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Actualizado hace 1m
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Vivendi SEInforme acción ENXTPA:VIV

Capitalización bursátil €1.5b
Actualizado hace 1m
Precio de las acciones
n/a
1Y-50.5%
7D2.6%
1D4.9%
Valor de la cartera
​
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Vivendi SE

Informe acción ENXTPA:VIV

Capitalización de mercado: €1.5b

  • Resumen empresa
    • Valoración
    • Crecimiento Futuro
    • Rendimiento pasado
    • Salud Financiera
    • Dividendos
  • Dirección
  • Propiedad
  • Información adicional
  • Comunidad de acciones

Vivendi (VIV) Resumen de Acciones

Vivendi SE opera en los sectores de contenidos, medios de comunicación y entretenimiento en Francia, resto de Europa, América, Asia/Oceanía y África. Saber más

Análisis fundamental de VIV
Puntuación del snowflake
Valoración0/6
Crecimiento futuro3/6
Rendimiento pasado2/6
Salud financiera1/6
Dividendos1/6

Recompensas

Se prevé un crecimiento anual de los beneficios de 53.17%

Ha pasado a ser rentable este año

Análisis de riesgos

El dividendo de 2.62% no está bien cubierto por las ganancias o los flujos de caja libres

Grandes partidas extraordinarias que afectan a los resultados financieros

Precio de las acciones volátil durante los últimos 3 meses en comparación con el mercado French


VIV Community Fair Values

Create Narrative

See what 21 others think this stock is worth. Follow their fair value or set your own to get alerts.

Analyst Price Targets

AN
AnalystConsensusTarget
40.9% infravalorado descuento intrínseco
AnalystConsensusTarget
•5mo ago

Focusing On Listed Investments And Cost Management At Gameloft Will Unlock Future Value For Stakeholders

129
0
12
AN
AnalystHighTarget
49.1% infravalorado descuento intrínseco
AnalystHighTarget
•2mo ago

Rising Broadband Penetration And Digital Ads Will Fuel Media Expansion

40
0
2
AN
AnalystLowTarget
15.1% infravalorado descuento intrínseco
AnalystLowTarget
•9d ago

Fragmented Portfolio And Rising Compliance Costs Will Erode Future Prospects

18
0
0

Top Analyst Narratives

AN
AnalystConsensusTarget
40.9% infravalorado descuento intrínseco
AnalystConsensusTarget
•5mo ago

Focusing On Listed Investments And Cost Management At Gameloft Will Unlock Future Value For Stakeholders

129
0
12
AN
AnalystHighTarget
49.1% infravalorado descuento intrínseco
AnalystHighTarget
•2mo ago

Rising Broadband Penetration And Digital Ads Will Fuel Media Expansion

40
0
2
AN
AnalystLowTarget
15.1% infravalorado descuento intrínseco
AnalystLowTarget
•9d ago

Fragmented Portfolio And Rising Compliance Costs Will Erode Future Prospects

18
0
0
View all narratives

Competidores de Vivendi SE

Métropole Télévision

Symbol: ENXTPA:MMT
Market cap: €1.5b

TF1

Symbol: ENXTPA:TFI
Market cap: €1.4b

Ipsos

Symbol: ENXTPA:IPS
Market cap: €1.5b

Louis Hachette Group

Symbol: ENXTPA:ALHG
Market cap: €1.7b

Historial de precios y rendimiento

Resumen de las cotizaciones máximas, mínimas y variaciones del Vivendi
Precios históricos de las acciones
Precio actual de la acción€1.53
Máximo en las últimas 52 semanas€3.21
Mínimo de 52 semanas€1.46
Beta1.22
Cambio en 1 mes-9.80%
Variación en 3 meses-29.13%
Cambio de 1 año-50.49%
Variación en 3 años-81.16%
Variación en 5 años-95.15%
Variación desde la OPV-97.87%

Noticias y actualizaciones recientes

User avatar
Actualización de narrativa • Sep 04

VIV: Cost Efficiencies And Business Mix Shift Will Support Future Upside

Analysts have reduced their fair value estimate for Vivendi from €2.10 to €1.80, citing a higher discount rate and lower future P/E assumptions, while also accounting for a transition from declining to positive revenue growth and generally stable profit margins. Analyst Commentary on Vivendi Recent research on Vivendi points to a more cautious tone from several firms, with price targets adjusted closer to the revised €1.80 fair value estimate.

