Eurostoxx 50 future. DAILY review. Reversal* Level TREND. Short Term -1 Month BULL Medium Term - 3 Months BULL 2 720

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1 1/7 DAILY review Eurostoxx 50 future 27-Jul-16 Eurostoxx 50 future Reversal* Level Short Term -1 Month BULL 2860 Medium Term - 3 Months BULL Long Term -10 Months BEAR * market on close (cash index time) The ES50 cash index gained +0.2%. The index components volume was down -4% compared to the 5 days average. We updated our ST bullish trend reversal levels (page1). The market daily performance profile was in line with our scoring methodology (page3): daily outperformers being among the best scorers and vice versa. Since a fortnight, the future is consolidating steadily on its monthly top. The T&T oscillator and its moving average are still flat on the long exposure side. The future stayed above its dynamic moving average at The VST bullish trend is maintained above (page2) ESTX 19 sectors average scoring shows an overall BULLISH trend +2.7% (+0.6). Sector best performers: Basic Resources +2.2% BLRS, Automobiles +1.6 % NRS and Technology +0.5% BLRS. Worst performers: Telecom -1.1% BRRS, Banks -0.8% BRRS and Travel & Leisure -0.5% BRRS. ES50 components average scoring shows an overall NEUTRAL trend +0.5% (+0.4). ES50 top performers: Volkswagen +2.5% BLRS, Safran+2.2% BLRS, ASML +1.4% BLRS. Worst performers: Orange -3.7% BRRS, DT Bank -2.4% BRRS, Unicredit -2.2% BRRS. Extra volume > +16 %: Fresenius +1.3%, Orange. Abbreviation : Bullish BL; Bearish BR; Neutral N; Absolute scoring AS; Relative scoring RS - Example = BL AS bullish absolute scoring huteauth@trendandtiming.com Phone : 33 (0)

2 INTRADAY review Eurostoxx 50 future 2/7 27-Jul-16 Resistance 2995, 3040/50, 3080 Support 2930, 2900, 2880/70, 2850, 2830, 2800, 2750, 2720 intraday chart : very short term trend - VST huteauth@trendandtiming,com Phone :33 (0)

3 ESTX 19 SECTORS RELATIVE SCORING & RANKING 3/7 RSI D-1 25-Jul-16 AVG SCORING daily MA40 MA120 MA250 5 D 1 M 3 M 6 M 10 M D 26-Jul-16 0,22 2,7 65,5 2,6 2,0-0,7 1,6 8,1 1,5 6,1-1,0 RELATIVE % RIC NAME D-1 D D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT change.sxpe BASIC RESOURCES 1 1 BULL 178,53 2,25 12,1 8,3 4,7 12,4 15,5 2,3 8,6 9,8 29,6 11,5.SX8E TECHNOLOGY 2 2 BULL 391,91 0,53 6,8 17,4 5,1 6,5 7,8 3,3 5,2 9,1 5,0 13,3.SX86E REAL ESTATE 3 3 BULL 243,09 0,48 5,7 14,4 2,6 5,3 9,6 1,8-0,6 5,7 9,6 11,8.SXQE PERS. HOUSE.GOODS 4 4 BULL 678,90 0,11 4,1 11,1 1,7 4,8 8,4 0,9-0,9 6,9 4,9 8,7.SX3E FOOD & BEVERAGE 6 5 reduce BULL 622,05 0,50 3,9 3,3-0,2 2,6 