From:
Sent: Fri 10/26/2012 10:05:24 AM
Subject: Early Tour 10.26.12
Good Morning ... European Markets off 40-120bps ... Nikkei -1.35%, HSI -1.21%, SCHOMP -1.68%,
KOSPI -1.72%, ASX -0.85%
EUR 1.2943 (+0.07%) JPY 79.95 (+0.44%) EUR/JPY 103.47 (-0.38%) Spain 10yr 5.66% US
10yr 1.78%
Futures: Dow -84, Nasdaq -16, S&P -10 DXY $80.04 (unch) Crude $85.37 (-68c) Gold $1706.30
(-$6.70) Copper -0.48% Silver -0.79%
Global markets lower across the board as earnings continue to disappoint — most notably AAPL & AMZN
in the US after the close. Most Asia indices closed on the lows of the session. SHCOMP closed -1.68%
(-2.9% on the week). S&P downgrades 3 French banks and revises outlook to negative for another 10
which has the EMU Bank Index trading -1.6% on the session (ACA -3.8%, BNP -2.8%, GLE -2.7%).
Meteorologist's models are suggesting that Hurricane Sandy will combine with another storm coming out
of the Midwest and may become the worst storm to hit the Northeast in 100 years. Right now it is in the
Bahamas as a CAT 1 moving northwest at 13mph & current forecasts have it hitting somewhere between
the Mid-Atlantic Coast & Southern New England — likely making landfall in New Jersey b/w AC & Toms
River next Tuesday (projected path). European markets lower across the board but have stabilized and
awaiting direction from the US. US GDP © 8:30am. AAPL trading inline with yesterday's close
($609.64 last) after trading down t0 $585 briefly after the release last evening. SPA's -10 handles =
1397.20 last which takes us back below the ECB breakout levels from 9/6.
***GDP c 8:30am, Michigan Confidence @ 9:55am***
"•CMCSA, IPG, LM report earnings pre-open•"
• Apple profit missed (iphones offset weaker ipads) & declared $2.65 cash dividend (trading unch)
• Amazon posted first qtrly net loss since 2003 on higher costs & LivingSocial stake (trading -1.5%)
• Expedia profit fell but Ws beat & raised its full year adjusted earnings forecast (trading +14%)
• Bally Technologies boosted forecast, settled IGT patent suit & possible $150M buyback
• Verisign profit +32%, better margins/revs but warned US Commerce dept may not complete review
• Deckers Q3 net off 31% as sales declined & lowered view on falling UGG demand (trading -15%)
EFTA_R1_00825277
EFTA02156334
• Constant Contact revs rose & raised view but trial conversion rate below expectations (trading -
13%)
• Coinstar sales missed & cut year core eps continuing ops view as Redbox growth slowed (trading -
10%)
• Clearwire reported narrower loss than ests on lower costs (raised ebidta view, cuts capex) (51.80
last)
• KLA-Tencor net income declined 29% on weaker revs/margins, sees outlook below estimates
(trading unch)
• Ericsson weak O3, network margins & sales miss, all regions light except US, +3% yesterday
(trading -4.6%)
• Publicis poor O3 led by dramatic downturn in Sept performance due to slowing Europe & US
(trading -0.90%)
• PPR in line Q3, luxury good, no Redcats disposal announcement but discussion well advanced
(trading +1.8%)
• Luxottica O3 sales in line, EBITDA driven by EM and America, sees good China growth (trading
+2.1%)
• Mulberry launches 111 Asia flagship store in Singapore (aims to reduce reliance on UK to 20% from
60%)
• Renault O3 sales misses but maintain FCF target despite increasingly challenging environment
(trading -1.6%)
• Thales Q3 headline inline, underlying weak, organic growth below, Defense & Security lag (trading -
0.54%)
• Novo Nordisk: FDA to investigate cardiovascular effects of insulin drug Degludec (trading -2.5%)
• Statoil mixed Q3, 2013 production to be less than 2012 on divestments, higher exploration costs
(trading -0.91%)
• Technicolor O3 good, driven by distribution arm, maintains 2012 EBITDA guidance (trading +7.2%)
• Vinci Q3 revs small beat helped by consolidation, FY net to be weaker due to French tax impact
(trading -0.07%)
• Eutelsat O3 slightly better, solid organic growth raising guidance to include GE-23 acquisition
(trading +2.1%)
