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...
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...
We take a look at the broad developments in euro-denominated AT1 markets. So far this year the tight trading levels have reflected as banks continuing to remain very active in primary markets. With the uncertain geopolitical landscape, we would remain selective on issuers and in terms of bonds.
NEWS SUMMARY: AEDAS, IAG, INDRA, NEINOR, OHLA. US attacks Iran The risk of a military intervention by the US in Iran weighed on the market last week, and the 2-week deadline decided by D. Trump calmed stock markets. However, the movement of the military arsenal continued in the Middle East area, and in the end the US launched a weekend air attack on 3 Iranian nuclear targets. In the STOXX 600, Real Estate and Energy saw the biggest gains last week vs. Pharma and Retail that ended with the bigge...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: AEDAS, IAG, INDRA, NEINOR, OHLA. EUROPA: SCHNEIDER ELECTRIC. EE.UU. ataca Irán El riesgo de una intervención militar de EE.UU. en Irán sobrevoló sobre el mercado durante la semana pasada y el plazo de dos semanas que se había dado D. Trump alivió a las bolsas. Sin embargo, el movimiento de arsenal militar seguía llegando a la zona de O. Medio y finalmente EE.UU. ha lanzado durante el fin de semana un ataque aéreo sobre 3 objetivos nucleares. Irán h...
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 ...
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...
NEWS SUMMARY: CIE AUTOMOTIVE, ELECTRICITY SECTOR, IAG, TALGO. Ups and downs on the market European stock markets were back in the red, while the conflict between Israel and Iran entered its fifth day, and before the Fed’s decision today. In the STOXX 600, only Energy and Real Estate ended in green numbers, whereas Banks and Travel & Leisure once again posted the biggest losses. On the macro side, in Germany the ZEW index improved more than expected in June thanks to the fiscal measures announce...
NEWS SUMMARY: AEDAS HOMES, CAIXABANK, CHANGES IBEX, ELECTRICITY SECTOR, NEINOR HOMES, TELEFÓNICA. Geopolitical tensions in the Middle East halt stock market gains The trade agreement between the US and China, and the solid inflation data in the US, were overshadowed by the increased geopolitical tensions between Iran and Israel. In the STOXX 600, the best-performing sectors and the only ones in positive territory were Energy, Utilities and Pharma, with Financial Services and Telecoms falling th...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: AEDAS, CAIXABANK, CAMBIOS IBEX, NEINOR, SECTOR ELECTRICO ESPAÑA, TELEFÓNICA. EUROPA: KERING, UNICREDIT. La tensión geopolítica en Oriente Medio frena la subidas de las bolsas El acuerdo comercial entre EE.UU. y China y los buenos datos de inflación en EE.UU. se vieron ensombrecidos por el incremento de las tensiones geopolíticas entre Irán e Israel. En el STOXX 600 los mejores sectores y los únicos en positivo fueron Energía, Utilities y Farma, fr...
As we approach summer and reflect upon the already very busy and volatile first half of the year, we review our Credit Markets Outlook for 2025 and offer an update on our views, positioning and forecasts for the remainder of the year. We include our Picks and Pans on the Utilities, TMT, Real Estate and Bank sectors.
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