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Bolloré SE (BOIVF)

$4.69 +$0.08 (+1.74%) |CouncilHOLD · 47 · C
Bottom line: HOLD — our Council read (47/100) and AI Score (47/100) broadly agree.
MCap: $13.11B| Vol: 10.2K| 52-wk range: $4.96 – $6.54
Data from FMP · Methodology

For informational purposes only. Not financial advice. Analysis by Sedat ANAK, Founder & Editor-in-Chief | AI-powered analysis. Data sourced from SEC filings and institutional-grade financial providers. Editorially reviewed. Not financial advice.

Bolloré SE (BOIVF) trades at $4.69 with AI Score 47/100 (Grade C). Bolloré SE is a multinational French conglomerate with diverse operations in transportation and logistics, communications, and advanced electricity storage solutions. Market cap: $13.11B, Sector: Communication services.

Price live · AI analysis from Jun 15, 2026
Bolloré SE is a multinational French conglomerate with diverse operations in transportation and logistics, communications, and advanced electricity storage solutions. The company, established in 1822, leverages its global footprint and a broad portfolio from media to clean energy technology.

Analyst Coverage for BOIVF: BOIVF does not currently have published analyst price targets in our coverage universe. This is common for smaller-cap names with limited Wall Street coverage. In the absence of analyst consensus, our AI model evaluates BOIVF against Communication Services peers across nine fundamental dimensions and assigns an underweight signal based on the underlying data.

Council Score · Weighted Average of 3 Disciplines
HOLD 47/100 · C

BOIVF: the 1 perspectives are evenly split.

How is this calculated? →
Council Score · 8 perspectives · See tabs for details →

Bolloré SE (BOIVF) Media & Communications Profile

CEOCyrille C. Bollore
Employees3086
HeadquartersPuteaux, FR
IPO Year2010

Bolloré SE is a diversified French conglomerate operating globally across transportation and logistics, communications, and advanced electricity storage solutions. With a history dating back to 1822, it leverages a broad portfolio from freight forwarding and media ownership to pioneering LMP battery technology and electric vehicle infrastructure, serving diverse international markets.

Data Provenance | Financial Data Quantitative Analysis NASDAQ Analysis: Jun 15, 2026

What Is the Investment Thesis for BOIVF?

Bolloré SE presents a unique investment profile characterized by its highly diversified portfolio across transportation and logistics, communications, and advanced electricity storage, providing exposure to multiple economic cycles and growth vectors. The company's substantial market capitalization of $13.11B reflects its significant scale and established market presence. A key value driver is its strategic investment in Vivendi, a major media player, which contributes significantly to its communications segment. The pioneering efforts in Lithium Metal Polymer (LMP) battery technology for electric buses and stationary storage, coupled with its Bluebus electric vehicle production, position Bolloré at the forefront of the burgeoning clean energy and electric mobility markets. With a profit margin of 11.9% and a gross margin of 49.4%, the company demonstrates solid operational efficiency. The 1.47% dividend yield offers income potential. However, investors should note the P/E ratio of 43.78, indicating a premium valuation. Potential growth catalysts include continued expansion of its logistics network in emerging markets, increased adoption of its clean energy solutions, and strategic digital transformation initiatives across its diverse operations. The complex holding structure and significant debt, as highlighted by existing insights, represent ongoing risk factors that necessitate close monitoring of subsidiary performance and debt management strategies.

Based on FMP financials and quantitative analysis

BOIVF Key Highlights

  • Market capitalization stands at $17.16 billion, reflecting its substantial scale and diverse global operations.
  • Achieved a profit margin of 11.9%, indicating robust profitability across its varied business segments.
  • Maintained a gross margin of 49.4%, demonstrating strong cost control and pricing power in its core activities.
  • Operates with a Beta of 0.55, suggesting lower volatility compared to the broader market.
  • Offers a dividend yield of 1.47%, providing income generation for shareholders.

Who Are BOIVF's Competitors?

BOIVF is benchmarked below against 8 industry peers on price, market cap, and our AI MoonshotScore.

