A director at Viscofan Sa sold 7,400 shares at 61.000EUR and the significance rating of the trade was 85/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly show...
2Q'25 vs. 2Q'24 Results Sales: € 311.49 M (+2.7% vs. +4.2% BS(e) and +3.6% consensus); EBITDA: € 76.34 M (+9.0% vs. +5.4% BS(e) and +6.6% consensus); 1H'25 vs. 1H'24 Results Sales: € 618.76 M (+4.3% vs. +5.1% BS(e) and +4.8% consensus); EBITDA: € 145.16 M (+10.4% vs. +8.5% BS(e) and +9.1% consensus);
Rdos. 2T'25 vs 2T'24: Ventas: 311,49 M euros (+2,7% vs +4,2% BS(e) y +3,6% consenso); EBITDA: 76,34 M euros (+9,0% vs +5,4% BS(e) y +6,6% consenso). Rdos. 1S'25 vs 1S'24: Ventas: 618,76 M euros (+4,3% vs +5,1% BS(e) y +4,8% consenso); EBITDA: 145,16 M euros (+10,4% vs +8,5% BS(e) y +9,1% consenso).
NEWS SUMMARY: ARCELOR MITTAL, ELECTRICITY SECTOR, FLUIDRA, MELIA, MERLIN PROPERTIES, NEINOR HOMES, REDEIA, VISCOFAN. At the end of today’s report, and during the entire results season, we will include a presentation with positive and negative results highlights and previews for the 2Q’25 results to be released over the coming days in Spain. Growth resisting for now European stock markets ended with slight gains in view of the signs of resistance in the 2Q’25 GDP and ahead of the Fed meeting, w...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ARCELOR MITTAL, FLUIDRA, MELIA, MERLIN PROPERTIES, NEINOR HOMES, REDEIA, SECTOR ELÉCTRICO, VISCOFAN. EUROPA: AB INBEV, AIRBUS, BMW, ING GROEP, SANOFI, SAFRAN, SOCIETE GENERALE, VINCI. Incluido en el informe diario de hoy, y durante toda la campaña de resultados, incorporamos al final una presentación con los resultados destacados en positivo y negativo y previews de Rdos. 2T’25 que se publicarán en España y Europa en los próximos días. El crecimien...
Rdos. 2T'25 vs 2T'24: Ventas: 1.891 M euros (+4,0% vs +3,9% BS(e) y +4,8% consenso); EBITDA: 476,0 M euros (+15,1% vs +12,5% BS(e) y +11,7% consenso); EBIT: 348,85 M euros (+16,5% vs +10,2% BS(e) y +9,9% consenso); BDI: 116,79 M euros (+678,6% vs +600,6% BS(e) y +453,3% consenso); Rdos. 1S'25 vs 1S'24: Ventas: 3.677 M euros (+6,8% vs +6,7% BS(e) y +7,2% consenso); EBITDA: 876,0 M euros (+21,1% vs +19,6% BS(e) y +19,1% consenso); EBIT: 617,71 M euros (+22,8% vs +19,0% BS(e) y +18,8% consenso); BD...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAIXABANK, FERROVIAL, GRIFOLS, REDEIA, SACYR, SANTANDER, TALGO, TELEFÓNICA. EUROPA: ADIDAS, DANONE, KERING, L’ORÉAL, MERCEDES BENZ GROUP. Incluido en el informe diario de hoy, y durante toda la campaña de resultados, incorporamos al final una presentación con los resultados destacados en positivo y negativo y previews de Rdos. 2T’25 que se publicarán en España y Europa en los próximos días. Los resultados toman el relevo Recuperación marcada por el...
NEWS SUMMARY: CAIXABANK, FERROVIAL, GRIFOLS, REDEIA, SACYR, SANTANDER, TALGO, TELEFÓNICA. At the end of today’s report, and during the entire results season, we will include a presentation with positive and negative results highlights and previews for the 2Q’25 results to be released over the coming days in Spain. Results take centre stage Recovery in Europe in a session marked by the results calendar and news on the trade negotiations of the US with China and the EU. In the STOXX 600, the ral...
