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Stephane Foucaud
  • Stephane Foucaud

AUCTUS ON FRIDAY - 27/06/2025

AUCTUS PUBLICATIONS ________________________________________ New Zealand Energy (NZ CN)C: Financial update – New Zealand has received short term loans totalling C$0.48 mm from Charlestown Energy Partners and a company controlled by New Zealand’s Chairman. The loans, which were issued with an original issuance discount of 10%. are unsecured and non-convertible, with interest payable at 15% per annum and repayment is due on August 27, 2025, The company now intends to complete a private placement. ...

Research Department
  • Research Department

INFORME DIARIO 27 JUNIO (ANÁLISIS BANCO SABADELL)

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...

Research Department
  • Research Department

IBERIAN DAILY 27 JUNE (ANÁLISIS BANCO SABADELL)

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...

Virginia Romero
  • Virginia Romero

REPSOL: VENDE ACTIVOS DE UPSTREAM EN INDONESIA (ANÁLISIS BANCO SABADEL...

REP ha alcanzado un acuerdo para vender una participación del 24% en el bloque Corridor en Indonesia

Research Department
  • Research Department

IBERIAN DAILY 26 JUNE (ANÁLISIS BANCO SABADELL)

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...

Research Department
  • Research Department

INFORME DIARIO 26 JUNIO (ANÁLISIS BANCO SABADELL)

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...

Research Department
  • Research Department

IBERIAN DAILY 20 JUNE (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: NATURGY, OHLA. Geopolitical and trade pressure The risks that the US takes part in the war between Israel and Iran and that the trade agreement with Europe is less favourable than initially expected resulted in new corrections in European stock markets. Thus, in the STOXX 600 most sectors ended in negative territory (only 3/20 closed with gains), with Energy and Pharma being the best performers vs. Travel&Leisure and Construction that saw the biggest drops. On the macro side, the ...

Research Department
  • Research Department

INFORME DIARIO 20 JUNIO (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: NATURGY, OHLA. EUROPA: UNICREDIT. Presión desde el frente geopolítico y comercial Los riesgos de que EE.UU. intervenga en la guerra entre Israel e Irán y que el acuerdo comercial con Europa sea menos favorable a lo inicialmente esperado volvieron a llevar a las pérdidas a las bolsas europeas. Así, en una jornada más, la mayoría de los sectores del STOXX 600 terminaron en rojo (sólo 3/20 se libraron del castigo) siendo Energía y Farma los mejores fre...

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