Overall verdict
Neutral
6.0/10
1-year performance
+33.43%
Score breakdown
Up 33.4% over 1 year, 74% of the 52-week range.
Strongest: Shareholder return 9.8/10. Weakest: Growth 0.2/10.
15 analysts, target +0.0% vs the price.
Carrefour SA operates as a food retailer in France, Spain, Belgium, Poland, Romania, Brazil, Argentina, the Middle East, Africa, Asia, and internationally. The company operates hypermarkets, supermarkets, convenience stores, club stores, and cash and carry stores; soft discount stores; and e-commerce sites. It is also involved in the provision of financial services; banking and insurance services; property development; travel ticketing and leisure; agency; shopping mall rental; and franchise activities. Carrefour SA was founded in 1959 and is headquartered in Massy, France.
Sector
Consumer Staples
Industry
Consumer Staples Distribution and Retail
Primary listing
Euronext
France
CEO
Pierre-Jean Jerome Sivignon
Founded
1959
Employees
298 604
Revenue / employee
289 388 EUR
Next earnings
October 23, 2026 (estimated)
Research uses the underlying stock’s market history. The purchase quote is calculated separately when you review your order.
52-week high
17.54 EUR
52-week low
12.47 EUR
1-year performance
33.43%
Rising
Year-to-date performance
14.64%
Rising
Drawdown
-7.39%
Mild pullback
Position in the 52-week range
74% of range
Against the world ETF
Over 17 years, from September 2009 to August 2026, the share did clearly worse than the world ETF once risk is accounted for. It earned less, while shaking 1.9 times harder.
10,000 € placed at the end of September 2009 are worth today
| Carrefour | 5 056 € |
| World ETF | 74 620 € |
| CAC 40 | 32 720 € |
| Risk-free placement | 11 288 € |
The risk
- Shaking:the share moves 1.9 times as much as the world ETF.
- Worst fall:-70 % between September 2010 and June 2025. 10,000 € placed at the top fell to 3 037 €. The world ETF, at worst: -34 %. The share has not returned to its high yet.
Carrefour earned less than the world ETF since 2009
Value of 10,000 euros placed at the end of September 2009, dividends reinvested, in euros
- Carrefour: 5 056 €
- World ETF: 74 620 €
- CAC 40: 32 720 €
- Risk-free placement: 11 288 €
Share price without dividends; the world ETF and the index reinvest theirs. A dividend payer is therefore understated here.
Based on past performance. This is not a recommendation.
Range: 24.47 EUR - 45.27 EUR (comparables only)
The price implies growth of -14.78% per year; the company grows at -10.00%.
Gross margin 16.4%, net margin 1.8%, ROIC 5.8%, ROE 13.8%.
Net margin
1.80%
Low
Sector 3.28%|S&P 12.97%
Gross margin
16.43%
Fair
Return on equity (ROE)
13.76%
Fair
Sector 17.02%|S&P 16.52%
Return on invested capital (ROIC)
5.84%
Low
Free cash flow margin (FCF)
3.03%
Low
Profit-to-cash conversion (FCF conversion)
1.69x
Exceptional
Margin stability
0.6 pts
Very steady
Revenue to net income
Growth
0.2/10Revenue up 2.0% over 1 year, 3.1% a year over 5, EPS -10.1% a year over 5.
Revenue (trailing 12 months)
81.7Md EUR
Revenue growth (1y)
2.00%
Moderate
Revenue growth (3y)
1.13%
Moderate
EPS growth (1y)
—
EPS CAGR (5y)
-10.13%
Declining
EPS revisions (3 months)
-1.58%
Revised down
Valuation
9.2/10P/E 15.3x, forward P/E 11.5x, EV/EBITDA 6.5x, PEG 0.10. The multiple sits in the 97th percentile of its own 5-year history.
