc +13,7 %, Brésil +5,3 %
Outlook / guidance
  • Management commentary: A Group operating margin around 5.5% of Group revenue.

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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