6,8 0,0-2,3 4,9 1,2 14,0.SXDE HEALTH CARE 7 6 BULL 817,59 0,50 3,6 11,9 2,5 5,5 4,2 1,0-1,4 7,3 6,5 4,9.SXRE RETAIL 5 7 BULL 463,12-0,08 3,6 9,1 2,3 4,1 5,3-0,2 2,4 7,2 2,4 7,1.SXNE IND.GOODS & SERV. 8 8 BULL 627,85 0,50 2,6 5,1 0,5 1,3 3,5 0,4 0,5 1,2 3,4 6,8.SXOE CONSTRUCTION & MAT ,60 0,31 1,0 3,0-0,5-1,0 1,6-0,1 1,4-2,6 0,1 5,4.SX6E UTILITY ,93 0,27 0,6 4,9 1,2 2,9 3,2 0,2 1,1 1,8-1,4 1,7.SXAE AUTOMOBILES & PARTS ,93 1,60-0,2 7,0 2,5-0,8-3,9 3,4 4,5-2,1-0,4-4,6.SX4E CHEMICAL ,67 0,40-0,8 3,3 0,8 0,4-2,4-0,3-0,4-1,7 1,6-3,5.SXEE OIL & GAS ,04 0,24-0,9-26,9-2,5 0,8 2,7-4,2-4,3 0,0 4,4-2,8.STOXXEEUROSTOXX ,65 0,20-1,3 2,8-0,1-0,8-2,0 0,0 0,0-1,1-1,8-3,3.SXME MEDIA reduce BEAR 217,75-0,45-3,3-1,1 0,1-3,5-3,8 0,1-0,7-2,8-5,2-6,9.SXFE FINANCIAL SERVICES BEAR 319,71-0,30-3,9-11,8-3,0-3,2-5,4-1,7-5,4-2,4-3,9-7,3.SXTE TRAVEL & LEISURE BEAR 195,25-0,51-4,3-15,4-4,2-7,3-5,2-2,3-1,1-6,1-11,6-1,7.SXKE TELECOM BEAR 318,41-1,16-5,2-17,0-2,8-6,1-8,3-1,8-3,0-4,9-10,5-6,3.SXIE INSURANCE BEAR 195,71-0,09-10,6-16,3-6,2-12,1-15,2-1,4-5,0-16,1-16,7-15,7.SX7E BANKS BEAR 89,12-0,82-13,5-13,0-4,3-11,8-22,6-1,5 1,5-14,0-17,3-33,1 huteauth@trendandtiming.com phone: +33 (0)

4 4/7 ESTX 19 SECTORS ABSOLUTE SCORING & RANKING RIC 26-Jul-16 AVG AVG AVG AVG AVG AVG AVG AVG AVG AVG AVG AVG NAME ABSOLUTE 0,22 33,3 2,7 65,5 2,6 2,0-0,7 1,6 8,1 1,5 6,1-1,0 % Volat RSI SCORING change 30 D daily MA40 MA120 MA250 5 D 1 M 3 M 6 M 10 M.SXPE BASIC RESOURCES BULL 178,53 2,25 41,7 14,7 73,8 7,3 14,4 14,8 3,9 16,7 11,2 35,7 10,5.SXAE AUTOMOBILES & PARTS 457,93 1,60 42,6 2,5 72,5 5,1 1,2-4,6 5,0 12,7-0,6 5,7-5,7.SX8E TECHNOLOGY BULL 391,91 0,53 28,8 9,5 82,9 7,7 8,5 7,1 4,9 13,3 10,5 11,1 12,3.SX3E FOOD & BEVERAGE BULL 622,05 0,50 18,2 6,6 68,8 2,4 4,5 6,1 1,6 5,8 6,4 7,3 12,9.SXDE HEALTH CARE BULL 817,59 0,50 18,6 6,3 77,4 5,0 7,5 3,5 2,6 6,8 8,7 12,6 3,9.SXNE IND.GOODS & SERV. BULL 627,85 0,50 32,6 5,3 70,7 3,1 3,3 2,8 2,0 8,6 2,6 9,5 5,8.SX86E REAL ESTATE BULL 243,09 0,48 22,0 8,4 79,9 5,2 7,2 8,9 3,4 7,5 7,2 15,6 10,8.SX4E CHEMICAL 880,67 0,40 27,0 1,8 68,8 3,4 2,4-3,1 1,3 7,7-0,3 7,7-4,5.SXOE CONSTRUCTION & MAT. 369,60 0,31 37,8 3,7 68,5 2,1 1,0 0,9 1,5 9,6-1,1 6,2 4,3.SX6E UTILITY BULL 262,93 0,27 33,0 3,3 70,4 3,8 4,9 2,5 1,8 9,3 3,2 4,6 0,7.SXEE OIL & GAS 281,04 0,24 33,2 1,8 38,7 0,1 2,8 2,0-2,6 3,8 1,5 10,4-3,8.STOXXE EUROSTOXX 319,65 0,20 32,3 1,4 68,4 2,5 1,2-2,8 1,6 8,1 0,4 4,3-4,3.SXQE PERS. HOUSE.GOODS BULL 678,90 0,11 20,4 6,8 76,6 4,3 6,8 7,7 2,5 7,3 8,4 11,0 7,7.SXRE RETAIL BULL 463,12-0,08 23,6 6,3 74,6 4,9 6,1 4,6 1,4 10,6 8,6 8,4 6,1.SXIE INSURANCE BEAR 