• Belgacom good Q3 bucks recent Benelux telco trend, raising guidance (trading +7.3%)
• Anglo American's CEO Cynthia Carroll to step down after 7 years with the company (trading
+2.8%)
• Pearson (PSON LN) confirms merger talks between Penguin with Random House (trading +1.6%)
• Saint Gobain okay O3 after the close yesterday, reducing guidance, plans further cost cuts (trading
EFTA_R1_00825278
EFTA02156335
+2.9%)
• Weir Group +ve read across from Gardner Denver potential sale to PE from yesterday (trading
+3.1%)
• European new heavy truck registrations -14.3% y/y in September (versus -9.1% in Aug and -7.0%
in Jul)
• Athens has until Sunday evening to decide on package of measures to get next tranche
(ekathimerini)
• Moody's sees no short-term resolution for Euro debt crisis (euro-area survival requires 3 painful
years)
• Liberal & Labor parties in Netherlands said to be near final agreement on €166 in cuts over next
4yrs
• France October consumer confidence 84 vs est 84, Italy Oct business confidence 87.6 vs est 88.7
• Spain Q3 unemployment rate 25.02% vs est 25.00% (record high & latest austerity has not kicked
in yet)
• Samsung record profit beats estimates as Galaxy sales surge but competition to intensify (closed )
• HTC O4 sales forecast around NT60 billion versus analyst estimate NT$74.6 billion (closed -4.8%)
• LG Display O3 profit misses estimates as slumping global tv sales hurt demand for flat-screens
(closed -1.10/0)
• Macquarie H1 profit rises 18% on trading businesses (misses estimates, reits FY forecast) (closed
+3.5%)
• Japan announced Y750bn ($9.4bn) of new stimulus measures ahead of next week's BOJ meeting
(Oct 30)
Leading European Sectors: Retail +0.18%, Media +0.11%, Tech +0.01%
Lagging European Sectors: EMU Banks -1.6%, Autos/Parts -1.01%, Insurance -0.95%
CERN big bookings — VAR orders beat ests — Fll declares dividend
HAR buyback extension — CA cuts forecast — CB raises yr op view
DV eps beat/revs miss — INFA sees top end eps — MSFT Windows 8 release
SPF eps missed ests — SYNA earnings better — STMP earnings beat
VPRT cuts rev outlook — APKT eps inline revs up — IPCM cuts forecast range
EFTA_R1_00825279
EFTA02156336
Secondaries (announced/priced): AKR, OFG, XPLR, ACC, IMOS
IPO's (filed/priced): The Whitewave Foods Co (WWAV) 23M shares priced at $17 (above range), MPLX
(MPLX) 17.3M shares priced at $22 (above range)
Key Research: Citi initiates ALKS/ARIA/AROL (buy's) and MDCO (neut), CL King initiates CBRL, DB
cuts PLXS
Key Research: GS upgrades RCI, Jeff upgrades CERN (buy), Roth initiates BDE (buy), KBW
downgrades CBENVCBO
Key Research: W Blair cuts PDII/BJRI, Wells upgrades PCAR, Piper downgrades CAB/FSL, CS
upgrades KMX & cuts STJ
Key Research: SunTrust initiates BCEI (buy), BMO initiates DKS (mp), MS upgrades AB/CRR & cuts
BEN, BB&T cuts TREX
Key Research: Raja upgrades STEIJCMEJDIME/EXPE, Pac Crest downgrades EA, Bofa upgrades
ESS, RBC upgrades PHM
Key Research: Panmure downgrades BDEV LN & TW/ LN, HSBC downgrades PNDORA DC, Equinet
cuts DAI GY
Key Research: GS downgrades RAND NA, GS cuts KPN NA, Commerzbank upgrades BOSS GY,
Investec upgrades STL NO
Key Research: BofA upgrades RI FP, Nomura downgrades RI FP, CS initiates HMB SS (up), MS cuts
ITV LN
Key Research: SocGen downgrades ASC LN, DB downgrades ASC LN, BofA upgrades SAP GY,
Nomura cuts FTE FP
Reporting Pre-Open: AON, CMCSA, COL, CVH, GT, IPG, LM, LYB, MCO, MRK, VTR, WY, ACI,
ARLP, ASTE, AXL, B, DAN, DGICA, DLR, EGO, ETM, GHM, HMSY, IMGN, KDN, KKR, LEA, LPNT,
MGLN, NPBC, OHI, OPY, OSK, PFS, PPC, QSII, RDWR, REDF, SCBT, SFI, SR, STL NO, TA CN,
TASR, TCB, WI, WLB, WTBA, GRC, TCP, PBR
Reporting Post-Close: ARE, CYMI, DHIL, GSIT, JBSS
Economic Data: GDP § 8:30am, U. of Michigan Confidence i 9:55am
EFTA_R1_00825280
EFTA02156337
Conferences: N/A
Analyst/Investor Days: N/A
Non-Deal Roadshows: APP, CSRE, DFS, FCS, MDT, MLHR, SNTA
Shareholder Meetings: MOLX, USHS, CBE, HRS, ETN, QNST
Equity/Mixed Shelfs: HBOS ($60M), TXCC ($20M)
S&P 600 change (after close today): Coherent (COHR) to replace Peels Coffee (PEET), PH Glatfelter
