ENXTPA:MRN
ENXTPA:MRNElectrical

Why Mersen (ENXTPA:MRN) Is Down 14.5% After Cutting Outlook Due to Ongoing Solar Weakness

Mersen recently reported Q3 results that missed market expectations, citing ongoing weakness in its solar power segment and reducing its full-year organic sales growth, profit margin, and capital expenditure guidance due to a lack of recovery in this area. An important takeaway is that management expressed limited visibility on a turnaround in the solar segment, prompting analysts to anticipate downward revisions to consensus estimates for the company. We'll explore how weak activity and...
ENXTPA:URW
ENXTPA:URWRetail REITs

Assessing Unibail-Rodamco-Westfield's (ENXTPA:URW) Valuation After Recent Share Price Gains

Unibail-Rodamco-Westfield (ENXTPA:URW) has seen its shares fluctuate over the past week, reflecting ongoing investor interest in the commercial real estate sector. With a steady return in the past month, there is an upbeat mood among shareholders. See our latest analysis for Unibail-Rodamco-Westfield. Unibail-Rodamco-Westfield's share price has climbed 23.26% year-to-date, while the past year’s total shareholder return of 23.11% and a notable 109.58% over three years highlight upward momentum...
ENXTPA:MRN
ENXTPA:MRNElectrical

Mersen (ENXTPA:MRN): Evaluating Value After Solar Weakness and Earnings Miss Reshape Market Expectations

Mersen (ENXTPA:MRN) caught investor attention after its shares took a steep dive, following the release of Q3 results that fell short of expectations. This was driven largely by sluggish performance in its solar power segment. See our latest analysis for Mersen. After gaining impressive ground for much of 2024, Mersen's share price has now swung sharply as recent weak solar segment results rattled the market. The stock dropped 18.3% in a single day but still holds a 12.4% year-to-date price...
ENXTPA:DG
ENXTPA:DGConstruction

What Vinci (ENXTPA:DG)'s Resilient 2025 Guidance Amid Tax Headwinds Means For Shareholders

Vinci SA recently confirmed its 2025 earnings guidance following solid third-quarter results, reporting group revenue of €19.4 billion, up 4.7%, and continued growth in airport traffic and Energy Solutions segments. The company also highlighted that a one-off increase in France's corporate income tax for large companies is expected to reduce 2025 net income by an estimated €0.4 billion, underscoring its exposure to regulatory changes in its home market. We’ll assess how Vinci’s ability to...
ENXTPA:IPS
ENXTPA:IPSMedia

Ipsos (ENXTPA:IPS) Is Down 5.2% After Trimming 2025 Outlook Amid Slower Public Sector Activity

In its Q3 2025 earnings update, Ipsos reported a 2.9% organic growth rebound, but trimmed its full-year outlook due to ongoing weakness in public sector activity and broader external challenges. The company's leadership transition, integration of The BVA Family acquisition, and upcoming strategy announcement focused on digital and AI signal a significant transformation in its business model. We'll examine how Ipsos's lowered annual guidance and focus on digital acceleration could reshape its...
ENXTPA:KER
ENXTPA:KERLuxury

Kering (ENXTPA:KER) Divests Beauty Unit and Trims Debt—Is Its Focus on Fashion Paying Off?

Kering SA reported that its group revenue for the third quarter of 2025 was €3.42 billion, representing a 10% decline as reported and a 5% decline on a comparable basis, with performance at Gucci and across the portfolio showing sequential improvement over the previous quarter. In parallel, Kering agreed to sell its beauty division and certain fragrance licenses to L'Oréal for €4 billion in cash, aligning with a broader restructuring plan to refocus on fashion and reduce debt while entering...
ENXTPA:MF
ENXTPA:MFDiversified Financial

Wendel (ENXTPA:MF): Evaluating Valuation After Recent Share Price Gain

Wendel (ENXTPA:MF) has seen a modest share price increase of 1.8% today and is up 4% over the past week. Investors might be reviewing the company’s recent performance and valuation as they consider next moves. See our latest analysis for Wendel. With today’s share price now at €82.0, Wendel’s recent gains have helped stem some of this year’s declines, though momentum has been uneven. The 1-year total shareholder return is still down 5.3%, but over three and five years, patient investors have...
ENXTPA:ML
ENXTPA:MLAuto Components

Did Weaker Nine-Month Sales and Lower Guidance Just Shift Michelin’s (ENXTPA:ML) Investment Narrative?