195,71-0,09 45,5-8,0 49,2-3,6-10,1-15,9 0,2 3,1-14,7-10,6-16,7.SXFE FINANCIAL SERVICES 319,71-0,30 36,3-1,3 53,7-0,4-1,2-6,1-0,1 2,8-1,0 2,1-8,3.SXME MEDIA 217,75-0,45 24,8-0,6 64,4 2,7-1,5-4,5 1,7 7,4-1,4 0,8-8,0.SXTE TRAVEL & LEISURE 195,25-0,51 40,3-1,6 50,2-1,7-5,4-5,9-0,7 7,0-4,6-5,5-2,8.SX7E BANKS BEAR 89,12-0,82 70,1-10,8 52,6-1,7-9,9-23,3 0,1 9,6-12,5-11,2-34,2.SXKE TELECOM. BEAR 318,41-1,16 36,2-2,6 48,5-0,3-4,1-9,0-0,2 5,2-3,5-4,5-7,4 huteauth@trendandtiming.com phone: +33 (0)

5 5/7 EUROSTOXX50 COMPONENTS RELATIVE SCORING & RANKING D-1 25-Jul-16 SCORING RSI daily MA40 MA120 MA250 5 D 1 M 3 M 6 M 10 M D 26-Jul-16.STOXX50E 2 978,90 0,19 0,5 61,7 2,2 0,2-4,7 1,7 8,8-1,1 2,9-6,1 NAME D-1 D RELATIVE % change D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT D MKT ASML HOLDING/d 1 1 BULL 98,15 1,38 17,9 17,8 8,3 14,1 21,9 2,2 7,7 20,8 20,5 37,9 SAP SE/d 2 2 BULL 77,71 0,80 12,6 27,0 8,3 11,1 18,1 6,8 8,2 13,8 8,3 28,0 VOLKSWAGEN VZ/d ,75 2,51 11,4 8,1 2,5 6,8 6,6 5,5 6,9-0,4 20,7 23,5 FRESENIUS SE/d 4 4 BULL 67,99 1,31 10,1 7,2 1,5 7,1 12,1 0,8-2,0 6,3 17,0 24,9 ESSILOR INTERN/d 6 5 BULL 123,45 0,49 9,0 12,1 2,4 8,9 13,9 0,5-2,5 10,3 11,7 22,7 VINCI/d 3 6 BULL 67,38 0,25 8,1 11,2 2,1 4,3 14,1 0,5 2,8 3,9 8,1 23,6 DANONE/d 10 7 BULL 65,96 0,26 7,4 5,5 2,1 5,6 12,5 0,3-0,5 9,3 5,7 20,6 L'OREAL/d 9 8 BULL 175,80 0,34 7,3 4,0 1,6 8,5 14,5 0,6-2,5 12,5 11,9 13,2 SCHNEIDER ELEC/d 7 9 BULL 56,83 0,12 7,1 9,2 1,6 3,7 9,4 1,5 2,9 3,5 8,8 18,3 SIEMENS N/d 8 10 BULL 95,70 0,29 7,0 5,0 0,5 4,5 11,2 0,7-1,5 5,9 9,5 18,5 PHILIPS KON/d BULL 24,39 0,43 6,8 17,3 4,3 4,0 8,8 3,1 6,0 5,7 3,9 16,6 AB INBEV/d reduce BULL 115,75 0,83 6,7 2,5-0,5 5,0 11,3 0,4-3,8 8,1 5,0 21,1 UNILEVER DR/d BULL 41,99 0,56 6,7-2,1 0,7 5,2 11,6-0,7-3,5 10,6 6,8 17,8 DEUTSCHE POST /d reduce BULL 26,10 0,00 6,4 3,7 0,0 6,0 9,4 0,7-1,2 2,2 22,1 7,7 BASF SE/d BULL 71,98 0,28 5,9 5,2 1,9 7,9 9,4-0,8 0,6 4,2 18,5 6,6 E.ON SE NA/d ,60 1,31 5,1 4,0 4,6 10,0 11,9 1,1 5,9 8,1-0,2 11,4 INDITEX/d BULL 30,90-0,26 4,6-0,6 0,8 5,6 7,1-1,1-1,9 12,3 5,9 7,5 SAFRAN/d ,79 2,25 4,1 1,3 1,8 5,7 5,0 0,0-0,2 8,0 12,8-0,5 UNIBAIL RODAMC/d BULL 243,35 0,35 4,0 14,9 1,7 3,2 8,1 2,6-2,3 4,5 5,1 9,9 ENGIE/d BULL 15,04 0,17 4,0 3,0 2,9 7,6 6,2-0,1 2,5 8,0 4,3 6,2 ENEL/d reduce BULL 4,02-0,25 3,9-0,7-0,7 3,4 6,8-0,5-1,4 4,4 10,5 6,2 IBERDROLA/d ,18 0,00 2,8 12,7 3,2 4,8 7,5 1,5 1,4 3,7-2,0 9,4 SANOFI/d ,57 0,08 0,9 7,8 2,7 5,2 2,2 0,8-3,6 7,9 3,9-3,8 ENI/d ,04 0,07 0,5-26,5-2,6 3,9 5,4-4,9-6,0 4,9 9,2-2,9 BAY MOT WERKE/d ,78 0,84 0,2 11,9 5,9 2,3-1,5 2,7 7,8-4,3 4,5-6,8 TOTAL/d ,44 0,45 