Recent updates

User avatar
Actualización de narrativa • Sep 04

VIV: Cost Efficiencies And Business Mix Shift Will Support Future Upside

Analysts have reduced their fair value estimate for Vivendi from €2.10 to €1.80, citing a higher discount rate and lower future P/E assumptions, while also accounting for a transition from declining to positive revenue growth and generally stable profit margins. Analyst Commentary on Vivendi Recent research on Vivendi points to a more cautious tone from several firms, with price targets adjusted closer to the revised €1.80 fair value estimate.
User avatar
Actualización de narrativa • Jul 08

VIV: Buy Rating Upgrades Will Support Future Upside Potential

Vivendi's analyst price target has been trimmed by €0.20, reflecting a slightly lower fair value estimate as analysts balance recent target reductions from JPMorgan with higher targets and a rating upgrade from Kepler Cheuvreux, along with Deutsche Bank's upward revision. Analyst Commentary Recent research on Vivendi points to a mix of caution and optimism, with several bullish analysts highlighting potential upside in the stock despite some trimmed targets.
User avatar
Actualización de narrativa • Jun 15

VIV: Mixed Outlook With Buy Rating Shifts And Planned Buybacks

Vivendi's analyst price target has been adjusted slightly, with recent changes such as JPMorgan trimming its target to €2.60 from €2.70 and Kepler Cheuvreux raising its target to €2.70 from €2.40, as analysts factor in updated views on profitability and sector conditions. Analyst Commentary Recent research on Vivendi shows a mix of views, with some firms lifting their stance while others trim price targets.
User avatar
Actualización de narrativa • Jun 01

VIV: Luxury Media Expansion And Buybacks Will Support Future Upside Potential

Vivendi's analyst price target has seen mixed adjustments, with changes of up to €0.60 in both directions as analysts factor in updated views on earnings potential, profitability, and valuation multiples. Analyst Commentary Recent Street research on Vivendi reflects a mix of caution and optimism, with several firms revisiting their price targets as they reassess earnings potential, profitability, and valuation multiples.
User avatar
Actualización de narrativa • Apr 28

VIV: Luxury Media Expansion And Buybacks Will Support Future Earnings Power

Vivendi's updated analyst price targets have shifted by €0.30 overall as analysts fine tune their expectations following a series of small target raises and cuts that reflect revised assumptions on fair value, discount rates, revenue growth and profit margins. Analyst Commentary Recent Street research on Vivendi shows a mix of higher and lower price targets, with the net €0.30 shift reflecting how closely analysts are recalibrating their views on valuation, execution and earnings power.
User avatar
Actualización de narrativa • Apr 13

VIV: Cooler Outlook And Buyback Plan Will Shape Near Term

Narrative Update on Vivendi The analyst price target for Vivendi has been reduced from €2.80 to €2.20, with analysts pointing to updates in fair value estimates, a higher discount rate, and revised expectations for revenue growth, profit margins, and future P/E as key drivers of the change. Analyst Commentary Recent Street research on Vivendi reflects a more cautious tone, with several bearish analysts trimming price targets in quick succession.
User avatar
Actualización de narrativa • Mar 30

VIV: Future Returns Will Reflect Moderated Expectations And Ongoing Share Repurchase Support

Narrative Update The updated analyst price target for Vivendi has edged lower by about €0.60, as analysts factor in a slightly higher discount rate, more moderate revenue growth assumptions, a marginally firmer profit margin outlook, and a small adjustment to the future P/E multiple. Analyst Commentary Recent research points to a slightly more cautious stance on Vivendi, with updated price targets reflecting a reassessment of both execution risks and longer term growth potential.
User avatar
Actualización de narrativa • Mar 16

VIV: Future Returns Will Benefit From Repriced Earnings Multiple Assumptions

Analysts have trimmed their Vivendi price target from €3.16 to €2.66 as they factor in a higher discount rate, adjust profit margin expectations lower, and apply a much higher future P/E multiple in their valuation work. Valuation Changes Fair Value: revised from €3.16 to €2.66, reflecting a lower central estimate for the shares.
User avatar
Actualización de narrativa • Dec 20

VIV: Stronger Margins Will Support Upgraded Earnings Power And Upside Potential

Vivendi's analyst price target has been modestly increased to EUR 3.00 from EUR 2.90, as analysts point to slightly faster expected revenue growth, significantly stronger profit margins, and a lower assumed future P/E multiple to support the revised fair value. Analyst Commentary Recent updates from bullish analysts signal growing confidence in Vivendi's earnings power and strategic execution, even as the nominal change in the price target appears modest.
User avatar
Actualización de narrativa • Dec 06

