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Last updated : 03/06/2026 - 17h35
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Viridien Shares Climb 2.54% Following Two Target Upgrades

By midday on Thursday, February 5, 2026, Viridien's stock has risen by 2.54%, reaching a price of 125.20 euros compared to 122.10 euros the previous day. This performance is part of a year-long upward trend, with a 120.4% increase over twelve months. The marine geophysics and data specialist is experiencing renewed interest from financial analysts.


Viridien Shares Climb 2.54% Following Two Target Upgrades

Analysts Upgrade Valuation Estimates

Recently, two research firms significantly revised their valuation estimates upwards. Oddo BHF raised its target from 100 to 130 euros this Thursday, while maintaining a neutral stance on the stock. A few days earlier, on January 19, Barclays had already increased its target from 100 to 150 euros, also maintaining a market-weight recommendation. These price adjustments reflect a reevaluation of the group's growth potential, although both institutions remain cautious in their recommendations. The average target of analysts is now well above current levels. With a price at 125.20 euros, the valuation remains below the set targets, suggesting a theoretical appreciation margin according to these estimates. This convergence in revisions is an important signal for investors seeking clarity on the stock's trajectory in the coming months.

Technical Analysis of Viridien's Stock

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From a technical perspective, Viridien is trading above its main moving averages, indicating a favorable underlying trend. The stock is trading well above its 50-day average at 105.84 euros and even more so above its 200-day average at 75.37 euros. The technical resistance identified at 128.60 euros is the next major hurdle, only a few points away from the current level. The RSI at 47 indicates a balanced situation, without any pronounced overbought or oversold conditions. The company's agenda includes the publication of its 2025 annual results on February 26, which could influence the course's trajectory. Investors will particularly monitor these figures after a year marked by strong stock appreciation. The one-month volatility stands at 10.52, while the limited beta of 0.11 shows a low correlation with general market movements, a characteristic of specialized sector values.



Sector Logiciels d'entreprise · Services industriels équipements et services pétroliers


Assurance vie

Context

Period
  • Period: 1T2026
Key reported figures
  • Revenue: 200M$
  • EBITDA: 63M$
  • Net income: -10M$
  • Free cash flow: 26M$
  • 700M$
Guidance from the release
  • Comme anticipé, le début d’année a été lent, dans un contexte de prudence accrue.
  • Contexte du marché ralenti affectant plusieurs activités.
Risks mentioned
  • Environnement de marché incertain avec des impacts sur les activités Sensing & Monitoring.
  • Retards possibles dans les attributions de projets à court terme.
Opportunities identified
  • Le modèle asset-light a permis une gestion financière disciplinée.
  • Flexibilité accrue dans le processus économique.
  • Croissance mid-single digit des nouvelles activités.

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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