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Weekly RecapUpdated September 25, 2026

Weekly recap: 5 decliners, 26 markets (Sep 25)

Buydy weekly recap for Sep 21 to Sep 25, 2026: 5 heatmap highlights and 26 index signals.

Short weekly summary of heatmap decliners and index threshold crosses.

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Weekly signals and context from the Buydy dashboard.

Buydy weekly recap cover showing market signals, heatmap context, and index levels for Sep 21 to Sep 25, 2026

This weekly stock market recap Buydy view closes Sep 21 to Sep 25, 2026 with 5 heatmap highlights and 26 index signals. The goal is a calmer research queue, not a prediction about next week.

Week in brief

On the heatmap, MRL.MC, ALUP4.SA, CLAS-B.ST, DNO.OL stood out as quality-decliner names worth a second pass. They were not selected because they fell the most, but because the selloff appeared beside stronger peer-relative metrics.

What stood out

On the index side, Dow Jones Industrial Average, CAC 40 (price), CAC Large 60, CAC Mid 60 crossed monitored levels. That gives the week a macro backdrop before any single company gets reviewed.

How to use Buydy this week

Start with the indexes page for market tone, then use the heatmap to find names where price weakness and peer-relative quality sit together. Keep the shortlist small, open only the company pages that deserve real work, and treat every signal as research context.

Heatmap snapshot

How to read this

  • These are large-cap stocks that fell recently but still rank well versus peers in their sector.
  • Green cells mean stronger than peers; red means weaker. Gray is neutral or inconclusive.
  • Score is a peer-relative quality score — not a buy or sell recommendation.

Quality decliners worth a look

Friday, September 25, 2026

Today's top 5 large-cap decliners — price down in at least one period (1W–1Y), ranked by sector percentiles across metrics ≤1Y.

MRL.MC(Yahoo) Score 72.9%

Real Estate

Price trend: 3M: -19.9%

Dividend Yield (TTM) 56%
3M Dividend Yield 39%
6M Dividend Yield 52%
3M Dividend Growth 88%
6M Dividend Growth 23%
1Y Dividend Growth 66%
D/E Ratio 36%
D/E Change 3M 0%
D/E Change 6M 0%
D/E Change 1Y 34%
Net Debt/EBITDA 55%
Net Debt/EBITDA Change 3M 4%
Net Debt/EBITDA Change 6M 8%
Net Debt/EBITDA Change 1Y 5%
EBITDA 72%
EBITDA Growth 3M 100%
EBITDA Growth 6M 94%
EBITDA Growth 1Y 100%
Net Debt 74%
Net Debt Change 3M 36%
Net Debt Change 6M 23%
Net Debt Change 1Y 26%
Gross Margin 88%
EBIT Margin 100%
EBIT Margin Change 1Y 100%
Opex / Sales 44%
Gross–EBIT Spread 1%
FCF Yield 37%
FCF Margin 50%
FCF Margin Change 1Y 82%
Capex / Sales 11%
FCF / Net Income 85%
Accrual Gap / Sales 35%
ROE 63%
ROE − Cash ROE 35%
Interest Coverage 92%
Cash ROE 31%
Opex / Gross Profit 37%
CFO / Net Income 82%
P/E (TTM) 27%
P/E (1M) 7%
P/E (3M) 7%
P/E (6M) 16%
P/E (1Y) 54%
DCF Upside % 50%
Peter Lynch Upside % 75%
ALUP4.SA(Yahoo) Score 70.1%

Utilities

Price trend: 6M: -6.0%

Dividend Yield (TTM) 52%
3M Dividend Yield 24%
6M Dividend Yield 32%
3M Dividend Growth 24%
6M Dividend Growth 13%
1Y Dividend Growth 73%
D/E Ratio 0%
D/E Change 3M 52%
D/E Change 6M 0%
D/E Change 1Y 0%
Net Debt/EBITDA 56%
Net Debt/EBITDA Change 3M 70%
Net Debt/EBITDA Change 6M 0%
Net Debt/EBITDA Change 1Y 0%
EBITDA 56%
EBITDA Growth 3M 88%
EBITDA Growth 6M 73%
EBITDA Growth 1Y 97%
Net Debt 42%
Net Debt Change 3M 56%
Net Debt Change 6M 0%
Net Debt Change 1Y 0%
Gross Margin 90%
EBIT Margin 97%
EBIT Margin Change 1Y 63%
Opex / Sales 36%
Gross–EBIT Spread 4%
FCF Yield 97%
FCF Margin 96%
FCF Margin Change 1Y 49%
Capex / Sales 16%
FCF / Net Income 88%
Accrual Gap / Sales 11%
ROE 78%
ROE − Cash ROE 3%
Interest Coverage 50%
Cash ROE 95%
Opex / Gross Profit 23%
CFO / Net Income 76%
P/E (TTM) 33%
P/E (1M) 18%
P/E (3M) 67%
P/E (6M) 42%
P/E (1Y) 39%
DCF Upside % 0%
Peter Lynch Upside % 79%
CLAS-B.ST(Yahoo) Score 68.4%

