NEWS SUMMARY: CELLNEX, FERROVIAL, IBERDROLA. 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. S. Lecornu’s government survives for the time being European stock markets climbed, benefiting from the lower political risk in France, the expectation of rate cuts by the Fed and the good start to the 3Q’25 earnings season whe...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CELLNEX, FERROVIAL, IBERDROLA. EUROPA: ESSILORLUXOTTICA, INTESA SANPAOLO, 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. El gobierno de Lecornu sobrevive por ahora Ganancias en las bolsas europeas, que se beneficiaron del menor rie...
NEWS SUMMARY: FERROVIAL, IBERDROLA, UNICAJA. 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. Mixed performance ahead of results European stock markets saw significant dispersion, the CAC climbed +2.0%, the Ibex ended flat and the DAX fell. In the STOXX 600, which ended higher, the heavy gains of Consumer Goods stood ou...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: FERROVIAL, IBERDROLA, UNICAJA. EUROPA: PERNOD RICARD. 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. Saldo mixto antes de los resultados Fuerte dispersión en las bolsas europeas, mientras el CAC rebotó un +2,0%, el Ibex terminó plano y el DAX...
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 ...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ECOENER, FERROVIAL, INDRA, MAPFRE, NATURGY, SACYR, OHLA, UNICAJA. Riesgo de elecciones anticipadas en Francia Recortes en la mayoría de bolsas de Europa y con peor comportamiento del CAC francés por la inestabilidad política del ejecutivo de E. Macron. En el STOXX 600 dirigieron las subidas Energía (el Brent rebotó después de que la OPEP+ incrementase sólo 137.000 b/d), Tecnología (impulsado por el acuerdo entre AMD y OpenAI) y Seguros mientras qu...
The fifth ODDO BHF Iberian Forum was held virtually, gathering 62 Iberian issuers and close to 200 institutional investors, making it one of the largest dedicated Iberian conferences of the year. The event generated 47 feedbacks, 6 target price revisions (including 4 downgrades), and a rating downgrade for Ence. The main topics of discussion were the impact of US tariffs and a weak USD on industrial companies, concerns about final demand in Europe and the US, and the sustainability of Spain’s ec...
NEWS SUMMARY: BANKINTER, INDRA, MAPFRE. Surprisingly strong macroeconomic data in the US It was a transition week for European and US stock markets, with all eyes on the US macroeconomic data (particularly the positive surprise after the 2Q GDP revision) and the comments from the Fed members, cooling the strong rate cuts priced in through Dec’26. Thus, in the STOXX 600, the best-performing sectors were Basic Resources and Energy, whereas Pharma (tariff implementation) and Construction suffered...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: BANKINTER, INDRA, MAPFRE. Sorpresa por la fortaleza macro americana Semana de transición en las bolsas europeas y americanas, que han estado muy pendientes de los datos macro americanos (especialmente la sorpresa positiva tras la revisión del PIB del 2T) y las declaraciones de los miembros de la Fed enfriando las fuertes bajadas de tipos que se descontaban a dic’26. Así, en el STOXX 600 los mejores sectores fueron R. Básicos y Energía mientras que...
NEWS SUMMARY: CHANGES IBEX, FERROVIAL, TELEFÓNICA. Stock markets erase Friday’s losses European stock markets rallied, offsetting the losses from Friday and driven by the expectations of rate cuts by the Fed. In the STOXX 600, the best-performing sectors were Retail and Construction, whereas defensive sectors like Pharma and Food fell the most. On the macro side, in Germany industrial output rose more than expected in July. However, the trade surplus in July was reduced unexpectedly in view of ...
2Q'25 vs. 2Q'24 Results Sales: € 2.41 Bn (+0.9% vs. +3.3% BS(e) and +3.8% consensus); EBITDA: € 346.0 M (-0.9% vs. +7.9% BS(e) and +9.2% consensus); EBIT: € 232.0 M (-41.9% vs. -34.3% BS(e) and -32.8% consensus); 1H'25 vs. 1H'24 Results Sales: € 4.469 Bn (+4.7% vs. +6.1% BS(e) and +6.3% consensus); EBITDA: € 655.0 M (+8.6% vs. +13.7% BS(e) and +14.4% consensus); EBIT: € 431.0 M (-21.8% vs. -16.3% BS(e) and -15.2% consensus); Net Profit: € 540.0 M;
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