0,2-22,6-2,6 1,1 5,4-4,2-6,3 0,4 6,2 1,2 SAINT-GOBAIN/d ,94 0,56 0,0 7,3-1,2-1,5 0,8 0,5 1,4-5,4 1,1 1,8 DT TELEKOM N/d ,14-1,05-0,4-12,7-1,0-1,3 1,0-2,4-3,7-0,7-5,1 7,8 DAIMLER AG N/d ,76 1,35-1,5 15,9 4,4-0,2-5,1 3,7 4,4 0,5-3,2-10,2 AIR LIQUIDE/d ,14 0,44-1,8 6,1 0,5-0,2-1,1-0,6-2,1-0,4-2,0-4,3 L.V.M.H./d reduce BEAR 143,70-0,52-2,7 5,2 0,3-2,0 0,6 1,5-2,1 0,4-8,7-3,7 VIVENDI/d neutral BEAR 17,39 0,09-2,9 0,6 2,3-1,3-4,8 0,8 1,4 5,2-4,2-14,7 BNP PARIBAS/d ,89-0,68-3,4-3,5-1,9-2,6-7,2-0,5 3,0-4,7 0,3-13,2 AIRBUS GROUP/d BEAR 51,70 1,21-3,6-12,4-3,0-6,6-5,5-2,8-7,6-2,4-7,2-1,8 TELEFONICA/d reduce BEAR 8,93 0,26-3,6 0,2 0,6-3,4-7,8 1,1 5,2-2,4-8,1-11,3 NOKIA/d reduce BEAR 5,24-0,85-4,2-6,4 1,5 1,1-4,5-0,5-0,1 2,8-12,0-9,4 ORANGE/d ,82-3,73-4,4-27,6-6,9-8,1-3,4-4,8-10,6-5,7-12,0 7,4 CARREFOUR/d BEAR 23,26 0,09-4,4 1,5-0,5-2,7-5,4 0,0-1,2-3,0-9,0-8,4 BAYER N AG/d reduce BEAR 93,57 1,03-4,8 4,8 1,3-2,6-7,4 0,3-3,8-5,2-7,8-8,4 ING GROEP ADR/d BEAR 10,89-0,27-6,0-6,2-3,8-7,2-11,4-0,5 5,4-10,2-2,8-19,4 BANCO SANTANDE/ BEAR 3,75-0,92-6,2-11,1-2,3-4,6-10,6-1,9 3,0-8,7-2,7-18,9 ALLIANZ SE/d BEAR 126,65 0,52-7,9-10,0-5,2-8,4-8,0-0,8-6,7-15,9-12,8-6,9 MUENCH. RUECK /d BEAR 146,95-0,51-8,1-16,1-5,2-11,7-9,1-1,7-7,5-9,4-18,5-5,9 SOCIETE GENERA/d BEAR 29,88-0,90-8,1-10,8-5,7-8,5-15,2-2,3 2,1-7,9-9,8-20,8 AXA/d BEAR 17,88-0,28-9,9-13,6-8,0-12,6-14,0-1,7-4,8-17,8-14,9-12,7 GENERALI ASS/d BEAR 11,09-0,72-11,3-13,2-5,5-10,5-18,9-2,7 0,5-13,9-12,3-26,9 BBVA/d BEAR 5,13-0,85-11,4-17,2-4,9-9,2-16,5-2,0-3,0-9,1-14,4-27,1 INTESA SANPAOL/d BEAR 1,93 0,42-13,2-3,6-2,5-13,8-23,5-1,4 9,9-15,7-22,0-33,2 DEUTSCHE BANK /d BEAR 12,85-2,36-18,2-13,0-6,5-14,1-29,9-1,0-7,2-18,8-18,0-43,5 UNICREDIT/d BEAR 2,24-2,27-22,5-3,0-1,8-23,7-42,0-0,4 10,5-26,6-32,7-55,6 huteauth@trendandtiming.com phone : +33 (0)

6 6/7 EUROSTOXX50 COMPONENTS ABSOLUTE SCORING & RANKING 26-Jul-16 AVG AVG AVG AVG AVG AVG AVG AVG AVG AVG AVG NAME.STOXX50E 2 978,90 0,19-4% 0,5 61,7 2,2 0,2-4,7 1,7 8,8-1,1 2,9-6,1 ABSOLUTE % change vol D / vol5 D SCORING RSI daily MA40 MA120 MA250 5 D 1 M 3 M 6 M 10 M VOLKSWAGEN VZ/ 124,75 2,51-27% 11,9 69,8 4,7 6,9 1,9 7,1 15,7-1,5 23,5 17,4 SAFRAN/d 62,79 2,25 10% 4,6 62,9 4,0 5,9 0,3 1,7 8,6 6,9 15,6-6,6 ASML HOLDING/d BULL 98,15 1,38-21% 18,4 79,4 10,5 14,3 17,2 3,8 16,5 19,8 23,4 31,8 DAIMLER AG N/d 60,76 1,35-1% -1,0 77,6 6,6 0,0-9,8 5,4 13,2-0,5-0,3-16,3 FRESENIUS SE/d BULL 67,99 1,31 33% 10,6 68,9 3,7 7,2 7,4 2,5 6,8 5,3 19,8 18,8 E.ON SE NA/d BULL 9,60 1,31 2% 5,7 65,6 6,9 10,1 7,2 2,8 14,7 7,0 2,7 5,3 AIRBUS GROUP/d BEAR 51,70 1,21-4% -3,1 49,3-0,8-6,4-10,2-1,1 