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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.

Repsol S.A. - September 2025 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

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 ...

Stephane Foucaud
  • Stephane Foucaud

AUCTUS ON FRIDAY - 12/12/2025

AUCTUS PUBLICATIONS ________________________________________ Corcel (CRCL LN)C; Target price of 1.40p per share: Equity raise from blue chip new investors bolsters balance sheet ahead of busy 2026 – Corcel has raised £3 mm of new equity at a price of 0.35 p per share from two blue chip new investors. Following the raise, Corcel’s cash balance is expected to reach ~£6 mm by YE25. In addition, Sintana Energy will pay Corcel ~US$2 mm in cash upon closing the acquisition of a 5% interest in KON‑16. ...

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

IBERIAN DAILY 10 DECEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: CHANGES IBEX 35, GRUPO CATALANA OCCIDENTE, INDRA, SACYR. Stock markets on stand by European stock markets saw a second session of stability, awaiting the Fed’s decision to be made public tomorrow. In the STOXX 600, Insurance and Household led the gains whereas Pharma and Constructions were the worst performers. On the macro side, the ECB will propose merging the systemic risk buffer and the countercyclical capital buffer instead of reducing the capital buffers demanded of banks. I...

Research Department
  • Research Department

INFORME DIARIO 10 DICIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: CAMBIOS IBEX, GRUPO CATALANA OCCIDENTE, INDRA, SACYR. Bolsas en stand by Segunda sesión de estabilidad en las bolsas europeas, a la espera de la decisión de la Fed de mañana. En el STOXX 600, los mejores sectores fueron Seguros y Hogar mientras que Farma y Construcción quedaron con las mayores correcciones. Por el lado macro, desde el BCE se propondrá fusionar el colchón de riesgo sistémico y el colchón de capital anticíclico en lugar de reducir los...

Benoit Valleaux ... (+2)
  • Benoit Valleaux
  • Steven Gould
Benoit Valleaux ... (+2)
  • Benoit Valleaux
  • Steven Gould
Research Department
  • Research Department

IBERIAN DAILY 08 DECEMBER (ANÁLISIS BANCO SABADELL)

NEWS SUMMARY: GRUPO CATALANA OCCIDENTE, REPSOL. The Fed continues to favour markets Stock markets rallied last week, trading near November’s highs after the probability of rate cuts by the Fed at Wednesday’s meeting rose to 92%. In the STOXX 600, Autos and Retail (after Inditex released results) led the gains last week whereas Insurance and Real Estate were the worst performers. On the macro side, in the euro zone the final 3Q’25 GDP remained at the preliminary 1.4% YoY, in line with the consen...

Research Department
  • Research Department

INFORME DIARIO 08 DICIEMBRE (ANÁLISIS BANCO SABADELL)

COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: GRUPO CATALANA OCCIDENTE, REPSOL. EUROPA: AIRBUS. La Fed sigue dando espacio al mercado Rebote en las bolsas durante la última semana, que se sitúan cerca de los máximos de noviembre después de que las probabilidades de bajadas de tipos de la Fed para la reunión de este miércoles hayan subido al 92%. En el STOXX 600, dirigieron las subidas en la semana Autos y Retail (tras la presentación de los Rdos de Inditex) mientras que Seguros e Inmobiliario ...

Virginia Romero
  • Virginia Romero

REPSOL: VIENTOS DE COLA EN MARGEN DE REFINO Y NEGOCIO RETAIL (ANÁLISIS...

Con mejor margen de refino y negocio comercial. Nuevo P.O. 18,15 euros/acc. SOBREPONDERAR Revisamos nuestras estimaciones de BDI ajustado 25-27e al alza c. +5% (vs anterior) por mejora del margen de refino 2025e y 2026e y por el negocio comercial. Esto implicaría una TACC 24-27e en BDI Ajustado de -3,9% vs -5,4% antes. Creemos que el próximo Plan Estratégico 2026-28 (1T’26e) será continuista en retribución al accionista, fortaleza del balance y gestión del capex. Con todo, revisamos P.O. al alza...

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