(GLT) to replace Lawson Products (LAWS)
S&P 600 change (after close Oct-29): Carrizo Oil & Gas (CRZO) to replace Overseas Shipping Group
(OSG)
DJ Transportation Average change (after close Oct-29): Kirby (KEX) to replace Carrizo (CRZO)
Other Newspaper Articles & Stories
Barron's positive: Procter & Gamble (PG) Barron's
WSJ cautious: Amazon (AMZN) WSJ
• Taking early exits off Wall Street WSJ
• "Currency Manipulator A Label with More Bark than Bite WSJ
• Ford to Shut 3 Europe Plants WSJ
• Greece Faces Need for Additional Assistance WSJ
• Joe Lieberman: My Line on Defense—No More Cuts WSJ Opinion
• Billions in Hidden Riches for Family of Chinese Leader NYT
• College Endowment Returns Fall Steeply NYT
EFTA_R1_00825281
EFTA02156338
• Economist Andy Xic says Australia is facing a hard landing 1arket Watch
• Eurozone nears Japan-style trap Telegraph
• It's still a hard toil to the sunlit uplands of recovery Telegraph
• Portugal faces tough choices, IMF warns FT
• IMF calls Lisbon's austerity 'imperative' FT
• Bank deposits rise in Spain and Greece FT
• S&P downgrades France's biggest bank FT
• Credit Suisse — the Brady hunch Lex
• European telecoms — little comfort Lex
• A three-tier EU puts single market at risk FT
• It's not a pretty sight, warns downbeat Sorrell The Times
• Greece seeks way to plug the bailout gap The Times
• Crisis - This may not even be the beginning of the end Guardian
• Over-regulated over there - New York fears for its mojo Independent
• NHL pulls latest offer off the table as deadline passes TSN
Key Events Next Week
Monday: PCE, Dallas Fed Manufacturing Activity, Earnings (HRS, PCG, BIDU, LEG, PCL)
Tuesday: Merkel meeting Lagarde, S&P/CaseShiller Home Price Index, Consumer Confidence, BOJ
policy decisions, Earnings (ADM, AVP, BP, F, JCI, PFE, X, WMI, EA, WU)
Wednesday: ADP employment, Chicago PMI, MBA Mortgage Applications, China Manufacturing
PMI's, Earnings (AMT, BWA, CLX, IRM, MA, RL, SEE, MET, MUR, V)
Thursday: Auto Sales, ISM, Construction Spending, Merkel hosts Ireland PM Kenny in Berlin, ADP
Employment Change, Spanish short-selling ban expires but expected to be extended until Feb, New EU
short selling regulation takes effect, Earnings (APA, CVC, K, RRD, XOM, AIG, CHK, HIG, SBUX)
EFTA_R1_00825282
EFTA02156339
Friday: October Employment Report, Eurozone Manufacturing PMI, China Non-Manufacturing PMI,
Earnings (ANR, BEAM, CVX, WPO)
Saturday: G20 Fin Min Meeting in Mexico
Key Events on the Horizon
November 6 — US Presidential Election
November 8 — China's 18th Party Congress (leadership transition) (5-7 days)
November 12 — Eurogroup meeting
November 25 — Catalonia regional election in Spain
Ike Groff 1680 Washington Blvd 'Stamford, CT 06901 1 2 (203) 302-7300 1 :
ikeatourmalinellc.com
EFTA_R1_00825283
EFTA02156340
This e-mail and any files transmitted with it are confidential and Intended only for the person or entity to which It Is addressed. If you are not the
intended recipient, you are hereby notified that any dissemination, distribution or copying of this e-mail and any attachment(s) is strictly
prohibited. If you have received this e-mail in error please immediately notify the sender at 203-302-7300 or by replying to this e-mail and
delete the e-mail and any attachment(s) from your system. Nothing herein shall be construed as a financial promotion to any person or persons,
or a solicitation or recommendation to buy or sell any security or other investment or to engage in any trading strategy. Information presented
is from sources believed to be reliable, but is not guaranteed to be accurate or complete. This information should not be taken as an offer nor as
a solicitation of an offer to buy or sell securities or other financial instruments. Email transmission cannot be guaranteed to be secure, timely or
error free. Tourmaline Partners, RC may review and store both incoming and outgoing messages. Use by other than the intended recipients is
prohibited.
EFTA_R1_00825284
EFTA02156341