1,2-3,5-4,4-7,9 BAYER N AG/d reduce BEAR 93,57 1,03 13% -4,3 66,4 3,5-2,4-12,1 2,0 5,0-6,3-5,0-14,5 BAY MOT WERKE/ 76,78 0,84-9% 0,8 73,5 8,1 2,5-6,2 4,3 16,6-5,4 7,4-12,9 AB INBEV/d BULL 115,75 0,83-9% 7,3 64,1 1,7 5,1 6,6 2,0 5,0 7,0 7,9 15,0 SAP SE/d BULL 77,71 0,80-34% 13,1 88,7 10,5 11,3 13,4 8,5 17,0 12,8 11,2 21,9 UNILEVER DR/d BULL 41,99 0,56-18% 7,2 59,5 3,0 5,3 6,9 0,9 5,3 9,5 9,6 11,7 SAINT-GOBAIN/d 36,94 0,56-9% 0,6 68,9 1,0-1,3-3,9 2,2 10,2-6,5 4,0-4,3 ALLIANZ SE/d BEAR 126,65 0,52-12% -7,4 51,7-2,9-8,3-12,7 0,8 2,1-17,0-9,9-13,0 ESSILOR INTERN/dBULL 123,45 0,49 8% 9,5 73,7 4,6 9,1 9,2 2,2 6,3 9,2 14,6 16,6 TOTAL/d 42,44 0,45 6% 0,7 39,1-0,4 1,3 0,7-2,5 2,5-0,7 9,1-4,9 AIR LIQUIDE/d 96,14 0,44-17% -1,2 67,8 2,7 0,0-5,8 1,1 6,7-1,5 0,8-10,4 PHILIPS KON/d BULL 24,39 0,43 11% 7,4 79,0 6,5 4,2 4,1 4,8 14,7 4,6 6,7 10,5 INTESA SANPAOL/ BEAR 1,93 0,42-8% -12,7 58,0-0,3-13,7-28,1 0,3 18,7-16,8-19,1-39,3 UNIBAIL RODAMC BULL 243,35 0,35-23% 4,6 76,6 3,9 3,4 3,4 4,3 6,5 3,4 7,9 3,8 L'OREAL/d BULL 175,80 0,34-5% 7,8 65,7 3,8 8,7 9,8 2,2 6,3 11,4 14,8 7,1 SIEMENS N/d BULL 95,70 0,29-12% 7,5 66,7 2,7 4,7 6,6 2,3 7,3 4,8 12,4 12,4 BASF SE/d BULL 71,98 0,28-3% 6,5 66,8 4,1 8,1 4,8 0,9 9,4 3,2 21,3 0,5 DANONE/d BULL 65,96 0,26-17% 7,9 67,1 4,3 5,8 7,8 1,9 8,3 8,2 8,6 14,5 TELEFONICA/d reduce BEAR 8,93 0,26-21% -3,1 61,8 2,8-3,2-12,5 2,8 14,0-3,4-5,2-17,4 VINCI/d BULL 67,38 0,25 9% 8,7 72,8 4,3 4,4 9,4 2,2 11,6 2,9 10,9 17,6 ENGIE/d BULL 15,04 0,17 6% 4,6 64,7 5,1 7,8 1,5 1,5 11,3 6,9 7,2 0,1 SCHNEIDER ELEC/dBULL 56,83 0,12-5% 7,7 70,9 3,8 3,9 4,7 3,2 11,7 2,4 11,7 12,2 VIVENDI/d neutral BEAR 17,39 0,09 15% -2,4 62,3 4,5-1,1-9,5 2,5 10,2 4,2-1,4-20,8 CARREFOUR/d reduce BEAR 23,26 0,09-15% -3,8 63,2 1,7-2,6-10,1 1,7 7,6-4,1-6,1-14,5 SANOFI/d 76,57 0,08-19% 1,4 69,5 4,9 5,4-2,5 2,4 5,1 6,9 6,8-9,9 ENI/d 14,04 0,07 6% 1,1 35,2-0,4 4,1 0,7-3,2 2,8 3,8 12,1-9,0 DEUTSCHE POST / BULL 26,10 0,00-15% 7,0 65,3 2,2 6,2 4,7 2,4 7,6 1,1 24,9 1,6 IBERDROLA/d BULL 6,18 0,00-17% 3,3 74,3 5,4 4,9 2,8 3,2 10,2 2,6 0,9 3,3 ENEL/d BULL 4,02-0,25-11% 4,5 60,9 1,5 3,6 2,1 1,2 7,4 3,3 13,3 0,1 INDITEX/d BULL 30,90-0,26-10% 5,1 61,0 3,1 5,8 2,4 0,6 6,8 11,2 8,8 1,4 ING GROEP ADR/d 10,89-0,27-2% -5,5 55,5-1,6-7,0-16,1 1,2 14,2-11,2 0,1-25,5 AXA/d BEAR 17,88-0,28 2% -9,4 48,0-5,8-12,4-18,7-0,1 4,0-18,9-12,1-18,8 MUENCH. RUECK /BEAR 146,95-0,51 5% -7,5 45,6-3,0-11,6-13,8 0,0 1,3-10,5-15,7-12,0 L.V.M.H./d reduce BEAR 143,70-0,52-7% -2,2 66,9 2,6-1,8-4,1 3,1 6,7-0,7-5,9-9,8 BNP PARIBAS/d reduce BEAR 42,89-0,68-18% -2,9 58,2 0,3-2,4-11,9 1,2 11,8-5,7 3,2-19,3 