VIV: Long-Term Returns Will Benefit From Lower Perceived Cash Flow Risk

Vivendi's analyst price target has been modestly increased to EUR 3.00 from EUR 2.90, as analysts cite a slightly lower discount rate and marginally improved long term valuation assumptions, despite only negligible changes to revenue growth and profitability forecasts. Analyst Commentary Recent research updates highlight a nuanced view of Vivendi, with modest target changes but a consistent positive stance on the shares.
User avatar
Actualización de narrativa • Nov 22

VIV: Long-Term Returns Will Remain Resilient Despite Price Estimate Revisions

Vivendi’s fair value price target has been reduced from €3.55 to €3.20. Analysts cite modestly slower revenue growth and a higher discount rate as reasons for the revision.
User avatar
Actualización de narrativa • Aug 07

Focusing On Listed Investments And Cost Management At Gameloft Will Unlock Future Value For Stakeholders

Vivendi's fair value estimate has seen a marginal upward revision, as both the consensus analyst price target and future P/E multiple remain essentially unchanged. What's in the News The European Commission has formally accused Vivendi of breaching EU merger rules during its takeover of Lagardère, specifically for implementing the transaction prior to notifying regulators and obtaining necessary approvals.
User avatar
Nueva narrativa • Mar 09

Focusing On Listed Investments And Cost Management At Gameloft Will Unlock Future Value For Stakeholders

Transformation and restructuring through asset spin-offs aim to unlock value, enhancing revenue and earnings as Vivendi focuses on listed investments.
Artículo de análisis • Apr 24

Vivendi SE (EPA:VIV) Could Be Riskier Than It Looks

With a median price-to-sales (or "P/S") ratio of close to 0.7x in the Media industry in France, you could be forgiven...
Artículo de análisis • Apr 05

Here's Why Vivendi (EPA:VIV) Can Manage Its Debt Responsibly

Legendary fund manager Li Lu (who Charlie Munger backed) once said, 'The biggest investment risk is not the volatility...
Artículo de análisis • Mar 15

The Strong Earnings Posted By Vivendi (EPA:VIV) Are A Good Indication Of The Strength Of The Business

Even though Vivendi SE's ( EPA:VIV ) recent earnings release was robust, the market didn't seem to notice. Our analysis...
Artículo de análisis • Mar 02

When Should You Buy Vivendi SE (EPA:VIV)?

Today we're going to take a look at the well-established Vivendi SE ( EPA:VIV ). The company's stock received a lot of...
Artículo de análisis • Jan 08

Are Investors Undervaluing Vivendi SE (EPA:VIV) By 32%?

Key Insights Using the 2 Stage Free Cash Flow to Equity, Vivendi fair value estimate is €14.48 Vivendi is estimated to...
Artículo de análisis • Dec 14

Vivendi (EPA:VIV) Seems To Use Debt Quite Sensibly

David Iben put it well when he said, 'Volatility is not a risk we care about. What we care about is avoiding the...
Artículo de análisis • Nov 23

When Should You Buy Vivendi SE (EPA:VIV)?

While Vivendi SE ( EPA:VIV ) might not be the most widely known stock at the moment, it had a relatively subdued couple...
Artículo de análisis • Sep 08

Vivendi SE's (EPA:VIV) Intrinsic Value Is Potentially 39% Above Its Share Price

Key Insights Vivendi's estimated fair value is €11.32 based on 2 Stage Free Cash Flow to Equity Vivendi is estimated to...
Artículo de análisis • Aug 17

These 4 Measures Indicate That Vivendi (EPA:VIV) Is Using Debt Reasonably Well

Legendary fund manager Li Lu (who Charlie Munger backed) once said, 'The biggest investment risk is not the volatility...
Artículo de análisis • Jul 30

Is It Time To Consider Buying Vivendi SE (EPA:VIV)?

Vivendi SE ( EPA:VIV ), is not the largest company out there, but it received a lot of attention from a substantial...
Artículo de análisis • Apr 14

Vivendi (EPA:VIV) Has A Pretty Healthy Balance Sheet

David Iben put it well when he said, 'Volatility is not a risk we care about. What we care about is avoiding the...
Artículo de análisis • Feb 06

Should You Think About Buying Vivendi SE (EPA:VIV) Now?

Today we're going to take a look at the well-established Vivendi SE ( EPA:VIV ). The company's stock saw a decent share...
Artículo de análisis • Dec 11

Estimating The Fair Value Of Vivendi SE (EPA:VIV)

How far off is Vivendi SE ( EPA:VIV ) from its intrinsic value? Using the most recent financial data, we'll take a look...
Artículo de análisis • Oct 28

At €8.34, Is It Time To Put Vivendi SE (EPA:VIV) On Your Watch List?

