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James Ratzer
  • James Ratzer

Cellnex vs. Telefonica Cellnex (Buy, €34, +32%) Telefonica (Reduce, ...

On Wednesday, we published our European Telecoms Year Ahead note for 2026. In that note, we upgraded Cellnex to a Buy, as we think the market’s worst fears on growth are overdone, and we downgraded Telefonica to a Reduce, as we fear the low cashflow growth outlook is not being properly priced in. However, in that sector report, we missed out one important aspect to back up this diverging view of value and we now highlight that here.

Ben Rickett ... (+3)
  • Ben Rickett
  • James Ratzer
  • Russell Waller

Cellnex (Buy, €34, +34%) Inwit (Buy, €11.8, +56%) Both upgraded to BU...

Yesterday, we published our sector lookahead for EU telecoms names for 2026. There is a lot of material in the report, but as part of the review, we upgraded Cellnex and Inwit to Buy for the first time since 2017 and 2023 respectively.

Iberdrola S.A.: 1 director

A director at Iberdrola S.A. sold 1,000 shares at 17.700EUR and the significance rating of the trade was 51/100. 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...

Research Department
  • Research Department

IBERIAN DAILY 15 DECEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: FERROVIAL, GREENING, REPSOL, TALGO. The Fed continues to underpin stock markets The Fed’s dovish message underpinned the weekly gains of stock markets, conveying confidence on lower rates in 2026 and higher liquidity with the Fed’s short-term asset purchase. This led the Ibex to climb above 17,000 points. In the STOXX 600, Banks and Insurance, closely followed by Travel&Leisure, led the gains whereas Autos and Real Estate were the only sectors ending with drops. On the macro side,...

Research Department
  • Research Department
SAN SANOFI
REP REPSOL SA ... (+5)

INFORME DIARIO 15 DICIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: FERROVIAL, GREENING, REPSOL, TALGO. EUROPA: SANOFI. La Fed sigue apoyando el mercado El mensaje dovish de la Fed apoyó a las bolsas en la semana, transmitiendo confianza a los mercados en que habrá tipos más bajos en 2026 y más liquidez con la compra de activos a corto plazo. No obstante, las dudas en torno a las tecnológicas provocaron tomas de beneficios en la recta final. Así, en el STOXX 600, los mejores sectores fueron Bancos y Seguros seguido ...

Research Department
  • Research Department

IBERIAN DAILY 12 DECEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: CELLNEX, FERROVIAL, GRUPO SANJOSE, REPSOL, TELEFÓNICA, VIDRALA. The Ibex near 17,000 points European stock markets climbed near 1% yesterday after the Fed’s rate cut and despite doubts surrounding the technology sector after the poor reception of Oracle’s results. In the STOXX 600, Construction (that rallied after being the worst-performing sector last Wednesday) and Leisure, closely followed by Banks led the gains whereas Utilities and Energy were almost the only sectors ending w...

Research Department
  • Research Department

INFORME DIARIO 12 DICIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CELLNEX, FERROVIAL, GRUPO SANJOSE, REPSOL, TELEFÓNICA, VIDRALA. EUROPA: BNP PARIBAS. El Ibex enfila los 17.000 puntos Las bolsas europeas avanzaron ayer cerca de un 1% tras la bajada de tipos por parte de la Fed y pese a las dudas en las tecnológicas tras la mala acogida de los resultados de Oracle. En el STOXX 600, los mejores sectores fueron Construcción (rebotó tras ser el miércoles el peor sector) y Ocio seguido de cerca por los Bancos mientras...

Research Department
  • Research Department

INFORME DIARIO 25 NOVIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: BANKINTER, IBERDROLA, TELEFÓNICA, VISCOFAN. El mercado coge aire Ligero rebote en las bolsas europeas, ante los progresos en las negociaciones de paz en Ucrania y las expectativas de bajadas de tipos para la próxima reunión de la Fed. En el STOXX 600, los mejores sectores fueron cíclicos como R. Básicos y Ocio mientras que Media y Hogar sufrieron las mayores correcciones. Por el lado macro, en Alemania el IFO de noviembre retrocedió de forma inespe...

Research Department
  • Research Department

IBERIAN DAILY 25 NOVEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: BANKINTER, IBERDROLA, TELEFÓNICA, VISCOFAN. Stock markets take a break European stock markets saw a slight rally amid progress in the peace negotiations in Ukraine and rate cut expectations in the Fed’s next meeting. In the STOXX 600, cyclicals sectors such as Basic Resources and Leisure were the best performers whereas Media and Household posted the biggest drop. On the macro side, in Germany November’s IFO fell unexpectedly, with drops in the expectations component. In Europe, v...

Research Department
  • Research Department

INFORME DIARIO 21 NOVIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAF, TELEFÓNICA, UNICAJA. EUROPA: PROSUS. Nvidia, un impulso a las bolsas que se desinfla Los resultados publicados por la tecnológica disipan de momento las dudas en torno a la IA y provocó rebotes en los índices europeos superiores al 1% pero que se fueron moderando hacia el cierre del mercado con un Ibex que se quedó al borde de los 16.000 puntos. En el STOXX 600, Energía e Industriales fueron los que mayores ganancias presentaron frente a Autos...

Research Department
  • Research Department

IBERIAN DAILY 21 NOVEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: CAF, TELEFÓNICA, UNICAJA. Nvidia fuelled stock markets to later ease The results released by the technology group dispelled doubts surrounding AI for the time being, leading to the rally of European markets >1% that eased at the closing bell, with the Ibex near 16,000 points. In the STOXX 600, Energy and Industrial led gains vs. Autos and Media that posted the biggest drops. On the macro side, in the euro zone, December’s consumer confidence was disappointing after remaining at th...

