France CAC 40 Index Sees Mixed Results, Top Gainers and Losers Revealed

May 29 2025 01:01 PM IST
The France CAC 40 index has fallen by 0.49% today, with a positive advance decline ratio of 1.55x. Top gainers include Florentaise SA, Poxel SA, and Fashion B. Air SA, while top losers are Alchimie SAS, Hotelim SA, and GeNeuro SA (Switzerland). The index is currently trading at 7,788.10 with a loss of 38.69 points. AXA SA, Edenred SE, and Gecina SA are the top large cap, mid cap, and small cap gainers, while Dassault Systèmes SA, Thales SA, and Carrefour SA are the top losers. Only 1 sector is declining, with the France CAC 40 index itself being the top losing sector. This mixed performance can be attributed to various factors such as global economic conditions and company earnings. Investors should closely monitor the market and make informed decisions based on their risk tolerance and investment goals.



The market in France is seeing mixed results today, with the France CAC 40 index falling by 0.49%. The advance decline ratio across the index is 1.55x, with 284 advances and 183 declines. This indicates a slightly positive sentiment in the market.

Among the top gainers in the France CAC 40 index are Florentaise SA, Poxel SA, and Fashion B. Air SA, with gains of 39.83%, 39.06%, and 35.71% respectively. On the other hand, the top losers include Alchimie SAS, Hotelim SA, and GeNeuro SA (Switzerland) with losses of 43.88%, 17.78%, and 12.86%.

The France CAC 40 index is currently trading at 7,788.10 with a loss of 38.69 points or 0.49%. Among the top large cap gainers is AXA SA with a gain of 0.95%, while Edenred SE and Gecina SA are the top mid cap and small cap gainers with gains of 1.66% and 1.35% respectively. On the other hand, Dassault Systèmes SA, Thales SA, and Carrefour SA are the top large cap, mid cap, and small cap losers with losses of 0.72%, 2.02%, and 1.25% respectively.

Out of the 1 sectors advancing today, 0 sectors are seeing gains while 1 sector is declining. The top losing sector is the France CAC 40 index itself, with a decline of 0.49%. This mixed performance in the market can be attributed to various factors such as global economic conditions, company earnings, and political events. Investors should closely monitor the market and make informed decisions based on their risk tolerance and investment goals.

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