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Last updated : 20/05/2026 - 17h02
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Ubisoft Shares Climb to €5.32 on Annual Results Day

The stock of the French video game publisher increased by 3.79% to €5.32 mid-session, in anticipation of the announcement of revenue and results for the fiscal year 2025-2026 scheduled for this evening. The movement unfolds in a well-oriented Parisian market, with the CAC 40 up 0.7% and the SBF 120 advancing by 0.68%. Over three months, the stock now shows a gain of more than 28%.


Ubisoft Shares Climb to €5.32 on Annual Results Day

Annual Publication Anticipated After Several Sessions of Increase

The financial calendar marks the publication of revenue and results for the fiscal year 2025-2026 of Ubisoft for today. The stock approaches this appointment on an upward trend, with a weekly gain of 7.13% and a quarterly increase of 28.14%. In the previous session, the share price had already climbed to €5.52, 24 hours before the publication. The context remains tense in terms of short positions. According to statements reviewed, the cumulative net short positions reach 14.72% of the capital, declared by eleven funds, including Citadel Advisors (3.06%), Marshall Wace (2.22%), and D. E. Shaw (1.79%). This level has increased by 0.41 points over thirty days. Over a year, the stock remains heavily depreciated, with a decline of 46.45%.

Among the Strongest Gains in the SBF 120 During the Session

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The stock is among the strongest gains of the SBF 120 in the session, in a segment driven by technology stocks (Soitec, STMicroelectronics). At €5.32, the price approaches the resistance threshold identified at €5.34, already tested in previous sessions. The stock maintains itself above its 20-day moving average (€5.02) with a gap of nearly 6%, and its 50-day average (€4.48) with a gap close to 19%. The 200-day average, at €6.43, remains 17.29% above the current price, indicating that the medium-term dynamics remain degraded despite the recent rebound. The RSI at 58 indicates a buying configuration without excess, after the peak observed in mid-May. The publisher had already experienced a marked reaction during the significant rise on May 14, which had brought the stock in contact with the upper Bollinger bands.



Sector Médias / publicité / divertissement · Jeux vidéo · Loisirs / sport · Divertissement Divertissement électronique


Assurance vie

Context

Period
  • Period: 9M 2025-2026
Key reported figures
  • Revenue: 976,2 millions d'euros
  • Quarterly revenue: 318,4 millions d'euros
  • Revenue growth: -1,4 %
Outlook / guidance
  • Expected revenue: Le Net bookings environ 1,5 milliard d'euros pour l’exercice 2025-26
  • Expected EBITDA: Un EBIT non-IFRS d’environ -1 milliard d'euros
  • Management commentary: Objectifs 2025-26 confirmés: Net bookings environ 1,5 milliard d'euros; EBIT non-IFRS d’environ -1 milliard d'euros; Free cash flow compris entre -400 millions d'euros et -500 millions d'euros; Dette nette non-IFRS comprise entre 150 millions d'euros et 250 millions d'euros.

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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