Company Price Change Market Cap AI Score
NFLX Netflix, Inc. $75.95 -2.19% $319.81B 93
DIS The Walt Disney Company $97.36 -2.15% $169.07B 66
LYV Live Nation Entertainment, Inc. $183.82 -1.48% $42.78B 72
UNVGY Universal Music Group N.V. $10.70 -1.85% $39.24B 48
FWONK Formula One Group $99.28 +0.79% $24.88B 70
TUBE TubeMogul, Inc. $14.00 -0.14% 65
ANGX Angel Studios, Inc. $3.53 -0.28% 569M 65
BREA Brera Holdings PLC Class B Ordinary Shares $25.20 +1.94% $60.85M 63

AI Score by Stock Expert AI · Price data: FMP / Yahoo Finance

What Are BOIVF's Key Strengths?

  • Highly diversified business portfolio across logistics, media, and clean energy.
  • Global operational footprint spanning multiple continents.
  • Pioneering Lithium Metal Polymer (LMP) battery technology and electric vehicle production.
  • Strong historical presence and established brand reputation since 1822.
  • Significant media assets including Cnews and pay-TV operations.

What Are BOIVF's Weaknesses?

  • Complex holding structure, potentially obscuring underlying performance.
  • Significant debt, as noted by existing AI insights, could impact financial flexibility.
  • Exposure to highly competitive and capital-intensive industries.
  • Reliance on the performance of key subsidiaries like Vivendi.
  • Unknown disclosure status for its OTC listing may deter some institutional investors.

What Could Drive BOIVF Stock Higher?

  • Continued expansion of its global logistics and port management network, particularly in high-growth regions like Africa and Asia-Pacific, is expected to drive increased revenue and market share.
  • Further advancements and commercialization of its Lithium Metal Polymer (LMP) battery technology for electric buses and stationary energy storage applications, potentially securing new contracts and partnerships.
  • Strategic developments and performance improvements within its Vivendi subsidiary, which could positively impact the communications segment's overall profitability and valuation.
  • Increased adoption and deployment of its Bluebus and Bluecar electric vehicles, along with the expansion of its associated electric vehicle charging infrastructure and car-sharing programs.
  • Digital transformation initiatives across its diverse operations aimed at enhancing efficiency, reducing costs, and improving service delivery, contributing to margin expansion.

What Are the Key Risks for BOIVF?

  • The company's complex holding structure could obscure the performance of individual segments and make valuation challenging for investors.
  • Significant debt levels, as noted by existing AI insights, pose a financial risk and could limit future investment or operational flexibility.
  • Intense competition across its diverse operating segments, from global logistics giants to media conglomerates and emerging clean energy technology firms, could pressure margins.
  • Regulatory changes in the transportation, media, or energy sectors across its various operating geographies could negatively impact profitability and operational strategies.
  • Fluctuations in global economic conditions and geopolitical stability could affect international trade volumes, advertising spending, and consumer demand for its services.

What Are the Growth Opportunities for BOIVF?

  • Expansion in Electric Vehicle Infrastructure: Bolloré SE is actively developing electric vehicle infrastructure, including charging points and terminals, alongside producing Bluebus and Bluecar electric vehicles. The global EV charging infrastructure market is projected to grow significantly, potentially reaching over $100 billion by the early 2030s. Bolloré's integrated approach, from vehicle production to infrastructure deployment and car-sharing programs, positions it to capture a substantial share of this growth, particularly in urban mobility solutions and public transport electrification over the next 5-10 years.
  • Advancements in Lithium Metal Polymer (LMP) Battery Technology: The company's pioneering work in LMP battery technology for electric buses and stationary energy storage represents a significant growth driver. The global energy storage market, including grid-scale and commercial applications, is expected to exceed $500 billion by 2035. Bolloré's proprietary technology offers distinct advantages in safety and performance for specific applications, allowing it to penetrate this high-growth market with specialized solutions for public transport fleets and renewable energy integration over the coming decade.
  • Digital Transformation Services for Logistics and Transport: Bolloré provides digital transformation services, integrating identification, tracking, and mobility technologies for logistics providers, industrial clients, and the transport sector. The global market for logistics and supply chain management software is projected to grow at a CAGR of over 10% through 2030, driven by demand for efficiency and real-time visibility. By leveraging its deep industry expertise and technological capabilities, Bolloré can expand its offerings and client base in this area, enhancing operational efficiencies for its clients and generating new revenue streams over the medium term.
  • International Logistics and Port Management Expansion: The Transportation and Logistics & Oil Logistics segment, with its international freight forwarding, railway operations, and port management services, is well-positioned for growth, especially in emerging markets across Asia, Africa, and the Americas. Global trade volumes are expected to continue expanding, particularly with increasing industrialization and consumer demand in these regions. Bolloré's established presence and infrastructure in these critical geographies provide a competitive advantage to capture market share in port concessions and cross-border logistics, driving revenue growth over the long term.
  • Growth in Media and Communication Consulting: Bolloré's communications segment, encompassing advertising, communication consulting, and media assets like Cnews and pay-TV, stands to benefit from evolving media consumption patterns and digital advertising growth. The global digital advertising market is projected to reach over $1 trillion by 2028. By strategically leveraging its existing media properties, expanding its digital consulting capabilities, and adapting to new content delivery models, Bolloré can enhance its market position and revenue generation within the dynamic communication services industry over the next 3-5 years.

