
The IBEX 35 index closed the week flat, marking a loss of 0.03% and ending its best streak since 2006. The index struggled to maintain levels above 13,000 points, which it had aimed to recover during the week. The session was characterized by volatility, attributed in part to the monthly expiration of derivative contracts. Repsol was noted as the worst-performing stock after a significant rise the previous day. Analysts provided insights on several companies, including Repsol, BBVA, and Acciona Energía, as the market navigated through various challenges throughout the week.



Análisis técnico IBEX35, Amper, Audax, Airtificial y CAF https://t.co/tezZkZ98CK
🔴#Análisis | Repsol: Luces y sombras de un valor con potencial de doble dígito. 📊Sometemos a examen a Repsol: ¿Qué dicen los analistas sobre las cuentas y sobre el valor? ¿Qué perspectivas tienen ahora para Repsol? https://t.co/uuf0bObfpS
Buenos días y #FelizDomingo desde @bolsamania ➤ "El sentimiento del mercado hacia España se está volviendo cada vez más positivo" ➤ Claves bursátiles de la semana ➤ ¿Empujará EEUU a Europa y Reino Unido a la recesión? 👉 https://t.co/hu58Fmp1xQ https://t.co/fGrBG8Qke2