Earlier this week, Compagnie Générale des Établissements Michelin Société en commandite par actions reported group sales of €19.28 billion for the nine months ended September 30, 2025, down from €20.17 billion a year earlier. This sales decrease, tied to market contractions and heightened competition in North America and Europe, prompted Michelin to revise its full-year guidance downward and lower profit forecasts. We'll assess how this sales decline and revised outlook impact Michelin's...
ENXTPA:AMUN
ENXTPA:AMUNCapital Markets

Is Amundi Trading Below Fair Value After Its Latest Sustainability Push?

Thinking about what’s next for Amundi’s stock? You are not alone. Whether you have held on through the years or are weighing a new position, it is hard to ignore a company that has delivered nearly 71% growth over the past three years. Even if the pace has slowed, with a 3.0% rise so far this year and a modest 1.0% bump just this past week, there is a sense that something is stirring beneath the surface. Some of that recent uplift comes on the back of Amundi’s push into new markets and the...
ENXTPA:SAN
ENXTPA:SANPharmaceuticals

Sanofi (ENXTPA:SAN) Margin Jump to 14% Reinforces Bullish Narrative on Quality Earnings

Sanofi (ENXTPA:SAN) delivered net profit margins of 14%, up from 9.3% a year ago, and last year’s earnings grew 73.6% after five years of average annual declines of 14.5%. With earnings now forecast to climb 12.48% per year and profit and revenue expected to outpace the broader French market, these headline numbers make a strong case for a shift in investor sentiment. Improved profitability, a six-reward indicator profile, and a substantially lower Price-To-Earnings Ratio compared to peers...
ENXTPA:DSY
ENXTPA:DSYSoftware

Dassault Systèmes (ENXTPA:DSY) Earnings Growth Slows, Challenging Bullish Margin Expansion Narratives

Dassault Systèmes (ENXTPA:DSY) delivered annual earnings growth of 1.2%, falling short of its robust five-year compound rate of 16.7%. Net profit margins edged down to 18% from last year’s 18.5%, and shares are trading at €25.69, just below the estimated fair value of €25.88. Looking ahead, analysts forecast earnings growth of 10.2% per year and revenue growth of 6.2% per year. This beats the French market’s sales outlook but trails its earnings momentum. See our full analysis for Dassault...
ENXTPA:OVH
ENXTPA:OVHIT

OVHcloud (ENXTPA:OVH) Profitability Marks Earnings Breakout, Challenging Cautious Valuation Narratives

OVH Groupe (ENXTPA:OVH) has turned profitable, posting 32.7% annual earnings growth over the past five years and now targeting an even stronger 63.8% yearly increase. That outpaces the broader French market’s 12.2% forecast, while revenue is projected to rise at 7.3% per year, also beating the national average. Despite impressive improvements in margins and profit quality, the shares recently traded at €8.49, above some fair value estimates. Investors are weighing robust growth expectations...
ENXTPA:ALGAE
ENXTPA:ALGAEChemicals

European Penny Stocks To Watch In October 2025

As of mid-October 2025, the European market has shown mixed performance, with the pan-European STOXX Europe 600 Index edging higher due to dovish signals from U.S. Fed Chair Jerome Powell and easing trade tensions between the U.S. and China. Amidst these broader economic movements, penny stocks remain a relevant investment area despite their somewhat outdated label. These stocks typically represent smaller or newer companies that offer potential growth opportunities at lower price points when...
ENXTPA:IPS
ENXTPA:IPSMedia

European Dividend Stocks To Consider In October 2025

As the European markets navigate a landscape shaped by dovish signals from the U.S. Federal Reserve and mixed economic indicators, investors are keenly observing opportunities in dividend stocks, which can offer stability amid volatility. In this context, selecting stocks with strong fundamentals and consistent dividend payouts becomes crucial for those looking to bolster their portfolios against market fluctuations.