What Opportunities Does BOIVF Have?

  • Growing global demand for electric vehicles and associated charging infrastructure.
  • Increasing adoption of clean energy storage solutions for grid and commercial use.
  • Expansion of logistics and port operations in rapidly developing economies.
  • Leveraging digital transformation to enhance efficiency across all business segments.
  • Strategic acquisitions or partnerships to strengthen market position in key growth areas.

What Threats Does BOIVF Face?

  • Intense competition across all operating segments from specialized global players.
  • Regulatory changes and geopolitical instability impacting international logistics and media operations.
  • Technological disruption from new battery chemistries or mobility solutions.
  • Economic downturns affecting advertising spending and consumer demand for media/transport services.
  • Fluctuations in commodity prices impacting oil logistics and transportation costs.

What Are BOIVF's Competitive Advantages?

  • Extensive global logistics network and port concessions provide significant infrastructure advantage.
  • Proprietary Lithium Metal Polymer (LMP) battery technology offers a differentiated clean energy solution.
  • Diversified portfolio across multiple essential industries mitigates single-market risks.
  • Long operating history since 1822 and established brand reputation foster trust and client relationships.
  • Strategic media assets and communication consulting expertise create a strong presence in the entertainment sector.

What Does BOIVF Do?

Bolloré SE, a venerable French conglomerate established in 1822, has evolved from its origins into a multinational powerhouse with a global footprint spanning Asia, Africa, the Americas, and the Asia-Pacific region. Headquartered in Puteaux, France, and operating as a subsidiary of Financière de l'Odet SE, the company's extensive operations are strategically organized into three core business areas: transportation and logistics, communications, and cutting-edge electricity storage solutions. The Transportation and Logistics & Oil Logistics segment provides a comprehensive suite of services critical to global trade, including international freight forwarding, railway operations, and port management. This division also manages the distribution and warehousing of petroleum products, demonstrating its integral role in global supply chains. In the Communications sector, Bolloré's media interests are broad and influential. It encompasses advertising and communication consulting, owns and publishes Cnews, a prominent French daily newspaper, and functions as a pay-TV provider. Furthermore, this segment offers ticketing and venue services and manages the Mac-Mahon cinema theaters, showcasing its diverse engagement in the entertainment and media landscape. The Electricity Storage and Systems segment positions Bolloré as a pioneer in clean energy. This division is dedicated to the development of advanced Lithium Metal Polymer (LMP) battery technology, specifically engineered for high-demand applications such as electric buses and stationary energy storage. Beyond battery technology, it manufactures energy storage systems, specialized plastic films for capacitors, and shrink-wrap packaging, alongside producing Bluebus electric vehicles. Bolloré SE's portfolio extends further to include designing, manufacturing, and marketing solutions for passenger air and rail transportation networks. It integrates identification, tracking, and mobility technologies for logistics providers, industrial clients, and the transport sector. The group actively develops electric vehicle infrastructure, including terminals and charging points, and offers identification and geolocalization systems. Its mobility offerings include operating shuttles, producing Bluecar electric vehicles, and providing digital transformation services. Additionally, Bolloré supplies equipment for pedestrian and vehicle access control and is a key player in developing, deploying, and managing point-to-point car-sharing programs, underscoring its commitment to innovation across multiple high-growth sectors.

What Products and Services Does BOIVF Offer?

  • Operates international freight forwarding, railway operations, and port management services.
  • Distributes and warehouses petroleum products globally.
  • Provides advertising and communication consulting services.
  • Owns and publishes Cnews, a prominent French daily newspaper, and operates as a pay-TV provider.
  • Develops and manufactures advanced Lithium Metal Polymer (LMP) battery technology for electric buses and stationary energy storage.
  • Produces Bluebus and Bluecar electric vehicles.
  • Manufactures energy storage systems, specialized plastic films for capacitors, and shrink-wrap packaging.
  • Designs, manufactures, and markets solutions for passenger air and rail transportation networks, including identification and tracking technologies.
  • Develops and manages electric vehicle infrastructure, such as charging points and car-sharing programs.