Consumer Cyclical

Price trend: 1M: -4.2%

Dividend Yield (TTM) 49%
3M Dividend Yield 45%
6M Dividend Yield 39%
3M Dividend Growth 67%
6M Dividend Growth 97%
1Y Dividend Growth 100%
D/E Ratio 45%
D/E Change 3M 21%
D/E Change 6M 6%
D/E Change 1Y 16%
Net Debt/EBITDA 60%
Net Debt/EBITDA Change 3M 0%
Net Debt/EBITDA Change 6M 0%
Net Debt/EBITDA Change 1Y 0%
EBITDA 61%
EBITDA Growth 3M 88%
EBITDA Growth 6M 21%
EBITDA Growth 1Y 78%
Net Debt 49%
Net Debt Change 3M 0%
Net Debt Change 6M 2%
Net Debt Change 1Y 0%
Gross Margin 54%
EBIT Margin 69%
EBIT Margin Change 1Y 84%
Opex / Sales 36%
Gross–EBIT Spread 47%
FCF Yield 73%
FCF Margin 81%
FCF Margin Change 1Y 41%
Capex / Sales 22%
FCF / Net Income 76%
Accrual Gap / Sales 37%
ROE 91%
ROE − Cash ROE 16%
Interest Coverage 88%
Cash ROE 92%
Opex / Gross Profit 48%
CFO / Net Income 62%
P/E (TTM) 54%
P/E (1M) 33%
P/E (3M) 56%
P/E (6M) 87%
P/E (1Y) 82%
DCF Upside % 37%
Peter Lynch Upside % 70%
DNO.OL(Yahoo) Score 68.3%

Energy

Price trend: 6M: -1.2%

Dividend Yield (TTM) 89%
3M Dividend Yield 50%
6M Dividend Yield 65%
3M Dividend Growth 36%
6M Dividend Growth 12%
1Y Dividend Growth 74%
D/E Ratio 0%
D/E Change 3M 68%
D/E Change 6M 0%
D/E Change 1Y 0%
Net Debt/EBITDA 42%
Net Debt/EBITDA Change 3M 61%
Net Debt/EBITDA Change 6M 0%
Net Debt/EBITDA Change 1Y 0%
EBITDA 52%
EBITDA Growth 3M 68%
EBITDA Growth 6M 79%
EBITDA Growth 1Y 99%
Net Debt 32%
Net Debt Change 3M 43%
Net Debt Change 6M 0%
Net Debt Change 1Y 0%
Gross Margin 79%
EBIT Margin 91%
EBIT Margin Change 1Y 100%
Opex / Sales 49%
Gross–EBIT Spread 31%
FCF Yield 54%
FCF Margin 84%
FCF Margin Change 1Y 91%
Capex / Sales 92%
FCF / Net Income 96%
Accrual Gap / Sales 4%
ROE 27%
ROE − Cash ROE 9%
Interest Coverage 82%
Cash ROE 93%
Opex / Gross Profit 52%
CFO / Net Income 100%
P/E (TTM) 73%
P/E (1M) 82%
P/E (3M) 81%
P/E (6M) 34%
P/E (1Y) 48%
DCF Upside % 45%
Peter Lynch Upside % 76%
TIETO.HE(Yahoo) Score 66.5%

Technology

Price trend: 1M: -4.0%

Dividend Yield (TTM) 95%
3M Dividend Yield 85%
6M Dividend Yield 95%
3M Dividend Growth 47%
6M Dividend Growth 4%
1Y Dividend Growth 30%
D/E Ratio 75%
D/E Change 3M 52%
D/E Change 6M 45%
D/E Change 1Y 26%
Net Debt/EBITDA 89%
Net Debt/EBITDA Change 3M 9%
Net Debt/EBITDA Change 6M 6%
Net Debt/EBITDA Change 1Y 3%
EBITDA 55%
EBITDA Growth 3M 98%
EBITDA Growth 6M 97%
EBITDA Growth 1Y 100%
Net Debt 89%
Net Debt Change 3M 38%
Net Debt Change 6M 15%
Net Debt Change 1Y 13%
Gross Margin 26%
EBIT Margin 74%
EBIT Margin Change 1Y 100%
Opex / Sales 1%
Gross–EBIT Spread 1%
FCF Yield 86%
FCF Margin 46%
FCF Margin Change 1Y 45%
Capex / Sales 45%
FCF / Net Income 79%
Accrual Gap / Sales 46%
ROE 38%
ROE − Cash ROE 36%
Interest Coverage 61%
Cash ROE 55%
Opex / Gross Profit 1%
CFO / Net Income 77%
P/E (TTM) 9%
P/E (1M) 43%
P/E (3M) 63%
P/E (6M) 34%
P/E (1Y) 65%
DCF Upside % 83%
Peter Lynch Upside % 86%

Only large-cap stocks with complete sector data for every metric shown. Score = weighted average of sector percentiles. Symbol links open Buydy; Yahoo links are secondary.

Win (≥70%)   Loss (<60%)   No decision (60–70%)


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