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.
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ARCELOR MITTAL, SECTOR ELÉCTRICO. El mercado, pendiente de la Fed y de Irán Jornada de volatilidad en las bolsas de Europa que a pesar de una apertura al alza terminaron en negativo después de que el líder supremo de Irán, el ayatolá Ali Khamenei, rechazase la rendición incondicional que reclama D. Trump. De las caídas se desmarcó la periferia (Ibex 35 +0,1%/MIB +0,1%), aupados por los bancos ante la posibilidad de asistir a unos tipos más altos po...
NEWS SUMMARY: ARCELORMITTAL, ELECTRICITY SECTOR. All eyes on the Fed and Iran It was a volatile session on European stock markets, which despite a bullish opening, ended in the red after the supreme leader of Iran, Ayatollah Ali Khamenei, rejected the unconditional surrender demanded by Trump. Peripheral nations managed to avoid the drops (IBEX 35 +0.1% and MIB +0.1%), boosted by banks in view of the possibility of higher rates due to the rally in crude oil prices. In a STOXX 600 dominated by d...
NEWS SUMMARY: AMPER, ARCELORMITTAL, CAF. All eyes on US-China negotiations The week kicked off without relevant macroeconomic data, with European stock markets sliding slightly except the Ibex that ended with sight gains. In the STOXX 600, the best-performing sectors were Travel&Leisure and Real Estate, whereas defensive industries such as Household and Utilities ended with the biggest drops. On the macro side, the Treasury Secretary S. Bessent and the Trade Secretary H. Lutnick viewed the mee...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: AMPER, ARCELORMITTAL, CAF. Mercados pendientes de la negociación EE.UU.- China La semana comenzó descargada de datos macro importantes y con las bolsas europeas mostrando ligeras caídas, a excepción del Ibex que terminó con tímidos avances. En el STOXX 600 los mejores sectores en positivo fueron Viajes&Ocio e Inmobiliario, frente a los defensivos Hogar y Utilities que fueron los que más cayeron. Por el lado macro, el secretario del Tesoro S. Bessen...
NEWS SUMMARY: ARCELORMITTAL. All eyes still on Trump Slight gains on European markets over the course of the week, remaining near annual highs. However, the gains halted on Friday after Donald Trump stated that China had completely violated its tariff agreement with the US. China counterattacked stating the same and threatening to take measures. Within the STOXX 600, Real Estate and Industrials ended the week with the biggest gains, while Construction and Media suffered the biggest drops. On th...
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ARCELOR MITTAL. EUROPA: SANOFI. Seguimos pendientes de Donald Trump Ligeras ganancias en la semana entre los mercados europeos, que se mantienen cerca de los máximos anuales. No obstante, las subidas se frenaron el viernes después de que D. Trump denunciase que China ha violado totalmente el acuerdo con EE.UU. sobre los aranceles (China ha contratacado diciendo lo mismo después y amenazando con tomar medidas). Dentro de los sectores del STOXX 600, I...
Tereos : -29% decline in EBITDA for 2024/25 and very cautious guidance for 2025/26, with leverage that could reach 5x.|IHO roadshow feedback: ContiTech monetisation could help IHO to de-lever… but earliest 2026|Emeria: Q1 2025 results reassuring despite ongoing liquidity concerns|Isabel Marant: despite a further improvement in the topline, EBITDA fell again in Q1|Tough 2025 results, withdrawal of 2026 targets, Q1 2026 revenue expected to drop by 20%, and new CFO|
Tereos : publication d’une baisse de -29% de l’EBITDA en 2024/25 et guidance très prudente pour 2025/26, avec un levier qui pourrait aller jusqu’à 5x.|IHO roadshow feedback: ContiTech monetisation could help IHO to de-lever… but earliest 2026|Emeria : un T1 2025 rassurant même si la liquidité reste critique|Isabel Marant : malgré une nouvelle amélioration de la topline, l’Ebitda est à nouveau en baisse au T1|Résultats 2025 difficiles, retrait des objectifs 2026, CA T1 2026 attendu en baisse org....
COMPAÑÍAS QUE APARECEN EN EL INFORME: ESPAÑA: ARCELOR MITTAL, CAIXABANK, ENCE, ENAGAS, NARTUGY, REPSOL, SACYR, SANTANDER, VISCOFAN. EUROPA: DHL, MERCEDES. 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. 1T’25 que se publicarán en España y Europa en los próximos días. Estabilización de las bolsas Comportamiento mixto de las bolsas europeas en el primer ...
NEWS SUMMARY: ARCELORMITTAL, CAIXABANK, ENAGÁS, ENCE, NATURGY, REPSOL, SACYR, SANTANDER, VISCOFAN. 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 1Q’25 results to be released over the coming days in Spain. Stock markets stabilise Mixed performance in European stock markets on the first marathon macro data day this week. In the STOXX 600, most sectors (14/20) closed with gains...
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