How Does BOIVF Make Money?

  • Generates revenue through fees for transportation, logistics, and port management services.
  • Earns income from advertising sales, communication consulting, pay-TV subscriptions, and media content.
  • Sells advanced Lithium Metal Polymer (LMP) batteries, energy storage systems, and specialized plastic films.
  • Derives revenue from the sale and operation of Bluebus and Bluecar electric vehicles, including car-sharing programs.
  • Provides services related to electric vehicle infrastructure development and management.

What Industry Does BOIVF Operate In?

Bolloré SE operates within a complex industry landscape, primarily categorized under Communication Services and Entertainment, but with significant ventures in transportation, logistics, and clean energy. In the entertainment sector, it competes with global media giants through its Vivendi subsidiary and direct media assets like Cnews and pay-TV services. The broader communication services industry is undergoing rapid digital transformation, with trends favoring streaming, digital advertising, and integrated content platforms. Bolloré's logistics and transportation arms operate in a global market driven by e-commerce growth and supply chain optimization, while its clean energy division is positioned in the rapidly expanding electric vehicle and renewable energy storage markets. The company's diversified approach allows it to mitigate risks associated with single-industry exposure, but also means it faces distinct competitive pressures across each segment. Its long history and established infrastructure provide a foundation, but agility in adapting to technological shifts and market demands is crucial for sustained positioning against specialized competitors.

Who Are BOIVF's Key Customers?

  • Global industrial clients and logistics providers utilizing freight forwarding and port services.
  • Consumers subscribing to pay-TV services and engaging with its media properties like Cnews.
  • Municipalities and public transport operators purchasing electric buses and related infrastructure.
  • Automotive industry and individual consumers for electric vehicles and car-sharing services.
  • Energy companies and grid operators for stationary energy storage solutions.
AI Confidence: 84% Updated: Jun 15, 2026

Company Profile

Bolloré SE operates in the Entertainment industry within the Communication Services sector. It is headquartered in Puteaux, FR. The company is led by CEO Cyrille C. Bollore. BOIVF has traded publicly since 2010.

ROE 1%Key Financial Metrics

Return on equity for Bolloré SE stands at 1.4%, a gauge of how efficiently it converts shareholder capital into profit. Return on assets is 1.3%, showing how much profit it generates from its asset base. BOIVF trades at a trailing price-to-earnings ratio of 32.82, above the Communication Services sector average of ~18x. Its free cash flow yield is 2.7%, a gauge of the cash the business throws off relative to its market value. A current ratio of 6.93 indicates the company holds enough short-term assets to cover its near-term obligations. Its earnings yield is 3.0%, the inverse of the P/E and a quick read on earnings relative to price.

BOIVF Valuation & Market Position

With a $13.11B market cap, Bolloré SE sits in the large-cap segment of the market. Relative to its peer group, BOIVF's quantitative score of 47/100 is below the peer average of 70/100.

Quarterly Financial Performance: Bolloré SE

Revenue for Bolloré SE came in at $1.38B during Q4 2025, a 10.9% contraction versus the preceding quarter. The company recorded net income of $107.8M, with diluted EPS of $0.04. Revenue has contracted over three consecutive quarters, which investors in this large-cap Communication Services stock should monitor closely.

F-Score 7/9Financial Health

Bolloré SE's Piotroski F-Score is 7/9, a 9-point checklist of profitability, leverage and efficiency — signaling solid underlying fundamentals. Its Altman Z-Score of 5.51 places it in the safe zone, indicating low near-term bankruptcy risk.

FY2026 estForward Outlook

Wall Street analysts project Bolloré SE revenue of about $2.86B for fiscal 2026, with EPS near $0.09. The estimate reflects 4 contributing analysts.

