COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: FLUIDRA, GREENING, OHLA. El Ibex sigue de fiesta El buen tono se mantuvo en Europa con avances generalizados en las principales plazas bursátiles y donde el Ibex 35 registró nuevos máximos y encadenó nueve sesiones seguidas al alza. En el STOXX 600, Autos e Industriales fueron los sectores que más subieron, frente a Utilities y Ocio que fueron los que más cayeron. Por el lado macro, en la Eurozona las ventas al por menor de octubre repuntaron más ...
NEWS SUMMARY: FLUIDRA, GREENING, OHLA. IBEX party continues The solid performance continued in Europe, with widespread gains on the main stock markets and where the IBEX 35 hit a new high, making it now nine straight sessions with gains. In the STOXX 600, Autos and Industrials were the best performers, with Utilities and Leisure the sectors falling the most. On the macro side, in the euro zone October’s retail sales rose more than expected. In Germany, the coalition Govt. is facing a vote on th...
3Q’25 vs. 3Q’24: Sales: € 882 M (-5.1% vs. 2.2% BS(e)); EBITDA: € 29 M (-1.0% vs. 4.3% BS(e)); EBIT: € 6 M (-57.8% vs. -8.8% BS(e)); Net Profit: € -16 M (-33.8% vs. -41.0% BS(e)); 9M’25 vs. 9M’24: Sales: € 2.571 Bn (-3.0% vs. -0.4% BS(e)); EBITDA: € 113 M (30.3% vs. 32.1% BS(e)); EBIT: € 52 M (56.3% vs. 77.0% BS(e)); Net Profit: € -46 M (-21.8% vs. -24.7% BS(e)).
Rdos. 3T'25 vs 3T'24: Ventas: 882 M euros (-5,1% vs 2,2% BS(e)); EBITDA: 29 M euros (-1,0% vs 4,3% BS(e)); EBIT: 6 M euros (-57,8% vs -8,8% BS(e)); BDI: -16 M euros (-33,8% vs -41,0% BS(e)); Rdos. 9M'25 vs 9M'24: Ventas: 2.571 M euros (-3,0% vs -0,4% BS(e)); EBITDA: 113 M euros (30,3% vs 32,1% BS(e)); EBIT: 52 M euros (56,3% vs 77,0% BS(e)); BDI: -46 M euros (-21,8% vs -24,7% BS(e)).
NEWS SUMMARY: ACCIONA ENERGÍA, ARCELORMITTAL, CAIXABANK, IAG, INDITEX, OHLA, SANTANDER. Stability for now In the absence of references from the US due to Thanksgiving, European stock markets traded within a narrow sideways range. In the STOXX 600, Autos and Financial Services were the best performers whereas Pharma, Technology and Basic Resources were the only sectors that ended with drops. On the macro side, in the euro zone, October’s M3 remained at 2.8% YoY, in line with expectations, wherea...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ACCIONA ENERGÍA, ARCELORMITTAL, CAIXABANK, IAG, INDITEX, OHLA, SANTANDER. Por el momento, estabilidad En una sesión sin referencias desde EE.UU., por la festividad de Acción de Gracias, las bolsas europeas se movieron en un rango lateral estrecho. En el STOXX 600, las ganancias fueron dirigidas por Autos, S. Financieros e Inmobiliario. En el lado contrario, sólo Farma, Tecnología y R. Básicos terminaron con caídas. Por el lado macro, en la Eurozo...
Enagás's financial results for the first nine months disappointed the equity market. The Spanish utility's EBITDA was down 12% but Enagás reiterated its year-end 2025 financial guidance. On the credit side, the company's credit ratios remained robust. Capital expenditure will increase substantially over the period 2025-30F, driven by hydrogen projects, in particular. At the same time, cash flow generation is expected to climb significantly as well. We changed our stance on Enagás from negative t...
NEWS SUMMARY: COLONIAL, ENAGÁS, ENCE, ENDESA, FERROVIAL, REDEIA, SANTANDER. 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 3Q’25 results to be released over the coming days in Spain. Ibex 35 above 16,080 Mixed bag on European stock markets with the “periphery” and the FTSE in positive numbers, compared to the core indices and the Swiss SMI in the red. In the STOXX 600, the big...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ENAGAS, ENCE, ENDESA, FERROVIAL, INMOBILIARIA COLONIAL, REDEIA, SANTANDER. EUROPA: ADIDAS, MERCEDES, NOKIA. 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. 3T’25 que se publicarán en España y Europa en los próximos días. El Ibex 35 supera los 16.080 puntos Cierre mixto en las bolsas europeas con la “perife...
NEWS SUMMARY: ENAGÁS, TELEFÓNICA, VIDRALA. 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 3Q’25 results to be released over the coming days in Spain. IBEX looking up at 16,000 points Following the strong session in Asia (Japan hit a new record high), the euphoria continued in Europe, which rose more than +1.3% thanks to the German DAX and the IBEX. In the STOXX 600, all the se...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ENAGÁS, TELEFÓNICA, VIDRALA. EUROPA: BNP PARIBAS. 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. 3T’25 que se publicarán en España y Europa en los próximos días. El Ibex mira a los 16.000 puntos Tras la buena jornada asiática (Japón renovó sus máximos históricos), la euforia continuó en Europa, que subió ...
NEWS SUMMARY: COLONIAL, ENAGÁS, VISCOFAN. All eyes on the trade front again European stock markets fell, dragged down by the trade war. Meanwhile, BoFA’s investors survey suggested underweighting of liquidity at highs from Dec’24 and the most bullish investor sentiment since Feb’25 although the bubble in AI shares is seen as the main risk for the first time. In the STOXX 600 Telecoms and Insurance were the best performers whereas cyclical sectors such as Basic Resources and Autos saw the bigge...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ENAGÁS, INMOBILIARIA COLONIAL, VISCOFAN. EUROPA: ASML, INTESA SANPAOLO, LVMH, UNICREDIT. 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. 3T’25 que se publicarán en España y Europa en los próximos días. De nuevo, el frente comercial Correcciones en los índices de Europa, enfrascados en el enfrentamiento come...
NEWS SUMMARY: ECOENER, FERROVIAL, INDRA, MAPFRE, NATURGY, OHLA, SACYR, UNICAJA. Risk of snap election in France Most European stock markets fell, with the French CAC performing the worst due to the political instability of Macron’s Govt. In the STOXX 600, Energy (Brent rallied after OPEC+ “only” raised production by 137,000 b/d), Technology (boosted by the agreement between AMD and OpenAI) and Insurance led the gains, while Consumer Goods, Banks and Chemicals suffered the biggest drops. On the ...
Unfortunately, this report is not available for the investor type or country you selected.
Report is subscription only.
Thank you, your report is ready.
Thank you, your report is ready.