NEWS SUMMARY: GRIFOLS, INDRA, MELIÁ HOTELS, PUIG BRANDS. Positive and negative news in Gulf War but negative today All risk assets (stock exchanges, bonds, CDS, €) saw a new session of euphoria, with crude oil prices falling sharply, driven by short covering and/or expectations of an imminent resolution of the conflict in Iran. However, after the markets closing bell, far from suggesting the end of the conflict, D. Trump pledged to intensify the attacks over the next 2-3 weeks, sending Iran ba...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: GRIFOLS, INDRA, MELIÁ HOTELES, PUIG BRANDS. Guerra en el Golfo, una de cal y otra de arena, hoy toca arena Nueva jornada de euforia en todos los activos de riesgos (bolsa, bonos, cds, euro…) y fuertes retrocesos en el crudo. El catalizador, la cobertura de posiciones especulativas cortas y/o la expectativa de una pronta resolución del conflicto en Irán. Con todo, tras el cierre de los mercados D. Trump dio un discurso en el que lejos de apuntar a un...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: AMADEUS, ELECNOR, ENDESA, GRIFOLS, METROVACESA, PUIG,. Mucha incertidumbre sobre Oriente Medio Jornada de mucha volatilidad en bolsas, ante las discrepancias entre las declaraciones de fuentes estadounidenses e iraníes pero que en todo caso mantienen al estrecho bloqueado. En el STOXX 600 lideraron las subidas Energía (el petróleo rebotó un +4,0%) y Telecomunicaciones mientras que Bancos e Industriales terminaron con las mayores caídas. Por el lado...
NEWS SUMMARY: AMADEUS, ENDESA, GRIFOLS, METROVACESA, PUIG BRANDS. Huge uncertainty in Middle East It was a highly volatile session on stock markets in view of the discrepancies between the statements made by US and Iranian sources, but in any event the Strait of Hormuz remains blocked. In the STOXX 600, the gains were led by Energy (with oil rallying +4.0%) and Telecoms, while Banks and Industrials ended with the biggest drops. On the macro side, in the euro zone March’s preliminary manufactur...
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).
NEWS SUMMARY: INDITEX, MELIÁ HOTELS, MERLIN PROPERTIES, REPSOL. Markets take a breather European markets rallied after expectations of the duration of the war in Iran improved. In this regard, Trump admitted in an interview with Fox that he could talk with Iran, while Israel, through its Foreign Minister, G. Saar, confirmed that it is not seeking a drawn-out conflict. In the STOXX 600, leading the rally were Basic Materials and Banks, while defensive sectors like Food and Pharma ended with the...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: INDITEX, MELIÁ HOTELES, MERLIN PROPERTIES, REPSOL. EUROPA: TOTALENERGIES. 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. 4T’25 que se publicarán en España y Europa en los próximos días. El mercado respira aliviado Recuperación en los activos de riesgo, después de que mejorasen las expectativas sobre la dura...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: OHLA, SANTANDER, SECTOR ELÉCTRICO. EUROPA: AIRBUS, PROSUS, VOLKSWAGEN. 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. 4T’25 que se publicarán en España y Europa en los próximos días. El Brent termina por debajo de los 100 dólares Fuerte volatilidad en los mercados de la mano de las subidas del Brent pero qu...
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.