COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: IBERDROLA, OHLA, REDEIA, REPSOL. El mercado de divisas, nuevo foco de atención Jornada mixta en las bolsas europeas, que cotizaron divididas con la vista puesta en el dólar y el nuevo retroceso que sufrió ayer, cayendo a mínimos de 2022. En el STOXX 600 R. Básicos e Industriales fueron los sectores que más subieron, frente a las mayores caídas de Hogar y B. de Consumo (sectores con bastante exposición a dólar). Por el lado macro, en EE.UU. el PIB 1...
NEWS SUMMARY: IBERDROLA, OHLA, REDEIA, REPSOL. Spotlight now on the currency market It was a mixed session on European stock markets, which were a mixed bag with all eyes on the dollar and the drop it suffered yesterday, falling to a low since 2022. In the STOXX 600, Basic Materials and Industrials were the sectors rising the most, with Household Goods and Consumer Goods falling the most (sectors highly exposed to the USD). On the macro side, in the US the 1Q’25 GDP was lowered in its third rea...
NEWS SUMMARY: ACCIONA, ACCIONA ENERGÍA, NATURGY. Stock markets consolidation Following Tuesday’s gains, European stock markets dropped in a session lacking macroeconomic data, with the NATO meeting and the agreement to reach 5.0% of spending in 2035 as the main drivers. In the STOXX 600, most sectors (14/20) saw corrections, led by Food and Media vs. the better performance of cyclical industries such as Automobiles and Technology. On the macro side, in Spain, the final 1Q’25 confirmed the preli...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ACCIONA, ACCIONA ENERGÍA, NATURGY. EUROPA: UNICREDIT. Consolidación de niveles Tras las ganancias del martes, las bolsas europeas cayeron en una jornada descargada de datos macro, y con la reunión de la OTAN y el acuerdo de llegar al 5,0% del gasto en 2035 como principal catalizador. En el STOXX 600 la mayoría de los sectores (14/20) cerraron con pérdidas, lideradas por Alimentación y Media frente al mejor comportamiento de los cíclicos Autos y Tecn...
NEWS SUMMARY: ACCIONA/ACCIONA ENERGÍA, AMPER, IBERDROLA, NEINOR HOMES. Stock markets looking to return to 2025 highs The ceasefire between Iran and Israel continued to fuel stock markets at both sides of the Atlantic, with the Ibex returning to 14,000 points. Thus, in the STOXX 600, all sectors except Energy (due to the drop in oil prices) saw gains, led by Travel&Leisure and Construction. On the macro side, in Germany the IFO index climbed slightly more than expected for the sixth consecutive ...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ACCIONA, ACCIONA ENERGÍA, AMPER, IBERDROLA, NEINOR HOMES. Las bolsas con ganas de volver a los máximos del año El alto el fuego entre Irán e Israel siguió impulsando las bolsas a ambos lados del Atlántico, con el Ibex recuperando los 14.000 puntos. En el STOXX 600 todos los sectores menos Energía (por la caída del precio del petróleo) subieron, liderados por Viajes&Ocio y Construcción. Por el lado macro, en Alemania el IFO repuntó ligeramente más d...
NEWS SUMMARY: AEDAS HOMES, AMADEUS, IBERDROLA, NEINOR HOMES. The market recovers European stock markets rallied, driven by the possibility of a de-escalation of the situation in the Middle East. In this regard, Iran would be trying to stop the hostilities through the US in exchange for resuming talks on the nuclear agreement. In the STOXX 600, the best-performing sectors were Travel & Leisure and Banks, whereas defensive sectors like Pharma and Food suffered the biggest drops. On the macro side...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: AEDAS, AMADEUS, IBERDROLA, NEINOR HOMES. EUROPA: AXA, KERING. El mercado se recupera Rebote en las bolsas europeas, impulsadas por la posibilidad de ver cierta desescalada en la situación de Oriente Medio. En este sentido, Irán estaría intentando detener las hostilidades a través de EE.UU. a cambio de reanudar las conversaciones sobre el pacto nuclear. En el STOXX 600 los mejores sectores fueron Viajes&Ocio y Bancos, mientras que defensivos como Fa...
A director at Iberdrola S.A. sold 245,000 shares at 16.100EUR and the significance rating of the trade was 100/100. 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 clearl...
Two Directors at Acciona SA sold/bought 1,118 shares at between 149.900EUR and 151.500EUR. The significance rating of the trade was 57/100. 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 t...
NEWS SUMMARY: ENAGÁS, REPSOL, TALGO. Gains return to Europe with D. Trump Without macroeconomic drivers, European stock markets recovered much of the ground lost last Friday after the shift in D. Trump’s tariff policy, postponing the threat to implement 50% tariffs to Europe until the 9th of July. Thus, in the STOXX 600 all sectors saw gains, led by Autos and industrials vs. the worse relative performance of Household and Retail. On the macro side, in China industrial profits in 2025 grew +1.4%...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ENAGÁS, REPSOL, TALGO. Trump devuelve las ganancias a Europa Sin referencias macro ayer las bolsas europeas recuperaron gran parte de lo perdido el viernes tras el giro en la política arancelaria de Trump de retrasar hasta el 9 de julio la amenaza de aplicar aranceles del 50% a Europa. En el STOXX 600 todos los sectores tuvieron ganancias, lideradas por Autos e Industriales frente al peor comportamiento relativo de Hogar y Retail. Por el lado macro,...
Moody's Ratings (Moody's) has today assigned a Baa3 long-term rating to the proposed Fixed to Reset rate Subordinated Instrument (the subordinated "Hybrid") to be issued by EDP, S.A. ("EDP"). The size and completion of the Hybrid are subject to market conditions. The outlook is stable. RATINGS RAT...
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