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CAPE Ratio of the S&P 500 Reaches Second Record: Is the Market Overheated?
... high CAPE is traditionally seen as an indicator of an overheated market and a potential correction.
What is CAPE and Why is it Important?
CAPE, or the Shiller Ratio, was developed by Nobel laureate Robert Shiller for a more accurate assessment of stock market valuation. It is calculated as the ratio of the current stock price to the average earnings over the past 10 years, adjusted for inflation. The historical average CAPE value for the S&P 500 is approximately 15.2, and when the ratio exceeds 30, the market is considered overvalued.
A high CAPE ratio suggests that ...
Monday, November 11, 2024: Key Economic Events for Investors
... commodities.
Fortune Global Forum:
CEOs including Brian Cornell from Target ($TGT), Joey Wat from Yum China ($YUMC), and Kristin Peck from Zoetis ($ZTS) will participate in discussions, potentially sharing insights into corporate strategy and global market conditions.
3rd Anniversary of Rivian Automotive IPO:
Shares of Rivian Automotive ($RIVN) are trading approximately 85% below their initial IPO price, marking three years since the company went public.
Nasdaq Short-Term Interest Rate Report (00:00 MSK):
Nasdaq will release its short-term interest rate outlook, providing guidance on rate expectations that could influence market sentiment.
Pre-Market ...
New Changes in IPO Procedure: Enhancing Transparency and Considering Retail Investors' Interests
... IPO stage, companies must disclose information about any restrictions on the sale of shares and conditions for implementing price stabilization to reduce stock volatility following the offering.
These measures are necessary for investors to have a clear ... ... the conditions under which they will participate in an IPO. Without this, it is essential to consider that trust in the stock market may be undermined.
The Role of Placement Organizers
The Bank of Russia has also proposed discussing the possibility of ...
JD.com Reports Record Quarterly Results and Stock Growth
... ecosystem and same-day delivery increase retention and purchase frequency.
Financial and Technological Services:
Additional revenue sources improve diversification.
JD’s business diversification reduces cyclicality and supports a strong cash flow.
Market Response and Valuation of JD Shares
The stock price increase of
+2.4%
reflects a re-evaluation of the likelihood of sustainable margin improvement and cash flow prospects. Investors note a combination of factors: accelerated turnover, decreased sensitivity to logistics, and a positive mix leaning ...
Diversification of Risks when Investing in Securities
... the investment portfolio should ideally commence even before its creation. Before buying stocks, it is critical to analyze the market thoroughly and decide on the instruments that are the best investment options at any given time. This includes considering ... ... influencing the stocks. It is unlikely that a crisis in one country would adversely impact the industry in another. Even if the prices of some stocks decline, others will likely gain value. This can help offset losses and provide profits.
When choosing securities,...