empty
20.10.2023 08:01 PM
European stocks falling while traders contemplate FED plans

On Friday, the leading stock market indicators in Western Europe declined. Throughout the trading day, traders are closely monitoring the conflict in the Middle East and are keenly avoiding risks. Additionally, investors from around the world are discussing the remarks made by the head of the US Federal Reserve and are awaiting signals of the end of the interest rate hike cycle from major central banks.

This image is no longer relevant

As of the time of writing, the composite index of the largest European companies, Stoxx Europe 600, has dropped by 0.95%. Meanwhile, the French CAC 40 fell by 1.15%, the German DAX lost 1.24%, and the British FTSE 100 declined by 0.68%.

Worst performers

The stock value of Italian automaker Iveco fell by 2.8%.

Shares of the transnational car manufacturer Stellantis declined by 1.9%.

The market capitalization of the French perfume and cosmetics company L'Oreal SA dipped by 0.8%. Notably, in the third quarter, the company increased sales by 4.4% compared to the same period in 2022.

The share price of the British hotel chain InterContinental Hotels Group Plc dropped by 2.2%, even though the company recorded revenue growth per room and increased hotel occupancy in the third quarter.

The stock value of the financial holding UBS decreased by 1.4%. It was recently announced that Roger von Mentlen has been appointed as the chairman of the board of directors for the Swiss subsidiaries of this bank.

Shares of the Italian fashion house Salvatore Ferragamo dropped by 2.8% after reporting a decline in revenue from January to September to 844 million euros from 920.7 million euros a year earlier. The decline in financial results was due to weaker performance in both retail and wholesale sales channels.

The market capitalization of another Italian fashion house, Brunello Cucinelli, jumped by 4.3%. From January to September, the company increased its revenue to 818.4 million euros from 642 million euros for the corresponding period last year. They also raised their annual revenue growth forecast to 20-22% from 19%.

The stock price of the French media conglomerate Vivendi rose by 2.5%, thanks to the publication of positive financial statements. For the first nine months of the current year, the company increased its revenue to 7.12 billion euros from 6.9 billion euros a year earlier.

Market sentiment

Today, investors absorbed news from Europe. According to the European Automobile Manufacturers' Association (ACEA), car sales in the European Union rose 9.2% in the past month compared to September of the previous year. This marks the 14th consecutive month of growth.

The UK's Office for National Statistics (ONS) reported a 0.9% decline in retail sales for the last month compared to August. Analysts had predicted a more modest 0.4% decrease. Year-on-year, retail sales contracted by 1%.

Britain recorded a budget deficit of £14.3 billion in September. On a year-on-year basis, this figure is down by £1.6 billion. Experts had expected a deficit between £18-19 billion.

Meanwhile, Germany's Federal Statistical Office (Destatis) reported a significant 14.7% annual drop in producer prices for September, marking the largest decrease in recorded history. Analysts had predicted a 14.2% decline.

Jerome Powell, the chair of the U.S. Federal Reserve, spoke at the New York Economic Club, emphasizing the steady rise in the U.S. economy. Powell mentioned that if current trends continue, there might be considerations to raise interest rates.

The ongoing conflict between Israel and the Hamas group continues to exert pressure on European stock markets. Tensions in the Middle East have been escalating due to anti-Israel protests in the region.

Israeli media outlets reported that the Israel Defense Forces (IDF) targeted several facilities linked to the Shiite movement "Hezbollah" in Lebanon. Additionally, Israeli forces struck over a hundred targets in the Gaza Strip on Friday night.

Trading outcomes the day before

On Thursday, leading stock indicators of Western Europe sharply declined following hawkish statements from the head of the US Federal Reserve, Jerome Powell. Additional pressure on the markets came from weak corporate reports of key companies in the Euro region.

The composite index of the largest European companies, Stoxx Europe 600, dropped by 1.2%. The French CAC 40 fell by 0.64%, the German DAX lost 0.33%, and the British FTSE 100 decreased by 1.17%.

