Picture of Peugeot Invest SA logo

PEUG Peugeot Invest SA News Story

0.000.00%
fr flag iconLast trade - 00:00
FinancialsBalancedMid CapNeutral

Brief: Peugeot Invest NAV at Dec-End EUR 169.2 /Shr

March 25 (Reuters) - Peugeot Invest SA PEUG.PA:

NET ASSET VALUE OF EUR 169.2 PER SHARE AT 31 DECEMBER 2025

A 20% DECREASE FOR STELLANTIS IN 2025, WITH A FURTHER DECLINE IN THE BEGINNING OF 2026

PROPOSED DIVIDEND OF 3.25 EUROS

NET DEBT REDUCED TO €376 MILLION

ROTATION OF OUR PORTFOLIO IN 2025, WITH €667 MILLION IN DIVESTMENT PROCEEDS

ROTATION OF OUR PORTFOLIO IN 2025, WITH €432 MILLION WORTH OF INVESTMENTS

HAD IN 2025 EUR 181 MILLION NEGATIVE CURRENCY EFFECT, MAINLY DUE TO WEAKENING OF US DOLLAR

Q1 2026 FULL EXIT FROM LISI AND A NEW INVESTMENT IN TOTAL MOBILE/SOLVARES

Source text here

Further company coverage: PEUG.PA

 (Gdansk Newsroom)

 ((gdansk.newsroom@thomsonreuters.com; +48 58 769 66 00;))

Recent news on Peugeot Invest SA

See all news