Andres Bolumburu
  • Andres Bolumburu

TALGO: 3Q’25 RESULTS (ANÁLISIS BANCO SABADELL)

3Q'25 vs. 3Q'24 Results Sales: € 173.0 M (+14.0%); EBITDA: € 13.2 M (-21.4%); 9M'25 vs. 9M'24 Results Sales: € 443.1 M (-11.0%); EBITDA: € -3.3 M (€ 57.7 M in 9M'24);

Ignacio Romero
  • Ignacio Romero

COLONIAL: 9M’25 RESULTS (ANÁLISIS BANCO SABADELL)

3Q'25 vs. 3Q'24 Results Rental Revenues: € 98.7 M (-3.0% vs. -3.7% BS(e)); EBITDA: € 83.6 M (-3.8% vs. -3.3% BS(e)); Recurring EPS: € 0.08 M (-12.5% vs. -11.2% BS(e)); 9M'25 vs. 9M'24 Results Rental Revenues: € 295.7 M (+1.0% vs. +0.8% BS(e)); EBITDA: € 242.6 M (+1.1% vs. +1.3% BS(e)); Recurring EPS: € 0.25 M (-3.9% vs. -3.5% BS(e));

Ignacio Romero
  • Ignacio Romero

COLONIAL: RDOS. 9MESES’25 (ANÁLISIS BANCO SABADELL)

Rdos. 3T'25 vs 3T'24: Ingresos por rentas: 98,7 M euros (-3,0% vs -3,7% BS(e)); EBITDA: 83,6 M euros (-3,8% vs -3,3% BS(e)); BPA recurrente: 0,08 euros (-12,5% vs -11,2% BS(e)). Rdos. 9meses'25 vs 9meses'24: Ingresos por rentas: 295,7 M euros (+1,0% vs +0,8% BS(e)); EBITDA: 242,6 M euros (+1,1% vs +1,3% BS(e)); BPA recurrente: 0,25 euros (-3,9% vs -3,5% BS(e)).

Research Department
  • Research Department

IBERIAN DAILY 14 NOVEMBER + 3Q’25 RESULTS. PREVIEWS (ANÁLISIS BANCO SA...

NEWS SUMMARY: ACCIONA, ACCIONA ENERGÍA, ACS, AENA, COLONIAL, ELECTRICITY SECTOR, MERLIN, REPSOL, SANTANDER, TALGO. 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. Markets see profit taking European stock markets ended up with profit taking in a session that ended worse than it began in a technical movement to digest th...

Research Department
  • Research Department

INFORME DIARIO 14 NOVIEMBRE + RDOS. ESPAÑA 3T’25. PREVIEWS (ANÁLISIS B...

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ACCIONA, ACCIONA ENERGÍA, ACS, AENA, COLONIAL, MERLIN, REPSOL, SANTANDER, SECTOR ELÉCTRICO, TALGO. EUROPA: ALLIANZ, PROSUS. 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. Toma de beneficios en mercado Las bolsas terminaron recogiendo beneficio...

Andres Bolumburu
  • Andres Bolumburu

CAF: RDOS. 9MESES’25 Y CAMBIO DE P.O. A BAJO REVISIÓN (ANÁLISIS BANCO ...

Rdos. 3T'25 vs 3T'24: Ventas: 986,0 M euros (+17,7% vs +10,0% BS(e) y +12,6% consenso); EBIT: 47,0 M euros (+34,3% vs +37,7% BS(e) y +42,9% consenso); BDI: 27,0 M euros (+200,0% vs +173,3% BS(e) y +211,1% consenso). Rdos. 9meses'25 vs 9meses'24: Ventas: 3.165 M euros (+8,5% vs +6,3% BS(e) y +7,0% consenso); EBIT: 161,0 M euros (+17,5% vs +18,4% BS(e) y +19,7% consenso); BDI: 100,0 M euros (+63,9% vs +60,0% BS(e) y +65,6% consenso).

Ignacio Romero
  • Ignacio Romero

INFORME SECTORIAL SOCIMIS ESPAÑA: LA IMPORTANCIA DE LA CARTERA EN DESA...

El comportamiento operativo tanto de COL como de MRL (ocupación y rentas), sigue siendo positivo y esperamos que continúe siéndolo a futuro, aunque por distintos motivos. En el caso de MRL (100% de exposición a Iberia) la macro está apoyando el crecimiento de la demanda. Por su parte, COL, con mucha exposición a París, donde apenas hay crecimiento económico, se está beneficiando de la escasez de producto superprime. En ambos casos, y especialmente en MRL, la cartera de activos en desarrollo (pip...

Research Department
  • Research Department

IBERIAN DAILY 13 NOVEMBER + 3Q’25 RESULTS. HIGHLIGHTS AND REST OF PREV...

NEWS SUMMARY: ACS, SPANISH REITS. 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. The longest shutdown ever comes to its end European stock markets continued to welcome the end of the US shutdown, climbing >+1% and returning to their new annual highs. In the STOXX 600, Utilities and banks led the gains, whereas Househo...

Research Department
  • Research Department

INFORME DIARIO 13 NOVIEMBRE + RDOS. ESPAÑA Y EUROPA 3T'25. IDEAS DESTA...

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ACS, SECTORIAL SOCIMIS. EUROPA: DEUTSCHE TELEKOM, SIEMENS, 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. Fin al shutdown más largo de la historia Las bolsas europeas siguieron festejando el final del shutdown estadounidense, con ga...

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