STMicroelectronics stock rebounds 6% but remains 25% below its 50-day moving average
The Franco-Italian semiconductor manufacturer signs a sharp rebound at close, in the wake of a wave of buying in European sector stocks. The stock recovers color after a violent decline following the publication of its quarterly results last week, but remains very far from its short-term moving averages.
The stock gains 6% and ranks among the strongest gainers in the CAC 40
STMicroelectronics stock gains 6% to €45.47, among the strongest risers in the CAC 40, in a Paris index itself up nearly 1%. The movement is part of a strong rebound in European chip stocks, with ASM International surging 10.9% and ASML up 5.9% in the same session. The Nasdaq rebound (+2.3%) accompanies the movement, despite difficult sessions for major American sector names (Micron -9.9%, AMD -5.5%). Despite this respite, the stock remains weighed down on short horizons, with a decline of nearly 22% over the week and 28.5% over a month, aftereffects of the post-results drop on July 23rd last.
The price thus remains clearly below its 20-day moving average (€55.97) and its 50-day moving average (€60.45), with a gap close to 25% from the latter. The RSI at 27 reflects an oversold configuration that is accompanied today by a technical rebound. Performance over one year remains very positive, at nearly 98%.
Analyst consensus adjusts following mixed quarterly results
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Analyst opinions were revised following the publication of the second quarter. HSBC lowered its price target from €84 to €81, while maintaining its buy rating. Goldman Sachs cut its target from €58 to €53, at Neutral. Based on the current price, the HSBC target leaves theoretical upside potential of approximately 78%, that of Goldman Sachs of approximately 17%.
Upon publication of Q2 2026 (on July 23, 2026), the group delivered revenue of $3.49 billion, up 26% year-on-year and above consensus, but with profitability that disappointed. The company communicated a guidance midpoint of $3.70 billion for the third quarter, with expected gross margin at 37%, and mentioned revenue above $4 billion anticipated in the fourth quarter, driven by demand from AI-dedicated data centers. According to the consensus of surveyed analysts, the stock trades at approximately 39 times expected earnings for the current fiscal year and 20.5 times those of the following year.
SectorSemi-conducteurs et matériel›Semi-conducteurs
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Context
Period
Period: T2 2026
Key reported figures
Revenue: 3 487 millions de dollars
Quarterly revenue: 3 487 millions de dollars
Revenue growth: 25,9 %
EBITDA margin: 7,7 %
Net income: 222 millions de dollars
Free cash flow: 75 millions de dollars
Guidance from the release
Nous anticipons une accélération de la croissance du chiffre d'affaires au quatrième trimestre, tirée principalement par les programmes engagés auprès de nos clients dans les domaines des data centers IA et de la communication par satellite LEO.
Risks mentioned
Le mix produit pourrait affecter la marge brute.
Les charges liées aux capacités non utilisées.
Des incertitudes sur les tendances industrielles.
Opportunities identified
Chiffre d’affaires supérieur à 4 milliards de dollars anticipé pour le quatrième trimestre.
Demande solide dans les data centers IA.
Amélioration de la visibilité et des signes de contraintes d’offre.
Outlook / guidance
Expected revenue: 3 700 millions de dollars
Management commentary: Point médian des perspectives pour le troisième trimestre 2026 : chiffre d'affaires net de 3,70 milliards de dollars et marge brute de 37,0 %.
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.