The value of securities of the British business services group Rentokil Initial plummeted by more than 13% due to a decrease in demand for the company's services in North America.

The stock prices of the Swiss food producer Nestle fell by 3.4%. The company had previously reported slower-than-expected sales growth over the past nine months. Nestle's management stated that the weak financial results were due to high prices that deterred buyers and negatively impacted sales volumes.

The market capitalization of the French automaker Renault dropped by 7.3% due to slowed sales growth against the backdrop of currency devaluation. For the third quarter, the company's revenue increased by 7.6% to 10.51 billion euros. Analysts, on average, had forecasted a figure of 10.34 billion euros. Meanwhile, Renault's car sales from July to September increased by 6.1% to 511 thousand units.

Shares of the Finnish manufacturer of telecommunication equipment for mobile, fixed, broadband, and IP networks, Nokia, dropped by 6.4%. The company's management announced plans to cut up to 14,000 jobs by the end of 2026 as part of a cost-reduction program. In the third quarter, the company's net profit decreased by more than threefold, and revenue by 20%. Both indicators were significantly below analysts' forecasts.

The value of Tesla securities traded on the Frankfurt Stock Exchange fell by 5.12%. Tesla's gross margin for the third quarter did not meet investor expectations.

Share prices of the British digital wealth management service provider, Hargreaves Lansdown, dropped by 4.4% following news of a slowdown in the influx of new clients in the first quarter.

The market capitalization of the German enterprise software manufacturer SAP increased by 5.1%. In the third quarter, the company doubled its net profit and saw a revenue increase of 4%.

The share price of one of the largest European stock exchange operators, Deutsche Boerse AG, increased by 0.3%. From July to September, the company increased its net profit and revenue and also raised its revenue and EBITDA forecasts for the entire current year.

On Thursday, European investors showed a reluctance towards risk sentiments against the backdrop of a rise in the yield of US government bonds to 16-year highs before Jerome Powell's address.

Additionally, traders previously analyzed statistical data from France. In October, the business confidence index in the country fell to 98 points from September's 99 points.

Irina Maksimova,
Analytical expert of InstaTrade
© 2007-2025

Recommended Stories

ملخص أخبار السوق الأمريكي ليوم 29 مايو

تفاعلت الأسواق مع حكم صادر عن محكمة التجارة الدولية الأمريكية الذي وجد أن إجراءات التعريفة الجمركية التي اتخذتها إدارة ترامب تجاوزت سلطتها. وقد أدخل هذا القرار حالة من عدم اليقين

Ekaterina Kiseleva 11:15 2025-05-29 UTC+2

عاصفة الأسهم: ارتفاع أسهم Nvidia، تراجع مؤشر Dow، المحكمة تلغي تعريفات ترامب

ارتفعت أسهم Nvidia بنسبة 5% بعد الإغلاق؛ الشركة تعلن عن نتائجها الفصلية ارتفعت أسهم Dick's Sporting Goods بعد أن تجاوزت نتائج الربع الأول التوقعات محكمة التجارة الأمريكية تمنع تعريفات ترامب

Thomas Frank 10:49 2025-05-29 UTC+2

من Nvidia إلى Xiaomi: ما الذي يحرك نمو وتراجع سوق الأسهم اليوم

ارتفاع المؤشرات: داو 1.78%، S&P 500 بنسبة 2.05%، ناسداك بنسبة 2.47% تعافي ثقة المستهلك في مايو انخفاض أسهم Temu Parent PDD Holdings بسبب تراجع الإيرادات الفصلية أسهم Xiaomi الصينية تستعد

Thomas Frank 12:06 2025-05-28 UTC+2

من لا يخاطر بالركود لا يقلل من الدين الوطني؟ تقويم المتداول من 29 إلى 31 مايو

أن تكون في مركز الاهتمام العالمي وأن "تشكل مصير الكوكب" — هذا ما يستمتع به دونالد ترامب أكثر. بالنسبة له، من الضروري أن يولد عناوين الأخبار باستمرار وأن يشاهد الأسواق

