(CANALP; NR)
• "Balance of feedback in the context of 'MS+ low 200s / ~4.50%' " - Market Sources
• From our point of view: the feedback looks wide to Lagardere (MMBFP 4.75 30 ms+191)
• Both Lagardere and Canal+ have ~31% ownership from Bollore
• Both have Revenue ~€9bn
• BUT.... Canal+ has NetDebt/EBITDA expected 2.2-2.5x for YE25 and targeting <2.0x.
• Largardere has very significant lease liabilities of ~2.6bn pushing its leverage up to 3.4x.
• Canal+ has taken over MultiChoice, giving it coverage of 70 countries including much of Sub Saharan Africa - Francophone as well as Anglo/Lusophone
• The takeover was financed with a €1.4bn Bridge which will be partially repaid with the new note.
• MultiChannel has lost subscribers in the last 4yrs - the hope is for better management and synergies.
• Currently has 40m subscribers - which has grown from 11m in 2015.
• M&A risk includes a "path to ownership" of Viu (Asia) in which it has a 37.32% stake. Viu has 15m subs.
• Canal+ also has a 29.3% stake in Viaplay (Scandi) with 4.8m subs.
• Back catalogue of 9,400 movies.
• Retention of Champions League rights in France saw the equity jump on 21st Nov.
• The low BBB sector of Media typically has leverage in the 1-2x range. Bertelsmann and Universal Music have revenues of €19bn and €12.3bn making them somewhat larger enterprises.
• Canal+ is not rated. ITV is subject to M&A speculation but the bonds do have steps.

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USDCAD has pulled back from its recent highs. The trend condition is bullish and a move lower is considered corrective. Moving average studies are in a bull-mode position, highlighting a dominant uptrend. Sights are on 1.4111, the Apr 10 high, and further out, scope is seen for an extension towards 1.4167, a Fibonacci retracement. First key support lies at 1.3907, the 50-day EMA. Support at the 20-day EMA lies at 1.3979.