P/E (TTM)
15.3x
Fair
Sector 22.7x|S&P 23.0x
Forward P/E
11.5x
Cheap
EV / EBITDA
6.5x
Cheap
Sector 11.2x|S&P 14.5x
PEG
0.10
Growth unpriced
Sector 0.65|S&P 0.86
Fair value (reverse DCF)
34.87 EUR
Deeply undervalued
P/E vs its own 5-year history
among the 3% highest valuations
At its historical high
Market cap
11.8Md EUR
Financial strength
2.7/10Cash covers 24.0% of the debt, net debt/EBITDA 3.2x.
Net debt / EBITDA
3.2x
Tight
Gearing (net debt / equity)
140.84%
Stretched
Cash
5.1Md EUR
Cash / market cap
43.34%
Very solid
Cash / total debt
23.95%
Tight
Net debt
16.2Md EUR
Equity
11.5Md EUR
Closed daily candles, 2 years
Last close on September 24, 2026: 16.14 EUR
- MM2016.35
- MM5016.12
- MM20015.75
- RSI 1446.3
Top panel: closed candles, 20, 50 and 200-day moving averages, with volume in grey. Bottom panel: 14-day RSI with dashed 30 and 70 levels.
200-day average slope, 1 month
+2.07%
200-day average slope, 3 months
+6.77%
50-day average slope, 1 month
+0.22%
Price structure
higher-low
Bullish RSI divergence
No
20-day volatility
1.22 % per day
Volatility change
-17.41%
Forecasts by fiscal year
| Fiscal year | EPS | Normalised EPS | Revenue | EBITDA | Net income |
|---|---|---|---|---|---|
| 2026 | 1.41 (7) | 1.73 (13) | 82 020 (10) | 4 526 (13) | 1 022 (5) |
| 2027 | 1.68 (7) | 1.87 (13) | 83 545 (10) | 4 732 (13) | 1 187 (6) |
Amounts in millions of EUR, EPS in EUR per share. In brackets, the number of analysts. Consensus as of September 18, 2026.
Same sub-industry: 24 companies behind the medians.
| # | Company | Code | Country | Overall / 10 | Fundamentals / 10 | Mkt cap | P/E | Net margin | Revenue growth | ROIC | Net debt / EBITDA | FCF yield | 1-year perf. |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | WALMEX * | 6.7 | 7.3 | 45.0Md USD | 15.6x | 4.9 % | 9.2 % | 16.5 % | 0.5x | 6.4 % | -16.8 % | ||
| 2 | TGT | 6.6 | 6.5 | 71.0Md USD | 16.2x | 4.1 % | 5.3 % | 12.6 % | 1.9x | 6.3 % | 79.1 % | ||
| 3 | BJ | 6.1 | 5.9 | 11.4Md USD | 19.7x | 2.6 % | 15.7 % | 13.2 % | 2.4x | 2.4 % | -4.3 % | ||
| 4 | DLTR | 6.1 | 6.0 | 21.2Md USD | 13.8x | 8.1 % | 7.0 % | 16.4 % | 2.8x | 9.3 % | 19.9 % | ||
| 5 | CA | 6.0 | 5.2 | 13.4Md USD | 15.3x | 1.8 % | 2.0 % | 5.8 % | 3.2x | 21.1 % | 33.4 % | ||
| 6 | COST | 5.8 | 5.3 | 401Md USD | 45.5x | 3.0 % | 11.6 % | 23.0 % | -0.4x | 2.2 % | -5.1 % | ||
| 7 | DG | 5.7 | 5.4 | 26.6Md USD | 15.7x | 3.9 % | 5.2 % | 7.2 % | 4.4x | 7.6 % | 18.8 % | ||
| 8 | WMT | 5.2 | 4.1 | 877Md USD | 40.0x | 3.0 % | 5.9 % | 14.7 % | 1.3x | 1.5 % | 4.4 % | ||
| 9 | 8267 | 4.4 | 4.8 | 23.0Md USD | 38.4x | 0.8 % | 14.6 % | 2.4 % | 2.8x | — | -29.5 % |
