Vivendi SE header image

Vivendi SE

VIV

Equity

ISIN FR0000127771 / Valor 1165915

Euronext - Euronext Paris (2025-11-18)
EUR 2.88-0.07%

Vivendi SE
UMushroom community rating:

star star star star star
0.00 0 votes No rating yet
NegativeNeutralPositive

About company

Vivendi SE is a French multinational company primarily engaged in the media and entertainment sectors. It operates through a diverse portfolio of businesses, including music, television, film, video games, and publishing. The company owns Universal Music Group, one of the largest music companies globally, and Canal+ Group, a significant player in the television and film industry. Additionally, Vivendi has interests in advertising through Havas Group and in video games via Gameloft. The company is known for its strategic investments and acquisitions, which aim to enhance its influence and capabilities across the media landscape. Through its various subsidiaries, Vivendi seeks to leverage synergies and drive innovation within its core areas of operation.

Summarized from source with an LLMView SourceSector: Consumer Non-Cyclicals

Latest Results (08.10.2025):

Vivendi SE reported its financial results for the first half of 2025, demonstrating significant improvements across various key metrics.

Gameloft Performance

Gameloft achieved a good performance, with revenues increasing by more than 8% to €143 million for the first half of 2025. EBITA also saw a strong rise, up by €20 million compared to the first half of 2024.

Reduction in Corporate Costs

Corporate costs decreased to €52 million for the first half of 2025, down from €65 million in the same period of 2024.

Improvement in EBITA

Vivendi’s EBITA was €18 million, marking an improvement of €47 million compared to the first half of 2024.

Profit Attributable to Shareowners

Earnings attributable to Vivendi SE shareowners amounted to a profit of €30 million.

Investment Portfolio Changes

The portfolio of listed and unlisted investments stood at €7 billion, following the sale of most TIM shares and the acquisition of Lagardère shares through the subsidiary offer of the 2022 takeover bid.

Reduction in Financial Net Debt

Financial Net Debt was reduced to €1.8 billion as of June 30, 2025, compared to €2.6 billion as of December 31, 2024.

Summarized from source with an LLMView Source

Key figures

-20.4%1Y
-14.1%3Y
-43.0%5Y

Performance

39.5%1Y
28.1%3Y
31.9%5Y

Volatility

Market cap

3356 M

Market cap (USD)

Daily traded volume (Shares)

933,073

Daily traded volume (Shares)

1 day high/low

2.555 / 2.51

1 day high/low (USD)

52 weeks high/low

0.00 / 0.00

52 weeks high/low (USD)

Dividend ex-date

01 January, 2022

Dividend ex-date

Dividend

0.00

Dividend (USD)

Dividend yield (p.a.)

0.00%

Dividend yield (p.a.)

0.002022
0.002023
0.002024

Est dividend (USD)

0.00%2022
0.00%2023
0.00%2024

Est dividend yield

P/E ratio

10.00

P/E ratio

00.002022
00.002023
00.002024

Est P/E ratio

EPS

0.00

EPS (USD)

0.002022
0.002023
0.002024

Est EPS (USD)

Ratings & reviews

star star star star star

0.00

0 votes
Performance:
starstarstarstarstar
0.00
Innovation:
starstarstarstarstar
0.00
Society:
starstarstarstarstar
0.00
Nature:
starstarstarstarstar
0.00

EQUITIES OF THE SAME SECTOR

Celsius Holdings Inc
Celsius Holdings Inc Celsius Holdings Inc Valor: 10858190
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-6.15%USD 40.16
Post Holdings Inc
Post Holdings Inc Post Holdings Inc Valor: 14786937
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.78%USD 105.87
Molson Coors Beverage Company Class A
Molson Coors Beverage Company Class A Molson Coors Beverage Company Class A Valor: 2035682
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-3.23%USD 46.19
Conagra Brands Inc
Conagra Brands Inc Conagra Brands Inc Valor: 920226
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-1.89%USD 17.12
Coca-Cola Co
Coca-Cola Co Coca-Cola Co Valor: 919390
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.67%USD 70.68
S&P Global Inc
S&P Global Inc S&P Global Inc Valor: 32303352
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-1.00%USD 488.95
British American Tobacco PLC
British American Tobacco PLC British American Tobacco PLC Valor: 949872
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
1.07%USD 54.71
Archer Daniels Midland Company
Archer Daniels Midland Company Archer Daniels Midland Company Valor: 908597
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.22%USD 58.74
Constellation Brands Inc
Constellation Brands Inc Constellation Brands Inc Valor: 1132109
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
1.39%USD 130.96
TEGNA Inc
TEGNA Inc TEGNA Inc Valor: 28511168
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-0.25%USD 19.87