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Rexel Shares Decline by 2.83% at Close Despite Recent Gains

Rexel, an electrical equipment distributor, saw its shares fall by 2.83% to €30.58 at the close of trading on Tuesday, November 18, 2025, amid a general downturn in the Paris stock market. This correction follows a significant increase of 3.38% the previous day, driven by an upgraded recommendation from JPMorgan.


Rexel Shares Decline by 2.83% at Close Despite Recent Gains

Market Context and Recent Performance

The stock closed at €30.58 on November 18, down by 2.83% from the previous day, with trading volume representing 0.36% of the capital. This correction occurred in a generally bearish Paris market, with the CAC 40 index falling by 1.86% to 7,967.93 points. Despite this decline, the medium-term momentum remains positive: over the past week, the stock has gained 7.81%, with a quarterly performance of 13.2% and an annual performance of 19.57%. These gains significantly outperform the Paris index, which has an annual increase of 9.61%. The stock is now fluctuating between a support level of €27.87 and a resistance at €31.47, which was tested the previous day. The presence of three net short positions representing about 0.68% of the capital indicates some skepticism among investors, though not posing a significant threat. The recent momentum is explained by JPMorgan's recommendation upgrade on November 14, which changed the stock from 'Neutral' to 'Overweight' with a revised price target from €27.50 to €39.50, representing a potential upside of 25% from the current price. The distributor also benefits from favorable prospects in its key markets, including the expected recovery in the European residential market and growth in American data centers.

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Technically, the stock's positioning reveals a confirmed bullish dynamic supported by several indicators. The RSI is at 68, approaching the overbought zone without reaching it, suggesting a strong but not excessive buying momentum. The price is above its 50-day (€28.67) and 200-day (€26.29) moving averages, confirming the underlying positive trend. The 50-day moving average has been steadily increasing, moving from €27.79 twenty sessions ago to €28.60 now, indicating a well-entrenched bullish structural bias. The MACD reinforces this positive reading: the MACD line at 0.52 is above the signal line at 0.42, with a positive histogram of 0.11, validating an active buy signal. The Bollinger Bands, ranging from €28.50 to €30.93, tightly frame the current price, indicating controlled volatility. The stock, after touching its upper resistance the previous day, is undergoing a natural consolidation that could represent a technical pause before a potential rebound. Monthly volatility remains moderate at 6.41, suggesting measured short-term movements.

Financial Performance and Growth Prospects

Rexel recorded sales of €4,758 million in the third quarter of 2025, with organic growth of 3.0% on a constant day basis, while in the first nine months of the year, sales reached €14,533.5 million, up 1.0% in reported data. The group has confirmed its forecasts for the full year 2025, targeting slightly positive constant-day sales growth and an adjusted current EBITA margin of about 6%, with a free cash flow conversion of around 65%. JPMorgan identifies several growth drivers for the distributor, including a recovery in European residential markets and success in American data centers, while noting that Rexel is trading at about 12 times earnings with a dividend yield of 4%, maintaining a discount of about 15% compared to its American counterpart Wesco. This attractive valuation, combined with solid growth prospects, could continue to support the stock despite the technical correction observed this Tuesday.



Sector Industrie · Équipements électroniques Composants Électriques


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Contexte

Period
  • Period: 1T2026
Key reported figures
  • Revenue: 4736.9M€
Risks mentioned
  • Rexel s'adapte à un environnement incertain.
  • L'augmentation des coûts de l'énergie impacte la demande.
Opportunities identified
  • Acquisition de Techno-Contact 360 au Canada pour renforcer l'expertise.
  • Capacité avérée à capter la demande des marchés de la transition énergétique.

Les informations présentées dans cet article sont fournies à titre purement indicatif et ne constituent en aucun cas une recommandation d'investissement, une incitation à acheter ou vendre un actif financier, ni un conseil en placement. Le lecteur est invité à réaliser ses propres recherches avant toute décision.

Les investissements en bourse comportent des risques, notamment de perte en capital. La performance passée d'un actif ou d'un marché ne présage en rien de ses performances futures. Toute décision d'investissement doit être prise en tenant compte de votre situation financière personnelle, de vos objectifs et de votre tolérance au risque.

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