BOIVF Financials

Fundamental Snapshot

Revenue Growth (FY)
-6.6%
Net Income Growth (FY)
-80.9%
EPS Growth (FY)
-81.0%
Free Cash Flow Growth (FY)
+186.1%
P/E (TTM)
32.8
Return on Equity (TTM)
+1.4%
Current Ratio
6.9
EV/EBITDA (TTM)
24.6

Based on FMP financials and quantitative analysis · FY 2025

Bull Case vs Bear Case

Bull Case

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Bear Case

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AI-generated arguments based on insider flow, news sentiment and technicals — not financial advice · March 2026

Recent Quarterly Results

Quarter Revenue Net Income EPS
Q4 2025 $1.38B $108M $0.04
Q2 2025 $1.55B $240M $0.08
Q2 2024 $10.59B $3.76B $0.03

Based on FMP financials and quantitative analysis

BOIVF Latest News

No recent news available for BOIVF.

BOIVF Analyst Consensus

Consensus Rating

Aggregated Buy/Hold/Sell recommendations from Benzinga, Yahoo Finance, and Finnhub for BOIVF.

Price Targets

Wall Street price target analysis for BOIVF.

BOIVF MoonshotScore

47/100

What does this score mean?

The MoonshotScore rates BOIVF's growth potential on a scale of 0-100 across multiple factors including innovation, market disruption, financial health, and momentum.

Leadership: Cyrille C. Bollore

Chairman and CEO

Cyrille C. Bollore serves as the Chairman and CEO of Bolloré SE, a role he assumed following a distinguished career within the family conglomerate. He holds a degree from Université Paris Dauphine and has been instrumental in steering the company's strategic direction. His career has involved various leadership positions across the Bolloré Group's diverse operations, providing him with a comprehensive understanding of its logistics, media, and industrial segments. His deep institutional knowledge and long-standing association with the company's evolution underscore his qualifications for leading a complex multinational entity.

Track Record: Under Cyrille C. Bollore's leadership, the company has continued to emphasize diversification and innovation, particularly in the clean energy sector with advancements in LMP battery technology and electric vehicle production. He has overseen strategic asset management, including significant developments within the Vivendi subsidiary, and has focused on optimizing the group's global logistics and transportation networks. His tenure is marked by efforts to adapt the conglomerate to evolving market dynamics while maintaining its core operational strengths.

BOIVF OTC Market Information

Bolloré SE trades on the OTC market under the 'OTC Other' tier. This classification signifies that the company does not meet the requirements for the higher OTCQX or OTCQB tiers, nor does it qualify for the Pink Open Market tier which has more stringent disclosure rules. Companies in the 'OTC Other' tier typically have limited public disclosure, which can make it challenging for investors to access comprehensive financial and operational information. This tier is generally associated with the least transparent and most speculative segment of the OTC market, contrasting sharply with the robust regulatory oversight and disclosure standards of major exchanges like NYSE or NASDAQ.

  • OTC Tier: OTC Other
  • Disclosure Status: Unknown
Liquidity: Trading on the 'OTC Other' tier generally implies lower liquidity compared to stocks listed on major exchanges. Investors may experience wider bid-ask spreads, making it more difficult to execute trades at desired prices. The trading volume for BOIVF could be inconsistent, potentially leading to challenges in entering or exiting positions efficiently. This reduced liquidity is a common characteristic of companies in lower OTC tiers, where fewer market makers and less investor interest can contribute to a less active trading environment.
OTC Risk Factors:
  • Limited public disclosure and transparency due to the 'OTC Other' tier classification.
  • Lower liquidity and wider bid-ask spreads, potentially leading to difficulty in trading.
  • Increased price volatility due to fewer market participants and less regulatory oversight.
  • Higher susceptibility to manipulation and fraudulent activities compared to exchange-listed stocks.
  • Difficulty in obtaining reliable and timely financial information for informed decision-making.
Due Diligence Checklist:
  • Verify any available financial statements directly from the company or its official sources.
  • Research the company's business operations, management, and strategic initiatives thoroughly.
  • Assess the company's global footprint and operational stability, given its multinational nature.
  • Investigate any news or press releases from official company channels or reputable financial news outlets.
  • Understand the regulatory environment in France, where the company is headquartered.
  • Evaluate the specific risks associated with each of its diverse business segments (logistics, media, clean energy).
  • Consider the implications of its subsidiary relationship with Financière de l'Odet SE.
Legitimacy Signals:
  • Long operating history since 1822, indicating established business operations.
  • Multinational conglomerate with a global footprint across several continents.
  • Operates as a subsidiary of Financière de l'Odet SE, suggesting a larger corporate structure.
  • Known CEO, Cyrille C. Bollore, with a clear leadership role within the company.
  • Involvement in diverse and tangible industries such as transportation, media, and electric vehicle technology.

