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Last updated : 20/07/2026 - 17h35 (last close)
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Vicat Shares Drop Nearly 3% and Fall Below Their 200-Day Moving Average

The cement company from Isère interrupts its recent rebound movement and registers a sharp decline on the Parisian market. The stock moves against the trend of a rising SBF 120, in a market where cyclical stocks are losing ground to consumer and luxury goods.


Vicat Shares Drop Nearly 3% and Fall Below Their 200-Day Moving Average

The Stock Drops 2.69% and Ranks at the Bottom of the SBF 120

Vicat shares lose 2.69% to €65.10, while the SBF 120 gains 0.21%. This decline follows a session of strong increase last Thursday, where the stock had gained more than 6%, as documented in a brief from July 3. Despite this setback, the stock still shows an increase of 4.16% over the week and 8.14% over a month. Today's movement is part of a sector rotation, with consumer staples and luxury leading the SBF 120 (Rémy Cointreau, Pernod Ricard, Carrefour, L'Oréal), while cyclicals and semiconductors are penalized.

Vicat Falls Below Its 200-Day Moving Average and Hits a Technical Ceiling Again

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Today's decline brings the stock below its 200-day moving average, located at €67.15, which is a gap of 3.05% below this long-term reference. This level has acted as a ceiling for several sessions: the stock had already hit it at the end of June, without managing to stay above it sustainably. Vicat remains above its MM20 (€63.05) and MM50 (€62.96), with a gap of about 3.3% for each, which preserves the short-term bullish structure.

The RSI at 59 indicates a neutral dynamic, without excess on either side, while the MACD remains positive (histogram at 0.71). The next level to watch is the resistance at €67.60, whose crossing would condition the exit from the medium-term channel.



Sector Immobilier / construction · Industrie · Matériaux / matières premières · BTP / infrastructures Ciment


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Context

Period
  • Period: 1T2026
Key reported figures
  • Revenue: 922M€
Guidance from the release
  • Le Groupe délivre un premier trimestre robuste, porté notamment par les hausses de prix en Europe.
  • Performance solide avec une croissance soutenue des volumes et des prix dans plusieurs régions.
Risks mentioned
  • Prolongation du conflit au Moyen-Orient pouvant affecter l'activité et les coûts énergétiques.
  • Volatilité des coûts de production due à la dépréciation de certaines devises.
Opportunities identified
  • Augmentation des prix pour compenser la hausse des coûts de l’électricité.
  • Croissance des volumes de ciment dans plusieurs régions.

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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