What are you looking for:
What are the financial results of Europlan according to IFRS for 9 months of 2024?
... Board of Directors is considering paying dividends in the amount of 6 billion rubles, emphasizing the company's commitment to the interests of shareholders.
Over the first 9 months of 2024, the leasing company Europlan demonstrated steady growth in financial indicators, which indicates a steadily developing business and a strong financial position. The company's net profit under international financial reporting standards (IFRS) amounted to 11.3 billion rubles, which is 6.3% more than for the same period ...
Thursday, December 5, 2024: Analysis of Key Events and Reports
... underscores the importance of monitoring economic indicators and corporate developments to make informed investment decisions.
Wednesday, December 4, 2024: Analysis of Key Events and Reports
Wednesday, December 4, 2024, promises to be a significant day for financial markets. Key economic data is scheduled for release, including Purchasing Managers' Indices (PMI) from major economies, the ADP employment report in the U.S., and oil inventory figures. Additionally, speeches from central bank leaders, including Fed Chair Powell, ECB President Lagarde, and the Bank of England Governor, may set the tone ...
Buffett Indicator: What is it and how can an investor use it?
... to 50-70%, creating favorable opportunities for long-term investors.
Historical examples of using the Buffett indicator
1999 (dot-com crash) — The indicator rose above 150%, which foreshadowed a strong market correction in 2000-2002.
2008 (global financial crisis) — Before the crisis, the indicator was above 100%, and during the crisis, it fell below 60%. This gave investors the opportunity to buy shares at low prices.
2021 (record market overheating) — The indicator reached 230%, which indicated a possible bubble. In 2022, the market ...
Economic Events and Corporate Reports - Tuesday, August 5, 2025 - PMI Index and US Trade Balance
... trigger a wave of sell-offs in certain sectors. Investors will consider how well the reported numbers align with forecasts, adjusting their investment decisions as necessary.
Conclusion
August 5, 2025, is packed with events that could set the tone for financial markets. The published PMI indices and trade statistics will provide fresh insights regarding the health of the global economy, while corporate reports will reveal whether profit expectations are being met. The market's reaction to these data will reflect investor confidence: alignment ...
Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit
... locally impact specific stocks on the Moscow Exchange.
Analysis of Macroeconomic Events by Country
Macroeconomic events on July 22 draw the attention of investors globally. The focus is on the RBA minutes, speeches from central bank heads, and industrial indicators affecting financial markets.
Australia: RBA Minutes
The day began with news from the Asia-Pacific region. At 04:30 MSK, the minutes from the latest meeting of the Reserve Bank of Australia (RBA) were released. Investors are closely examining this document for hints ...