Svetlana Radchenko 11:47 2025-05-28 UTC+2

ملخص أخبار السوق الأمريكي ليوم 28 مايو

مؤشر S&P 500 قد اخترق المستوى الرئيسي 5,908، مما يشير إلى نهاية التصحيح الأخير ويفتح الباب لمزيد من الارتفاع. يمكن أن يوفر الاختراق فوق مستوى المقاومة 5,998 زخمًا إضافيًا للارتفاع

Ekaterina Kiseleva 11:25 2025-05-28 UTC+2

ملخص أخبار السوق الأمريكي ليوم 27 مايو

أعلن الرئيس الأمريكي دونالد ترامب عن فرض تعريفة جمركية بنسبة 50% على الواردات من الاتحاد الأوروبي، ومع ذلك استجابت الأسواق المالية بضبط النفس. يتبنى المستثمرون بشكل متزايد استراتيجية "التهديد والتراجع"،

Ekaterina Kiseleva 11:54 2025-05-27 UTC+2

شركة Nvidia على الأجندة: الأسواق تترقب التقرير الفصلي، والدولار يقترب من الانخفاض الشهري الخامس على التوالي

أظهرت أسواق الأسهم ديناميكيات متباينة يوم الثلاثاء بعد أن أجل دونالد ترامب بشكل غير متوقع فرض التعريفات الجمركية الموعودة بنسبة 50% على السلع القادمة من الاتحاد الأوروبي. هذه الخطوة زادت

Thomas Frank 11:31 2025-05-27 UTC+2

الذهب عند 4,200 دولار؟ لماذا يستعد السوق مرة أخرى لارتفاع تاريخي

شهد سوق الذهب مؤخرًا تقلبات شديدة، مع تحركات دراماتيكية في كلا الاتجاهين. بعد أن تجاوز سعر الأونصة حاجز 3,000 دولار، دخل المعدن في مرحلة من التقلبات المتزايدة، حيث اختبر مستوى

Anna Zotova 00:23 2025-05-27 UTC+2

يتردد البيتكوين بين التراجع إلى 100,000 دولار أو الصعود إلى 115,000 دولار

تجد أول عملة مشفرة في العالم نفسها في حالة من الجمود. بعد ارتفاعها الأخير، تراجعت ثم استقرت. في الوقت الحالي، تقف بيتكوين عند مفترق طرق، حيث يراقب المشاركون في السوق

Larisa Kolesnikova 15:16 2025-05-26 UTC+2

كل الأنظار تتجه نحو Nvidia بينما تستعد الأسواق لمزيد من التقلبات

من المقرر إصدار نتائج Nvidia، وهي التقرير النهائي للأرباح من مجموعة "السبعة الرائعون"، يوم الأربعاء. في هذه الأثناء، عاد دونالد ترامب والأسواق الأوروبية إلى نقطة البداية. وقد ارتفع عائد سندات

12:58 2025-05-26 UTC+2
لا تستطيع التحدث الآن؟
اطرح سؤالك في الدردشة.
 

Dear visitor,

Your IP address shows that you are currently located in the USA. If you are a resident of the United States, you are prohibited from using the services of InstaFintech Group including online trading, online transfers, deposit/withdrawal of funds, etc.

If you think you are seeing this message by mistake and your location is not the US, kindly proceed to the website. Otherwise, you must leave the website in order to comply with government restrictions.

Why does your IP address show your location as the USA?

  • - you are using a VPN provided by a hosting company based in the United States;
  • - your IP does not have proper WHOIS records;
  • - an error occurred in the WHOIS geolocation database.

Please confirm whether you are a US resident or not by clicking the relevant button below. If you choose the wrong option, being a US resident, you will not be able to open an account with InstaTrade anyway.

We are sorry for any inconvenience caused by this message.