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Situation · 2026-08-07

SAF.PA — Gap to peers

Premium on Innovation, Priced for Cycles

Updated 2026-07-27 · Ref: None
Key metrics — 2026-07-27
Peer score
60
Quality pct
83
Valuation pct
74
52w drawdown
-6.7%
21d vs sector
-1.9%
Peer group
Situation summary

Safran trades on innovation, but the market prices in cyclical risk. High operating margin meets 32% volatility—stability is not rewarded. Even small disappointments can trigger sharp valuation swings. One weak quarter, and the rerating hits hard.

Published by AssetNext · 2026-07-31

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Related pages for SAF.PA
Full peer analysis for Safran SA →Similar companies to SAF.PASAF.PA peersAll SAF.PA comparisonsSTOXX 600 context
Signal history — last 30 days
Date Signal Peer score Drawdown 21d vs sector
2026-07-27 Gap to peers 60 -6.7% -1.9%

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