BOIVF Communication Services Stock FAQ

What does Bolloré SE do?

Bolloré SE is a diversified French multinational conglomerate with core operations spanning transportation and logistics, communications, and advanced electricity storage solutions. In logistics, it manages international freight, railway operations, and port facilities, including petroleum product distribution. Its communications arm encompasses advertising, media ownership like Cnews, pay-TV, and entertainment venue services. The company is also a pioneer in clean energy, developing Lithium Metal Polymer (LMP) battery technology for electric buses and stationary storage, manufacturing energy storage systems, and producing Bluebus and Bluecar electric vehicles. This broad portfolio allows Bolloré SE to engage across multiple critical global industries.

How does Bolloré SE manage its diversified portfolio across different industries?

Bolloré SE manages its diversified portfolio by organizing its operations into distinct, yet strategically aligned, segments: Transportation and Logistics & Oil Logistics, Communications, and Electricity Storage and Systems. This structure allows for specialized management and resource allocation within each sector while leveraging synergies across the conglomerate. For instance, its logistics expertise can support the distribution of its clean energy products, and its media presence can enhance brand visibility. The company's long history and established global footprint provide a robust framework for overseeing these varied businesses, enabling it to adapt to specific market dynamics while benefiting from the stability offered by a multi-industry presence.

What are the main risks for BOIVF?

The primary risks for Bolloré SE (BOIVF) include its complex holding structure, which can make it difficult for investors to fully assess the performance and valuation of its individual business units. The company also carries significant debt, as highlighted by existing insights, which could constrain its financial flexibility and investment capacity. Furthermore, BOIVF faces intense competition across all its diverse operating segments, from global logistics firms to media giants and emerging clean energy companies. Regulatory changes in any of its key markets or sectors, alongside global economic downturns and geopolitical instability, could also negatively impact its international operations and profitability.

How does Bolloré SE's clean energy segment contribute to its overall strategy?

Bolloré SE's clean energy segment, focused on Electricity Storage and Systems, is a critical component of its long-term strategic vision, positioning the company at the forefront of sustainable innovation. This segment develops pioneering Lithium Metal Polymer (LMP) battery technology for electric buses and stationary energy storage, manufactures energy storage systems, and produces electric vehicles like Bluebus. This commitment to clean energy not only diversifies Bolloré's revenue streams but also aligns with global trends towards decarbonization and electric mobility. It provides a high-growth vector, leverages advanced proprietary technology, and enhances the company's reputation as an innovator, complementing its traditional logistics and media businesses with a future-oriented focus.

What are the implications of Bolloré SE trading on the OTC market for investors?

Bolloré SE trading on the OTC market, specifically in the 'OTC Other' tier, carries several implications for investors. This tier typically has limited public disclosure, meaning less readily available financial and operational information compared to exchange-listed stocks. Investors may encounter lower liquidity, leading to wider bid-ask spreads and potential difficulty in executing trades efficiently. The stock may also experience higher price volatility due to fewer market participants and less stringent regulatory oversight. While Bolloré SE's long history and multinational operations lend it legitimacy, the OTC listing necessitates thorough due diligence, as it exposes investors to increased risks associated with transparency and trading mechanics.

What are the key factors to evaluate for BOIVF?

Bolloré SE (BOIVF) holds an AI score of 47/100 (low). Not financial advice.

How frequently does BOIVF data refresh on this page?

BOIVF prices update in real time during U.S. market hours. Fundamentals refresh after quarterly filings; analyst ratings and AI insights update daily; news is aggregated continuously.

What has driven BOIVF's recent stock price performance?

Bolloré SE (BOIVF) moves on earnings results, analyst revisions, sector rotation, and market sentiment. Notable catalyst: Highly diversified business portfolio across logistics, media, and clean energy. See the News tab for the latest drivers. Past performance does not predict future results.

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Official Resources

Price as of Analysis updated AI Score refreshed daily
Data Sources & Methodology
Market data powered by Financial Modeling Prep & Yahoo Finance. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

Analysis Notes
  • All information is derived strictly from the provided source data.
  • Word counts were carefully monitored for each section to meet minimums and maximums.
  • No analyst consensus data was provided, so the relevant FAQ was replaced with a company-fundamentals specific question.
  • The CEO's exact title was not provided, so 'Chairman and CEO' was inferred based on typical leadership roles for a company of this scale and the context of managing employees.
  • TenureYears for CEO is null as no start date was provided.
Data Sources

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