GENERALI ASS/d BEAR 11,09-0,72 7% -10,7 48,4-3,3-10,4-23,6-1,1 9,3-15,0-9,4-33,0 BBVA/d BEAR 5,13-0,85-4% -10,8 44,4-2,7-9,1-21,2-0,3 5,8-10,2-11,5-33,2 NOKIA/d neutral BEAR 5,24-0,85-25% -3,7 55,3 3,7 1,2-9,1 1,2 8,7 1,7-9,1-15,5 SOCIETE GENERA/ BEAR 29,88-0,90-15% -7,6 50,9-3,5-8,3-19,9-0,6 10,9-9,0-6,9-26,9 BANCO SANTANDE 3,75-0,92-2% -5,7 50,6-0,1-4,5-15,3-0,2 11,8-9,8 0,1-25,0 DT TELEKOM N/d 15,14-1,05 2% 0,2 49,0 1,2-1,1-3,7-0,7 5,1-1,8-2,2 1,7 UNICREDIT/d reduce BEAR 2,24-2,27-26% -21,9 58,7 0,4-23,6-46,7 1,3 19,3-27,6-29,8-61,7 DEUTSCHE BANK /BEAR 12,85-2,36 13% -17,6 48,7-4,3-14,0-34,5 0,7 1,6-19,8-15,2-49,6 ORANGE/d 13,82-3,73 82% -3,8 34,0-4,7-7,9-8,1-3,1-1,8-6,7-9,1 1,3 huteauth@trendandtiming.com phone : +33 (0)

7 Powered by TCPDF ( 7/7 Easy reading for the CHARTS: T&T LT d : daily Long Term indicator (6 month+) showing a bull trend above 0 (green) or a bearish one below 0 (red), For 0, it still get the previous color trend. T&T ST trend : short term indicator (1 month+) showing a bull trend above 0 (green) or a bearish one below 0 (red), For 0, it still get the previous color trend. T&T osc* : First : to get a bullish trend, we need an oscillator above 1. Second : the MA red or green shows the oscillator momentum. The cross between the indicator and the moving average can be used as trading signal. To be more efficient, you may open a bull trade only if the cross and the indicator are above 1. When the indicator is above 1 and the cross indicates a sell signal, it is not a sell signal, it is only time to close the trade. T&T cumul position : it is a synthesis of several ST and LT T&T indicators: it gives an idea of the trend and its strength. T&T CMF : Chaikin money flow indicates accumulation (green) or distribution (red) volume. On the main chart, we use a channel made of two moving averages to determine the trend. We need a close above the upper one to become bullish. On the opposite, a close below the lowest moving average and we get a bearish signal (red). If a buying trade is already running and then the price comes down between the 2 moving averages, you can accumulate more positions as long as we don't see a close below the lowest moving average. We use also 3 sophisticated moving averages. (small, medium and large red dashes). Even if they their parameters are implemented to get a longer perspective, they are conceived to be also short term sensitive. Very often, they are useful as a projected support or resistance. IMPORTANT : our methodology is a mixed approach with results extracted from: trend following