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Orange S.A.

ORA · Euronext Paris · Communication Services · €44.0B

Operates as a telecommunications provider offering mobile voice and data services, fixed broadband, B2B network solutions, IT services, and cloud infrastructure across France and internationally.

Technical Bias: Bullish lean
€16.47-€0.07 (-0.42%)Delayed

As of Jul 17, 2026

Executive summary

Orange S.A. is a French telecommunications and communication services operator with a market capitalisation of €44.0 billion. The stock is trading at €16.47 with a bullish technical bias, having gained 30.5% over the past year despite a 3.2% decline in the last month. Today's session saw a 2.3% move upward.

Price history

Daily candles · adjusted close

As of Jul 17, 2026

Performance

1D

+2.27%

1W

+3.75%

1M

-3.18%

3M

-4.81%

YTD

+18.92%

1Y

+30.50%

As of Jul 17, 2026

Technical indicators

RSI (14)
49.2Neutral
MACD (12,26,9)
0.07Bullish
Moving averages
50: 17.07 · 200: 15.62Neutral
Support / Resistance
€15.63 / €17.19

Technical Bias

Bullish lean

1 Bullish · 0 Bearish · 2 Neutral

Orange S.A. trades at €16.47, positioned between its 50-day moving average of €17.07 and 200-day level of €15.62. The MACD indicator is bullish with a value of 0.07, whilst RSI at 49.2 and the moving average structure remain neutral, giving a tally of one bullish and two neutral signals overall. This derived technical read—not a recommendation—suggests a mildly constructive near-term lean, with support at €15.63 and resistance at €17.19.

A transparent read of the indicators below — not a prediction or recommendation.

As of Jul 17, 2026

Fundamentals

Market cap
€44.0B
P/E ratio
150.5
EPS
€0.11
Profit margin
1.33%
Revenue growth (YoY)
+0.1%
Free cash flow
€3.46B
Beta
0.25
52-week range
€12.31 – €18.34
Dividend yield
4.60%
Ex-dividend date
Jun 11, 2026
Next earnings
Jul 28, 2026 (9 days)

As of Jul 18, 2026

Upcoming catalysts

  • Earnings reportJul 28, 2026

As of Jul 18, 2026

Latest news

As of Jul 18, 2026

Short-term outlook

Orange shares are consolidating after a soft month, down 3.2%, with RSI at a neutral 49.2 and price sitting between its 50-day (€17.07) and well above its 200-day (€15.62) averages. MACD leans bullish, but the stock needs to clear €17.19 resistance to build momentum, with €15.63 as the key support to watch before the next earnings on 28 July 2026.

Medium-term outlook

Orange's medium-term picture is mixed on fundamentals: revenue growth is essentially flat at +0.1% and profit margin sits at a slim +1.3%, though the +4.6% dividend yield remains a key part of the story for income-focused holders. The technical lean is bullish, but with a stretched PE of 150.5, valuation looks demanding relative to the underlying growth over the coming quarters.

Key risks

  • The stock's price-to-earnings ratio of 150.5 stands out sharply against a razor-thin profit margin of just 1.3%, meaning earnings are minimal relative to the current valuation.
  • Revenue growth of only 0.1% year-on-year signals a business that is barely expanding, which could weigh on sentiment if it doesn't improve.
  • The recent tender offer on outstanding hybrid notes points to ongoing debt management activity, a factor worth watching given the company's thin margins.
  • Trading at €16.47, closer to the 52-week high of €18.34 than the low of €12.31, leaves less room for error should sector or company-specific news disappoint.

About Orange S.A.

Orange S.A. is a major French telecommunications operator listed on Euronext Paris under the ticker ORA. Operating within the Communication Services sector and the Telecom Services industry, the company holds a substantial position in the European telecoms landscape, reflected in its market capitalisation of €44.0 billion. As a large-scale provider of telecom infrastructure and services, Orange sits among the established names investors watch when assessing the sector.

Looking at the key figures, Orange currently trades on a price-to-earnings ratio of 150.5, a level worth noting when weighing the shares against sector peers. The dividend yield stands at +4.6%, a figure income-focused investors often pay attention to. Together, these metrics offer a snapshot of how the market is currently valuing the company and the income it returns to shareholders, forming a useful starting point for further research.

AI-assisted research for informational purposes only — not investment advice. Figures are sourced from third-party market data and may be delayed. Do your own research before trading. Your capital is at risk.