GROUPE BNP PARIBAS : déclaration mensuelle des droits de vote - Mars 2026 Raison sociale de l'émetteur : BNP PARIBAS - SA au capital de 2 203 201 214,00 euros Immatriculée sous le n° 662 042 449 RCS Paris Siège social : 16, boulevard des Italiens, 75009 Paris Informations relatives au nombre total de droits de vote et d'actions prévues parl'article L.233-8 II du code de commerce et l'article 223-16 du règlement général de l'Autorité des Marchés Financiers Date Nombre d'actions composant le capital Nombre total de droits de vote 31 mars 20261 101 600 6071 101 600 607 ...
A director at Vidrala S.A. bought 5,000 shares at 78.128EUR and the significance rating of the trade was 90/100. 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...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: GRIFOLS, INDRA, MERLIN PROPERTIES, SECTOR ELÉCTRICO, VIDRALA. Se mantiene el rebote en mercados Las bolsas europeas continuaron recuperándose, apoyadas en la propuesta estadounidense para un alto al fuego en Oriente Medio, aunque las ganancias se moderaron después de que Irán la rechazase. En un STOXX 600 donde todos los sectores subieron, destacaron las ganancias de R. Básicos y S. Financieros mientras que defensivos como Hogar y Telecomunicaciones...
NEWS SUMMARY: ELECTRICITY SECTOR, GRIFOLS, INDRA, MERLÍN PROPERTIES, VIDRALA. Markets continue to rally European stock markets continued to recover, underpinned by the US proposal for a ceasefire in the Middle East, although the gains were reeled in slightly after Iran rejected the proposal. In the STOXX 600, all the sectors were in green, with Basic Materials and Financial Services leading the way, whereas defensive sectors like Household Goods and Telecoms rose the least. On the macro side, ...
On 16 & 17 March, we organized our 7th TMT credit days with ten issuers in the telecoms, media and technology sectors: ams OSRAM, Atos, Canal+, Cellnex, Eutelsat, Nexi, Orange, Telecom Italia, Worldline and Zegona (Vodafone Spain). Over 100 credit investors registered to the event. This document summarizes the minutes of the virtual meetings by issuer. If you have participated to the meetings, we thank very much for filling in the questionnaires (links on page 2). Please don’t take this reminder...
On 16 & 17 March, we organized our 7th TMT credit days with ten issuers in the telecoms, media and technology sectors: ams OSRAM, Atos, Canal+, Cellnex, Eutelsat, Nexi, Orange, Telecom Italia, Worldline and Zegona (Vodafone Spain). Over 100 credit investors registered to the event. This document summarizes the minutes of the virtual meetings by issuer. If you have participated to the meetings, we thank very much for filling in the questionnaires (links on page 2). Please don’t take this reminder...
Inwit has issued new guidance reflecting the breakdown in the relationship with the two anchor tenants (TIM and Swisscom), implying a mid-teens cut to our cash flow forecasts. But the market thinks there’s more to come, with the current share price implying a substantial cut to MSA revenue at renewal (whether that be in 2028 or 2038).
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ALMIRALL, INDRA. EUROPA: BNP PARIBAS, SECTOR ELÉCTRICO, UNICREDIT. El petróleo marca la pauta La semana arrancó con avances de las bolsas apoyados en el retroceso del petróleo, favorecido por la potencial ampliación de las liberaciones de reservas en países desarrollados, el intento de Trump de impulsar una coalición internacional para reabrir el Estrecho de Ormuz y el paso puntual de algunos buques. En el STOXX 600, todos los sectores menos Autos,...
BNP PARIBAS ACCELERE LA CROISSANCE DE SA PLATEFORME DE GESTION D’ACTIFS AVEC UNE AMBITION DE DOUBLEMENT DU RESULTAT AVANT IMPOT D’ICI 2030 BNP PARIBAS ACCELERE LA CROISSANCE DE SA PLATEFORME DE GESTION D’ACTIFS AVEC UNE AMBITION DE DOUBLEMENT DU RESULTAT AVANT IMPOT D’ICI 2030 Communiqué de presse Paris, 17 mars 2026 BNP Paribas présente aujourd’hui le Plan Stratégique 2030 de sa plateforme de Gestion d’Actifs, intégrée et à l’échelle, la positionnant comme un contributeur clé de la trajectoire ROTE du Groupe de 13% à horizon 2028. S’appuyant sur l’acquisition réussie d’AXA IM, BNP Pa...
BNP PARIBAS ACCELERATES ASSET MANAGEMENT GROWTH WITH PRE-TAX INCOME SET TO DOUBLE BY 2030 BNP PARIBAS ACCELERATES ASSET MANAGEMENT GROWTH WITH PRE-TAX INCOME SET TO DOUBLE BY 2030 PRESS RELEASE Paris, 17 March 2026 BNP Paribas today unveiled its 2030 Strategic Plan for its scaled and integrated Asset Management platform, positioning it as a key contributor to the Group’s trajectory toward a 13% Return on Tangible Equity by 2028. Building on the successful acquisition of AXA IM, BNP Paribas Asset Management now operates at scale across Europe, marking a transformational step in its growt...
BNP Paribas SA: Restatement of new 2025 quaterly series in the 2026 format RESTATEMENT OFNEW 2025 QUARTERLY SERIES IN THE 2026 FORMAT PRESS RELEASEParis, 16 March 2026 This restatement has no impact on the Group’s published 2025 results and changes only the analytical breakdown of business lines and divisions. In order to present a consistent reference with the presentation of the financial statements and the results applied from 1 January 2026, the quarterly series for the 2025 financial year include the main effects described below: Reorganisation of GCM (Global Capital Markets) wit...
BNP Paribas SA : Recomposition nouvelles séries trimestrielles 2025 au format de 2026 RECOMPOSITION NOUVELLES SÉRIES TRIMESTRIELLES 2025 AU FORMAT DE 2026 COMMUNIQUÉ DE PRESSEParis, le 16 mars 2026 Cette recomposition n’a pas d’impact au niveau des résultats publiés 2025 du Groupe et modifie uniquement la répartition analytique des métiers et des pôles. Afin de présenter une référence homogène avec la présentation des comptes et des résultats appliquée à partir du 1er janvier 2026, les séries trimestrielles de l’exercice 2025 intègrent principalement les effets présentés ci-dessous : Ré...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: BBVA, IAG, TELEFÓNICA. El crudo y las dudas en crédito privado lastran la confianza en las bolsas Aumentan las caídas en los índices europeos, con el S&P 500 jugándose el soporte de los 6.700 puntos. El Euro STOXX 50 tocó la referencia de los 5.750 puntos por las tensiones en Medio Oriente (el Brent volvió a los 99 d/b) y las preocupaciones sobre el crédito privado. En el STOXX 600, los mejores sectores fueron Químicas y Utilities mientras que Via...
NEWS SUMMARY: BBVA, IAG, TELEFÓNICA. Crude oil and private credit drag down stock market confidence European stock markets fell further, with the S&P 500 on the verge of falling below the 6,700 point support. The Euro STOXX 50 hit 5,750 due to the tension in the Middle East (Brent returned to US$ 99/barrel) and the concerns on private credit. In the STOXX 600, the best-performing sectors were Chemicals and Utilities, whereas Travel & Leisure and Banks suffered the biggest corrections. On the m...
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.