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Last updated : 24/08/2026 - 14h18
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Vicat Shares Surge 3.52%, Crossing a Technical Threshold

The stock of the French cement company closed on Thursday at 61.70 euros, marking a significant rise in a slightly negative Parisian market context.


Vicat Shares Surge 3.52%, Crossing a Technical Threshold

Strong Closing Performance

Vicat's stock ended the session with a strong increase of 3.52%, at 61.70 euros compared to 59.60 euros the previous day. This upward trend began in the midday, where the stock was already up by 3.36%, confirming a buying momentum that persisted until the close. The movement is part of a positive short-term trend, with a weekly performance of 3.18% and a three-month increase of 2.32%. Trading volumes remained modest, representing only 0.06% of the capital, suggesting a rise achieved without significant selling pressure but also without a massive influx of liquidity. Over the past year, Vicat has shown a remarkable performance of 71.87%, significantly outperforming the CAC 40, which gained 6.91% over the same period. This session took place against the backdrop of the Parisian market, with the benchmark index down by 0.23% at 8,041.36 points. The negative beta of the stock, established at -0.22, illustrates this weak correlation with the movements of the CAC 40, or even a tendency to move in the opposite direction during certain sessions.

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From a graphical perspective, the closing at 61.70 euros positions the stock just above the resistance threshold identified at 62 euros, a breakthrough that could pave the way for further gains if this level is confirmed as support in upcoming sessions. The stock is now well above its 50-day moving average, located at 59.63 euros, indicating a bullish dynamic in the short term. The distance from the 200-day moving average, positioned at 52.77 euros, reflects the magnitude of the annual rebound and confirms a solidly upward-oriented long-term trend. The Bollinger Bands, currently framing the prices between 58.95 euros and 61.62 euros, indicate that the stock closes slightly above the upper boundary. This configuration reflects an extension of the bullish movement beyond the normal volatility zone, but without excessive character. The Relative Strength Index (RSI) is at 47, in the neutral zone, meaning that the stock is neither overbought nor oversold. This median position allows room for further progress without immediate signs of fatigue.

Indicators Suggest Continued Positive Momentum

The MACD indicator, currently at -0.10, remains in negative territory but is approaching its signal line established at 0.01, which could foresee a bullish crossover if the momentum continues. The MACD histogram, at -0.11, confirms this proximity and suggests a weakening of the previously observed bearish pressure. The Chaikin Money Flow, measured at 0.05, displays a slightly positive value, indicating a modest but present buying flow, consistent with the day's rise. Conversely, the On Balance Volume (OBV), established at -244,714, remains in negative territory, which may reflect a historical accumulation of selling pressures or gradual capital outflows. This volume-weighted indicator contrasts with the recent performance of the price, suggesting that the current rise is more based on a reduction in sales than on a massive influx of buyers. The monthly volatility, contained at 7.15%, shows a relatively stable trajectory despite the accumulated gains, offering a moderate risk profile for investors following the stock.



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


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Context

Period
  • Period: 1S2026
Key reported figures
  • Revenue: 2036M€
  • EBITDA: 367M€
  • EBITDA margin: 18,0%
  • Net income: 133M€
  • Free cash flow: -36M€
  • 1327M€
Guidance from the release
  • Une nouvelle fois, le Groupe livre de solides résultats, portés par des hausses de prix dans la quasi-totalité des géographies, la confirmation de la reprise des volumes aux États-Unis et la très bonne dynamique des pays émergents.
  • Vicat affiche une croissance organique du chiffre d'affaires de +10,8 % (+8,0 % en publié, effet de change défavorable de -69 M€) et un EBITDA en hausse de +13,6 % à périmètre et change constants, avec une marge portée à 18,0 %. La performance est tirée par l'Afrique (Sénégal, four 6), le Brésil, l'Égypte et le Kazakhstan, tandis que l'Europe reste résiliente et que les États-Unis et l'Inde reculent en rentabilité. Le cash-flow libre est négatif à -36 M€ du fait de la saisonnalité et du besoin en fonds de roulement, mais l'endettement net baisse sur un an à 1 327 M€ (leverage 1,65x). Les objectifs 2026 sont relevés.
Risks mentioned
  • Hausse des coûts de l'énergie devant se matérialiser davantage au second semestre
  • Effets de change défavorables (dollar, roupie indienne, livres turque et égyptienne)
  • Visibilité limitée aux États-Unis et en Inde, prix volatils et concurrence tendue
  • Contexte géopolitique au Moyen-Orient pouvant affecter l'activité et la logistique
Opportunities identified
  • Contribution en année pleine du four 6 au Sénégal améliorant les coûts de production
  • Hausses de prix annoncées aux États-Unis à compter de l'été
  • Acquisition d'Araïko renforçant les capacités en intelligence artificielle industrielle
  • Demande liée aux data centers dans le Sud-Est des États-Unis
  • Projet Catch4climate : démarrage du démonstrateur oxyfuel de seconde génération

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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