While Vivendi SE ( EPA:VIV ) might not be the most widely known stock at the moment, it received a lot of attention...
Artículo de análisis • Sep 15

These 4 Measures Indicate That Vivendi (EPA:VIV) Is Using Debt Reasonably Well

David Iben put it well when he said, 'Volatility is not a risk we care about. What we care about is avoiding the...

Rentabilidad de los accionistas

VIVFR EntertainmentMercado FR
7D2.6%3.3%-1.5%
1Y-50.5%-43.5%-1.5%

Rentabilidad vs. Industria: Los resultados de VIV fueron inferiores a los de la industria French Entertainment, que obtuvo un rendimiento del -43.5% el año pasado.

Rentabilidad vs. Mercado: VIV obtuvo unos resultados inferiores a los del mercado French, que fueron del -1.5% el año pasado.

Volatilidad de los precios

Is VIV's price volatile compared to industry and market?
VIV volatility
VIV Average Weekly Movement7.5%
Entertainment Industry Average Movement7.5%
Market Average Movement4.3%
10% most volatile stocks in FR Market8.9%
10% least volatile stocks in FR Market2.1%

Precio estable de las acciones: El precio de las acciones de VIV ha sido volátil durante los últimos 3 meses en comparación con el mercado French.

Volatilidad a lo largo del tiempo: La volatilidad semanal de VIV(8%) se ha mantenido estable durante el último año, pero sigue siendo superior al 75% de las acciones de French.

Acerca de la empresa

FundadaEmpleadosCEOPágina web
18532,500Arnaud N. P. M. G. de Puyfontainewww.vivendi.com

Vivendi SE opera en los sectores de contenidos, medios de comunicación y entretenimiento en Francia, el resto de Europa, América, Asia/Oceanía y África. La empresa crea y publica juegos para diversas plataformas digitales, como móviles, PC y consolas, y participa en los negocios de música grabada, edición musical, productos basados en música y contenidos audiovisuales. También ofrece servicios de apuestas deportivas en línea; servicios de conectividad fija y móvil, así como servicios digitales para clientes residenciales y empresariales; y contenidos de educación, noticias y entretenimiento en los mercados de habla hispana y portuguesa, además de crear, desarrollar, vender, producir y distribuir contenidos.

Resumen de fundamentos de Vivendi SE

¿Cómo se comparan los beneficios e ingresos de Vivendi con su capitalización de mercado?
Estadísticas fundamentales de VIV
Capitalización bursátil€1.52b
Beneficios(TTM)€16.00m
Ingresos (TTM)€302.00m
95.1x
Ratio precio-beneficio (PE)
5.0x
Ratio precio-ventas (PS)

¿Está VIV sobrevalorada?

Ver valor justo y análisis de valoración

Beneficios e Ingresos

Estadísticas clave de rentabilidad del último informe de resultados (TTM)
Cuenta de resultados (TTM) de VIV
Ingresos€302.00m
Coste de los ingresos€205.00m
Beneficio bruto€97.00m
Otros gastos€81.00m
Beneficios€16.00m

Últimos beneficios comunicados

Jun 30, 2026

Próxima fecha de beneficios

n/a

Beneficios por acción (BPA)0.016
Margen bruto32.12%
Margen de beneficio neto5.30%
Ratio deuda/patrimonio38.4%

¿Cómo se ha desempeñado VIV a largo plazo?

Ver rendimiento histórico y comparativa

Dividendos

2.6%
Rentabilidad actual por dividendo
250%
Ratio de pagos

Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/09/14 09:33
Precio de las acciones al final del día2026/09/11 00:00
Beneficios2026/06/30
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
  • Formulario SEC 10-K
  • Formulario SEC 10-Q
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
  • Informes de análisis
  • Blue Matrix
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
  • Datos de mercado ICE
  • Formulario S-1 de la SEC
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
  • Formulario SEC 4
  • Formulario SEC 13D
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
  • Formulario SEC 10-K
  • Formulario SEC DEF 14A
Principales avances10 años
  • Anuncios de empresas
  • Formulario SEC 8-K

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

Vivendi SE está cubierta por 24 analistas. 5 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
William Noel MilnerArete Research Services LLP
Alvaro del Pozo MarotoBanco de Sabadell. S.A.
Carlos Javier Treviño PeinadorBanco Santander

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