Idéal Investisseur
Français English
CAC 40 : Market open
8 482,31 pts
-0.02%


Last updated : 24/08/2026 - 11h52
🏠 Home   ➤    Stock news

Verallia Stock Drops 2.5% and Breaks Its €19.50 Support

The French glass packaging manufacturer falls during the session, while the SBF 120 remains stable. The stock has fallen below a closely watched technical threshold, after a rebound phase that began in late April.


Verallia Stock Drops 2.5% and Breaks Its €19.50 Support

The Stock Breaks the €19.50 Support and Drops Below Its Short-Term Moving Averages

Verallia's stock fell by 2.26% to €19.43, after breaking its €19.50 support during the session. The stock has fallen below its 20-day and 50-day moving averages, located at €19.85 and €19.74 respectively, which represents a gap of about 2% below the 20-day MA and 1.6% below the 50-day MA. The 200-day MA at €21.42 is still nearly 9.3% away, indicating ongoing underlying pressure on the stock after a nearly 31% drop over the past year. The RSI at 52 remains neutral and does not enhance the bearish signal of the day: the movement is more read as a break of short-term support rather than a selling frenzy.

A Decline That Erases Part of the Rebound Started in Late April

Free · Every morning
Technical market signals, before the opening bell.
Bullish and bearish momentum, analyst changes, stocks to watch — automatically computed from Euronext data.
Before 9 AM every morning Euronext data AI-powered analysis

The session erases some of the gains accumulated over three months, during which the stock still shows a progress of 15.45%. On June 12, the stock had already attempted to challenge the €20.38 resistance without managing to break it, before losing the gained ground. Additionally, the company is coming out of a busy corporate sequence, with the payment of the 2025 dividend at the beginning of June and the option in shares chosen by 88.90% of the capital. The next technical reference zone is now around the 50-day MA at €19.74, a level the stock must reclaim to erase the break of the day.



Sector Grande consommation · Matériaux / matières premières Conteneurs et emballages


Free · every morning · before 9am
Never miss a move on your stocks
The trend behind the prices · Euronext

Context

Period
  • Period: 1S2026
Key reported figures
  • Revenue: 1699M€
  • EBITDA: 352M€
  • EBITDA margin: 20,7%
  • Free cash flow: 102M€
Guidance from the release
  • « Sur le premier semestre, Verallia a réalisé une performance résiliente dans un contexte géopolitique et économique difficile au second trimestre. »
  • Volumes stables au premier semestre, la croissance dans la plupart des pays compensant la baisse attendue de l'activité en Allemagne. Le chiffre d'affaires recule de 1,4 % (-1,0 % à périmètre et taux de change constants) principalement en raison de la baisse des prix de vente. L'EBITDA ajusté est stable à 352 M€ pour une marge de 20,7 %, en hausse de 33 points de base. Le free cash-flow progresse de 36 M€ à 102 M€ et le ratio d'endettement s'améliore légèrement à 2,6x l'EBITDA ajusté des 12 derniers mois, après paiement de 11 M€ de dividendes en cash. La liquidité reste élevée à 976 M€ au 30 juin 2026.
Risks mentioned
  • Baisse attendue de l'activité en Allemagne
  • Baisse des prix de vente pesant sur le chiffre d'affaires
  • Détérioration possible de la situation au Moyen-Orient, condition des objectifs 2026
  • Contexte géopolitique et économique difficile et toujours incertain
Opportunities identified
  • Premiers effets positifs des plans d'optimisation de l'empreinte industrielle
  • Croissance des volumes dans la plupart des pays
  • Amélioration séquentielle de la marge d'EBITDA (19,9 % au T1 2026 à 21,4 % au T2)
  • Génération de trésorerie en hausse de 36 M€
  • Liquidité élevée de 976 M€ au 30 juin 2026

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.

Advertisement
Every morning
Technical market signals,
before the opening bell.
CAC 40 · SBF 120 · Signals · Analysts
🤖
Today's edition — pre-market
CAC 40
7 702
-0,87%
SBF 120
5 827
-0,87%
📈 Bullish signals
+5,2%
+1,8%
+0,9%
📉 Bearish signals
-14%
-5,7%
🔄 Analyst opinions
▲ 35 €
▼ 80 €
Sign up to see everything →
Before 9 AM every morning
Euronext data
AI-powered analysis





BOURSE · Chaque matin
La synthèse bourse,
avant l'ouverture.
Notre moteur analyse chaque nuit le CAC 40 et le SBF 120. Ce qui mérite attention remonte directement dans votre boîte mail. Gratuit.
Avant 9h00 1000+ inscrits 100% gratuit
Gratuit · chaque matin
Ne ratez plus rien sur vos actions
La tendance derrière les cours sur les valeurs Euronext, chaque matin avant 9h.
tendance · 6 séances
📈les valeurs en mouvement, sur la durée
🎯les objectifs d'analystes qui évoluent
📰les actualités qui font bouger les cours