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Vivendi SE (VIV.PA) — Available-Data Snapshot

Updated Sep 3, 2026 · available-data snapshot · descriptive, not a DCF, not advice

Price
€1.59
Market cap
€1,587,898,112
52-week high
€3.21
52-week low
€1.56
Currency
EUR
Exchange
Paris

We don't publish a discounted-cash-flow fair value for Vivendi SE (VIV.PA) because the free data sources we rely on don't expose the multi-year financials a DCF needs — common for small or thinly-covered listings. Rather than invent numbers, this page shows an honest snapshot of what the public data does support: the current price and size, any relative valuation multiples that exist, a book-value view, and a price-based read. Treat it as a descriptive starting point, not a valuation and not investment advice.

On the numbers we do have, VIV.PA trades at a recent price of €1.59, a market capitalisation of about €1,587,898,112, sitting 2% of the way up its 52-week range (€1.56–€3.21), on the Paris.

The standard alternative to a DCF is relative valuation — comparing VIV.PA's trading multiples against a sector benchmark. Here that gives P/E of 79.7× (richer than the peer median of 21.8×); Fwd P/E of 13.8× (cheaper than the peer median of 17.0×); P/B of 0.3× (cheaper than the peer median of 5.8×); P/S of 5.2× (cheaper than the peer median of 6.6×); EV/EBITDA of -41.5× (cheaper than the peer median of 14.0×); Dividend yield of 2.5% (cheaper than the peer median of 0.9%). A cheaper multiple than peers can flag a discount or a market that expects weaker growth; it is a comparison, not a recommendation.

The asset, or book-value, lens is the classic tool for asset-heavy businesses and financials. VIV.PA shows a price-to-book (P/B) of 0.34 and book value of €4.73 per share. Price-to-book compares the market price to the accounting net-asset value per share; below 1.0 can mean a discount to net assets or that the market is pricing in trouble — descriptive either way, never a buy signal on its own.

Finally, a price-based read — explicitly not a valuation. VIV.PA is in a down-trend (price below both its 50- and 200-day averages), trading -50.4% from its 52-week high. Over the past year the stock is -47.7%. Moving-average trend and 52-week position describe where the stock has traded; they say nothing about what it is worth.

Relative valuation — VIV.PA vs peers

MultipleVIV.PAPeer median
P/E79.7×21.8×richer than
Fwd P/E13.8×17.0×cheaper than
P/B0.3×5.8×cheaper than
P/S5.2×6.6×cheaper than
EV/EBITDA-41.5×14.0×cheaper than
Dividend yield2.5%0.9%cheaper than

Sector benchmark (bellwethers, not direct competitors).

Asset / book-value view

Price / book (P/B)
0.34
Book value / share
€4.73

Below book (P/B < 1) can flag either a discount to net assets or the market pricing in trouble — it is descriptive, not a buy signal.

Price-based snapshot

50-day avg
€1.86
200-day avg
€2.11
From 52-wk high
-50.4%
1-year momentum
-47.7%

Price-based, not a valuation. Moving-average trend and 52-week position describe where the stock has traded — they say nothing about fair value.

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A descriptive, available-data snapshot and relative comparison — NOT a DCF, NOT a price target, and NOT investment advice. TickerWorth is an educational tool, not a licensed investment adviser. Figures are estimates derived from public market data and can be wrong, stale or incomplete.