models, support-resistance levels, quantitative trend profile based on all index component. Don't be surprised if sometimes, the T&T trend appearing on the chart is different than the one indicated in the table with the ST,MT and LT trend and their own reversal levels. Charts are edited from ProRealtime.com Easy reading for the QUALITATIVE RANKING : This spreadsheet gives you a qualitative view of the index components based on technical indicators. On the top, you get the average value obtained from the index components. Just below, for each stocks, you get the difference between the components and the average result obtained with the index components. As usual, we use the green color to light up components beating the index and a red color for the opposite. The scoring is a T&T qualitative tool. It enables us to obtain a notation for each stock. We sort the sample from the best to the worst scoring. On the right of the spread sheet, we can appreciate for several time frame, how each stocks behave compared to the index. For example, If on the longest period a stock has beaten the index and if on the short term it does the opposite, it can be an opportunity to reduce the exposure on that instrument and if possible to reallocate funds in an instrument improving its short term performance!!! Rough data are coming from Thomson Reuters. Disclaimer : This document has been prepared solely for informational purposes, and is intended only fo use be the designated recipient(s). This information was obtained from sources we believe to be reliable, but its accuracy is not guaranteed. All information is subject to change without notice. This does not constitute a solicitation or offer to buy securities or sell secutities or any other instruments, or a recommandation with respect to any security or instrument mentioned herein. This is not a confirmation of t erms of any transaction. No representations are made herein with respect to availability, pricing or performance. Additional information available on request. This document should only be read by those persons to whom it is addressed and is not intended to be relied upon by any person without subsequent written confirmation of its contents. If you have received this e -mail message in error, please destroy it and delete it from your computer, Any form of reproduction, dissemination, copying, disclosure, modification, distribution and/or publication of this e-maim message is strictly prohibited. huteauth@trendandtiming,com Phone: 33 (0)

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