Moody's Ratings (Moody's) has today withdrawn Minor Hotels Europe & Americas, S.A.'s (MHEA) Ba3 long-term corporate family rating (CFR) and Ba3-PD probability of default rating (PDR). The outlook prior to the withdrawal was stable. RATINGS RATIONALE We have withdrawn MHEA's ratings follow...
NEWS SUMMARY: GRIFOLS. Stock markets welcome the possible truce between Iran and Israel, as opposed to crude oil The strikes on Iran nuclear sites had a limited impact on European stock markets, which ended with drops below -0.5%. US indices saw greater gains and crude oil fell sharply after Iran’s failed missile attack to the US base in Qatar, followed by a 12-hour truce between Iran and Israel announced by D. Trump. In the STOXX 600, Utilities and Technology were the best performers whereas B...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: GRIFOLS. Las bolsas festejan la posible tregua Irán-Israel, el crudo no El bombardeo estadounidense a las plantas de desarrollo nuclear iraníes tuvo un impacto limitado entre las bolsas europeas, que cerraron con caídas inferiores al medio punto porcentual. Los índices estadounidenses acentuaron las ganancias y el petróleo registró fuertes caídas tras el ataque fallido de Irán con misiles a bases americanas en Qatar, seguida de una tregua de 12 hor...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAIXABANK, GRIFOLS. EUROPA: UNICREDIT. El Ibex pierde los 14.200 puntos Pese a los avances comerciales entre EE.UU. y China y a un dato de inflación en EE.UU mejor de lo esperado las bolsas europeas cerraron con pérdidas, lideradas por el Ibex tras los flojos resultados de Inditex. En el STOXX 600 los mejores sectores fueron Utilities y Energía (por segundo día consecutivo), frente a Retail e Inmobliario que fueron los que más cayeron. Por el lado m...
NEWS SUMMARY: CAIXABANK, CHANGES IBEX 35, GRIFOLS. The Ibex below 14,200 points Despite the progress in trade negotiations between the US and China and the better-than-expected US inflation data, European stock markets ended with losses, led by the Ibex following Inditex’s poor results. In the STOXX 600, the best-performing sectors were Utilities and Energy (for the second consecutive session), whereas Retail and Real Estate ended with the biggest drops. On the macro side, in the US, May’s gen...
NEWS SUMMARY: CAIXABANK, ENCE, FERROVIAL, NATURGY, TELEFÓNICA, VISCOFAN. Stock markets try to climb above highs Despite the absence of good macroeconomic data last week, stock markets ended with gains, fuelled by the US (the S&P500 rose around +1.7%) and by the better employment data at the end of the week. In the STOXX 600, the best-performing sectors last weekk were Technology and Pharma, whereas Autos and Media ended with the biggest drops. On the macro side, in the euro zone, the 1Q’25 GDP ...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAIXABANK, ENCE, FERROVIAL, NATURGY, TELEFÓNICA, VISCOFAN. Las bolsas siguen intentando superar los máximos A pesar de una semana sin buenos datos macro, las bolsas terminaron al alza con el empuje de EE.UU. donde el S&P 500 subió un +1,1%. En el STOXX 600 los mejores sectores de la semana fueron Tecnología y Farma frente a Autos y Media que fueron los que más cayeron. En la Eurozona el PIB 1T’25 se revisó al alza 0,3 p.p. hasta el 1,5% a/a mientras...
NEWS SUMMARY: GRIFOLS. End of tariffs? European stock markets saw decreasing performance, with the exception of the Ibex, ending with slight drops after reciprocal tariffs were blocked by a US court. Thus, in the STOXX 600 most sectors (15/20) ended with drops, led by Utilities and Household vs. the bigger gains of Banks and Basic Resources. On the macro side, in Spain, April’s retail sales rose to the highest level in 2025. In the US the second reading of the 1Q’25 GDP improved 0.1pp to -0.2% ...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: GRIFOLS. EUROPA: SANOFI. ¿Portazo a los aranceles? En una jornada de más a menos las bolsas europeas, a excepción del Ibex, terminaron con ligeras caídas tras el bloqueo a los aranceles recíprocos que dictaminó un tribunal de EE.UU. En el STOXX 600 la mayoría de los sectores (15/20) cerraron con pérdidas, lideradas por los defensivos Utilites y Hogar frente a las mayores ganancias de Bancos y R. Básicos. Por el lado macro, en España las ventas al po...
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