What are you looking for:
Difference between Pre-IPO and IPO: A Complete Guide for Investors
... IPO
Advantages:
Increased liquidity. After the IPO, shares are traded on the exchange, allowing investors to sell them freely.
Company transparency. The company is obliged to provide comprehensive information about its activities, allowing for better risk assessment and future prospects.
Disadvantages:
High competition among investors. Shares may appreciate quickly in the first days of trading, which limits the opportunity to purchase at a favorable price.
Potential volatility. In the initial days after ...
Macroeconomic Events and Quarterly Reports of Major Companies on July 22, 2025: Reports from Coca-Cola, RTX, Equifax, SAP, UniCredit
... indicating an increase in output for certain metals (nickel, platinum) due to investment projects. These figures are important for assessing Russia's export potential and the global metals market situation (nickel is in demand in the battery industry, palladium ... ... reveal the regulator's position: if the text indicates confidence in the labor market and GDP growth amid ongoing inflation risks, this signals a potential rate hike at the next meeting. Conversely, softened rhetoric and emphasis on slowing inflation ...
Economic Events and Company Reports — Tuesday, July 29, 2025: Visa, Boeing, Spotify, and Others
... temporary difficulties (semiconductors, healthcare), but systemic crisis signals are not apparent. Macroeconomic data will help assess how favorable the ambient environment (inflation, demand) is for this growth. On July 29, investors should focus on the ... ... provide momentum for the markets, while any significant discrepancies from expectations will require caution and reassessment of risks.
EU Faces Trade War Threat: Macron Warns Investors of Rising Risks with the US and China
... stands on the brink of economic decisions that will shape its future. For investors, this means closely monitoring EU actions, assessing opportunities, and preparing for potential market shifts.
For businesses and investors, the key now is to not only assess risks but also take timely action to adapt to an evolving reality.
Economic Events and Company Reports — Friday, August 1, 2025: Non-Farm Payrolls, PMI, and Reports from ExxonMobil, Chevron, Moderna
... primarily rely on external factors. Special attention should be paid to the dynamics of oil prices and shares in the oil and gas sector after the release of reports from ExxonMobil and Chevron: any surprises from these global leaders could influence assessments of Russian oil and gas outlooks. Additionally, the U.S. Non-Farm Payrolls statistics could affect global investor sentiment and, indirectly, the exchange rate of the ruble through changes in risk appetite. In the absence of internal news, external economic events and corporate earnings reports will dictate the dynamics of the local market on this day.
What Investors Should Pay Attention To
The first day of August is rich in key economic events ...