Hints and tips:
...Most derivatives are settled on a net basis: on the settlement date, the “winner” of the trade receives a payment from the “loser” reflecting the P&L....
...Monday EU, December retail sales figures Germany, December factory orders UK, S&P Global/Cips construction purchasing managers’ index (PMI) data Results: Activision Blizzard Q4, Anima FY, JFE Holdings...
...H: Commerzbank, L: Coinbase What was the name of the New Jersey deli that was at one point worth $100m?...
...EV/EBITDA of 270x FY21 BBG consensus); after all, IFRS 15 means that the new Solutions contracts are only reflected in the P&L with a lag....
...RB's unmatched P&L flexibility is paving the way for fast improving market share momentum, notably in the 20% of its cells that have been persistent underperformers. ... and for Unilever, a €43/£40 target...
...through the P&L....
...Based on company commentary so far, we still believe potential COVID-19 claims (including BI) are a manageable P&L event for the sector, although the devil will be in the detail when it comes to BI policy...
...Company commentary supports our view of limited direct impact to P&C : Hannover Re: noted a potential €200m loss across P&C and L&H; Munich Re: noted a €500m loss should all the events it covers for communicable...
...S&P 500 futures triggered the limit-down circuit breakers at about 5am GMT, the index having bounced 6 per cent in the regular session....
...Before accounting rules changed and forced companies to put equity compensation in the GAAP P&L, the underlying shares still appeared in the sections of securities filings that listed the details of stock...
...The S&P 500 was up 1.1 per cent at the close in New York, with shares in Facebook and GM up by 3.8 per cent and 9.1 per cent respectively....
...● Merrill Lynch upgraded Indivior to “buy” from “neutral” with a 387p target....
...That helped the S&P 500’s asset manager sub-index to rally more than 26 per cent last year....
...“We are already starting to see that flowing through P&L,” says Citi’s Mr Sultan, who has been preparing the business to take “maximum benefit” from rate rises. Analysts share some of the enthusiasm....
...Australia’s S&P/ASX 200 edged up 0.1 per cent....
...BASF expects to book a €600m impairment for its oil and gas business owing to slumping prices for the commodities in recent months....
...As of September, active fund managers were more overweight on consumer discretionary stocks than any other sector, according to a report by Bank of America Merrill Lynch....
...As Bank of America Merrill Lynch’s John Wraith said: …the mark-to-market gains that were previously being registered by the Bank of England’s portfolio of Gilts acquired through the UK’s QE Asset Purchases...
...They even divorce briefly, at one point, in a mutual adieu owing something to the HAL scene in 2001....
...L of a soft economy and deleveraging of the balance sheet....
...“There’s room for further hikes in the future and this is likely to keep the market on tenterhooks,” Sanjay Sinha of L&T Mutual Fund told Bloomberg....
...The Swindon-based company, which encouraged customers to make monthly deposits in exchange for vouchers sent out before Christmas, collapsed in October 2006, owing 122,000 savers some £38m....
...You propose yet more boiler plate within reports to hamper investors seeking the “income statement”, as the P&L is now faddishly called....
...This increasing volatility in commodities and Treasuries is shaking up P&L at hedge funds and banks....
...Redburn also argued that T&L could be a target for Bunge, its US peer....
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