>>> European RPe-Mkt Indications - From the street

SOLVAY - EBITDA a 9% beat, 3% divisional beat is strong, guidance solid...+3%
POSTNL - Revs in line, op profit EUR 77m v 70m MLe, outlook at top end..+2-3%
ZODIAC - +ve read from BEAV strategic review, potential M&A in space......+2%
COUNTRYWIDE - Strong momentum continuing, cash generation positive........+2%
SYMRISE - 10% EPS beat on better margin, sales in line, solid.............+2%
SNAM - Look ahead of cons, net income EUR 292m vs cons 273m...............+2%
EUROFINS - Org growth > 8% in Q1, rev +13% YoY, optimistic for FY.......+1-2%
LAFARGE - Q1 EBITDA broadly in line, confirms FY, org growth strong.....+1-2%
HOCHTIEF - LEI AU +1.7% post figs, new orders +10%, capex -34%, reit FY...+1%
DUFRY - Q1 EBIT 35.1m v 35.6m est, sales slightly light, solid outlook....+1%
RENTOKIL - We UPGRADE to BUY, PO of 144p..................................+1%
LUFTHANSA - EBIT EUR -245m v -272m est, passenger yields worse, reit FY...+1%
JUST EAT - Trading slightly ahead of expectaions, on iPad app and weather.+1%
BMW - PBT ahead on China, auto EBIT margin slightly light.................+1%
AXEL SPRINGER - Q1 Sales, EBITDA small beat, buys Yad2 for EUR 165m.......+1%
SCHNEIDER - To announce vast restructuring of French ops, Force Ouvriere..+1%
UBS - 1% bea tv cons, 3% miss on rev offset by costs, IB revs lower.....+0.5%
STATOIL - Considering selling JV in Eagle Ford basin for > $4bn.........+0.5%
DSM - EBITDA ex-items a 3% miss BUT reits 2014 outlook, will see relief.+0.5%
REXAM - Completes sale of of pharmaceutical devices for $805m, expected...u/c
LINDE - EBITDA at EUR 927m bang in line with consensus....................u/c
SALAMANDER - Reits production guidance, nothing much in IMS...............u/c
TDC - Broadly in line, revs 1% light, EBITDA 2% ahead, guidance unch....-0.5%
EVONIK - Q1 EBITDA 463m v 475m cons but reiterate FY targets..............-1%
GLENCORE - Copper production and thermal coal in line, zinc small.light...-1%
ADIDAS - Net a 7% miss, maintains FY tgts, DJ say to sell Rockport........-1%
NEXANS - Sales 2% below cons due to higher FX, organic growth in line.....-1%
AIXTRON - -ve read from VECO US results, -7.7% after mkt..................-1%
ABERDEEN - Rev -2% YoY, margin slightly weak div in line, disappointing.-1-2%
PFEIFFER VAC - Q1 Result Broadly In Line With exp, op profit -8.2~% YoY.-1-2%
FRES MED - 6% EPS miss on poor margins, rev a small miss, maintains FY..-1-2%
GEA - Sales in line, adj EBIT 1-2% below on margin, reit guidance.........-2%
BARCLAYS - Costs better, IB revs v poor (FICC weakness), capital okay.....-2%
HISCOX - Q1 in line, gross premiums a little light, outlook okay........-1-2%
FRESENIUS - 2% top line but 4.5% beat at EPS, 5% miss at Kabi the -ve...-2-3%
ALSTOM - French gov asking for improvements to GE's $17bn bid.............-3%
BALFOUR BEATTY - 3rd WARNING. Fy guidance now implies 19% downgrades..-12-15%