We are hosting our 28th ODDO BHF Forum in Lyon on 9 and 10 January 2025. In total, 211 companies will be presenting over the two days. In the following note, we provide some initial feedback from the companies on day 1. Out of the 104 feedbacks collected during the first day, 40 were clearly positive, 59 rather Neutral, and only 6 negative. Among the positive names, we would particularly highlight Accor, URW, Euronext, Bureau Veritas, Renke, ID Logistics, Roche Bobois, Ionos, Companie des Alpes...
NEWS SUMMARY: IBERDROLA, SACYR, UNICAJA. Slight losses with the market still affected by rising yields and awaiting employment data European stock markets, which opened with slight gains, ended up doing a 180 after Wall Street opened, awaiting tomorrow’s US employment data and with all eyes on debt yields. The first few days of the year continue to be shaky: the debate continues on at what point, with demanding stock market levels, high interest rates but a still-favourable macro backdrop, ther...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: IBERDROLA, SACYR, UNICAJA. EUROPA: SANOFI. Ligeros retrocesos en bolsa por la subida de la TIR Las bolsas europeas, que abrieron con ligeras subidas, se acabaron dando la vuelta tras la apertura de Wall Street a la espera de la publicación de los datos de empleo americanos mañana y con la mirada puesta en la rentabilidad de la deuda. Se mantiene la indefinición en estos primeros compases del año y prosigue el debate sobre los niveles de valoración ...
A director at Iberdrola S.A. bought 2,000 shares at 13.100EUR and the significance rating of the trade was 52/100. 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...
NEWS SUMMARY: ARCELORMITTAL, ECOENER, ENDESA, OHLA. Moderate drops in a session without volume and with weaker macro data Despite the US rally seen last Friday after the European closing bell, in the absence of additional catalysts, the worse macroeconomic data released yesterday in the US dragged down European stock markets in a session with low volume. Thus, in the STOXX 600 Pharma stood out thanks to the rally of Novo Nordisk following last Friday’s strong corrections whereas Leisure and Aut...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ARCELOR MITTAL, ENDESA, ECOENER, SECTOR ELECTRICO ESPAÑA, OHLA. EUROPA: BASF Caídas moderadas en una sesión sin volumen y datos macro algo más flojos de fondo A pesar de la subida de EE.UU. el viernes después del cierre en Europa, en ausencia de más catalizadores, los peores datos macro publicados ayer en EE.UU, terminaron lastrando las bolsas europeas en una sesión con poco volumen. Así, en el STOXX 600, destacó al alza la subida de Farma gracias...
A director at Endesa S.A. bought 50,000 shares at 20.140EUR and the significance rating of the trade was 69/100. 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 s...
NEWS SUMMARY: CHANGES IBEX, IBERDROLA. The ECB follows the script The most-awaited event of the week did not bring any surprises, and the ECB cut rates by -25bps to 3.05% (despite the discussion about the possibility of cutting 50bps). C. Lagarde was in favour of further rate cuts to neutral levels (near 2.05%), not making any reference in her communiqué on maintaining a restrictive monetary policy, cutting 2024/25 growth forecasts to 0.7% and 1.1%, respectively and inflation to 2.4% and 2.1%....
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAMBIOS IBEX, IBERDROLA. EUROPA: MUNICH RE, SIEMENS. El BCE cumple el guión El acontecimiento más esperado de la semana no deparó sorpresas y el BCE rebajó los tipos -25 p.b. hasta el 3,0% (a pesar de que se discutió la posibilidad de recortar -50 puntos básicos). C. Lagarde se mostró a favor de seguir bajándolos hasta llevarlos más cerca de la neutralidad (se estima cerca del 2,0%) sin hacer referencia el comunicado a mantener una política monetar...
Hay mimbres para retomar alzas en bolsa. Mantenemos SOBREPONDERAR en IBE, ANA, ANE, ENER. Cambiamos SLR a INFRAPONDERAR. Durante 2024 el sector ha continuado lastrado en bolsa (-20% el S&P Global Clean Energy Index, vs +20% el Ibex y el S&P Global) y cotiza a múltiplos deprimidos (16x). Gran parte de las incertidumbres han pasado a ser vientos de cola en 2024: (i) mejora de la demanda de electricidad, (ii) rebaja de los costes de instalación y (iii) la evolución a la baja de los tipos de interé...
NEWS SUMMARY: FCC, IBERDROLA, TALGO. The week was marked by the US holiday and risk in France The week was marked by the Thanksgiving holiday in the US, which allowed for some stability in risk assets and led the Euro STOXX 50 to rise above 4,750 points and the IBEX back above 11,600. Separately, the political noise in France hit the risk premium, awaiting concessions from the Govt. to move forward with the budgets. In the STOXX 600, the best-performing sectors were Telecoms and Real Estate, wh...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: FCC, IBERDROLA, TALGO. EUROPA: PROSUS. Semana marcada por la festividad en EE.UU. y el riesgo en Francia La semana vino marcada por la festividad del día de Acción de Gracias en EE.UU. permitiendo cierta estabilidad en los activos de riesgo, lo que llevó al Euro STOXX 50 a recuperar los 4.750 puntos y al Ibex a volver a situarse por encima de los 11.600. Por otro lado, el ruido político en Francia tensionó la prima de riesgo a la espera de concesion...
NEWS SUMMARY: CAIXABANK, ENDESA, GRIFOLS, POSSIBLE TAX CHANGES, TALGO. Russia shakes markets The threat of using nuclear weapons by Russia after Ukraine used its long-range missiles on Russian territory led to corrections in European stock markets that eased throughout the session after the Foreign Minister S. Lavrov stressed that Russia does not wish nor expect a nuclear war. Thus, in the STOXX 600, Real Estate and Pharma were the only sectors ending with gains vs. Banks and Automobiles that ...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAIXABANK, GRIFOLS, IMPUESTOS ESPAÑA, TALGO. EUROPA: NOKIA. Rusia agita los mercados La amenaza de uso de armas nucleares por parte de Rusia después de que Ucrania utilizase sus misiles de largo alcance sobre territorio ruso deparó una sesión de caídas en Europa, que fueron moderándose a lo largo de la sesión después de que el ministro de exteriores ruso S. Lavrov remarcase que el país no desea ni espera una guerra nuclear. Así, dentro del STOXX 600...
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