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Veolia Environnement S.A. (Euronext Paris: VIE, OTC: VEOEY) is de wereldleider in geoptimeerd resourcebeheer en exploiteert 's werelds grootste water-, afval- en energiebeheerdiensten op vijf continenten met activiteiten in bijna 50 landen na de transformatieve overname van Suez. Het bedrijf levert drinkwater aan tientallen miljoenen mensen, verwerkt jaarlijks miljoenen tonnen afval en produceert energie uit hernieuwbare en teruggewonnen bronnen, waardoor het zich positioneert op het snijvlak van kritieke infrastructuur en milieuduurzaamheid. Veolia's ongeëvenaarde mondiale schaal in waterbehandeling en milieudiensten, gecombineerd met structurele groeifactoren door strengere milieuregelgeving en circulaire economietrends, maken het de toonaangevende internationale investering in water- en milieudiensten.

Aandelen klimaatadaptatie

Veolia is de wereldwijd leidende onderneming in geoptimaliseerd resourcebeheer, operererend water-, afval- en energiediensten die essentieel zijn voor klimaatadaptatie en duurzame infrastructuur wereldwijd.

Wateraandelen

Veolia is 's werelds grootste waterservicebedrijf naar inkomsten, operererend water-, distributies- en afvalwatersystemen op wereldwijde schaal in bijna 50 landen, waardoor beleggers blootstelling krijgen aan internationale waterbouw en de groeiende vraag naar schone wateroplossingen.

Key Financials VEOEY

Prijs $19.88
Wijziging (1D) +0.71%
Wijziging (30D) +14.52%
Wijziging (60D) +18.83%
Wijziging (90D) +18.90%
Wijziging (180D) +17.42%
Wijziging (1Y) +41.60%
Wijziging (5Y) +46.99%
P/E-verhouding 6.58
EPS (TTM) $3.02
52-weekse bandbreedte $14.08 — $19.95
50-daags MA $17.83
Volume 52.2K

Data updated Feb 15 · Source: Twelve Data

4.7
2 reviews
Claude Opus 4.6
AI Review
4.7/5

Veolia is the global leader in water, waste, and energy management services, operating across 30+ countries with unmatched scale in environmental solutions. The stock has delivered impressive momentum, up 41.6% over the past year and trading near its 52-week high of $19.95.

The investment case is compelling: a remarkably low P/E of 6.58 with solid EPS of $3.02 suggests significant undervaluation for a company of this quality. The 2022 acquisition of Suez cemented Veolia's dominance in global water infrastructure, creating substantial synergies and pricing power. Secular tailwinds from tightening water regulations, climate adaptation spending, and circular economy mandates provide durable long-term growth drivers.

Bull case: Essential infrastructure services with recurring revenue, regulatory tailwinds, and integration synergies still being realized. Bear case: High debt levels from the Suez acquisition, currency exposure across emerging markets, and political/regulatory risk in concession-based contracts. Capital intensity remains elevated.

As both a climate adaptation and water play, Veolia is arguably the premier pure-play on global environmental infrastructure " a core holding for thematic investors in these spaces.

Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.7/5

Veolia Environnement stands as a global titan in ecological transformation, dominating the water, waste, and energy management sectors. Following the strategic integration of rival Suez, Veolia has solidified its market leadership, creating a massive moat in essential services. Financially, the stock shows impressive strength, currently trading near its 52-week high of $19.29 with bullish momentum above its 50-day moving average. The provided P/E ratio of 6.36 suggests the stock is significantly undervalued compared to traditional utility peers, making it an attractive proposition for value-oriented investors. While the company faces inherent risks related to debt management and regulatory hurdles across international jurisdictions, its recession-resistant business model and pivotal role in the circular economy make it a top-tier contender in the water sector.

Feb 11, 2026
Veolia Screenshot

Added: Feb 10, 2026

veolia.com

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