US Stock MarketDetailed Quotes

Pampa Energia (PAM)

Watchlist
  • 79.950
  • -2.450-2.97%
Close May 13 16:00 ET
  • 79.950
  • 0.0000.00%
Post 16:10 ET
4.30BMarket Cap9.69P/E (TTM)

Pampa Energia (PAM) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-39.69%677M
-34.59%1.09B
-34.59%1.09B
-26.08%881M
-3.99%879M
33.02%1.12B
100.72%1.67B
100.72%1.67B
23.42%1.19B
6.27%915.5M
-Cash and cash equivalents
-35.05%236M
-1.76%725M
-1.76%725M
23.25%411M
5.83%161M
81.39%363.37M
331.58%738M
331.58%738M
81.70%333.48M
-23.20%152.13M
-Short-term investments
-41.90%441M
-60.65%366M
-60.65%366M
-45.24%470M
-5.94%718M
17.97%759.08M
40.91%930M
40.91%930M
9.75%858.29M
15.06%763.37M
Receivables
16.50%531M
28.25%454M
28.25%454M
-0.86%514M
1.65%490M
4.44%455.81M
33.08%354M
33.08%354M
19.17%518.44M
14.62%482.07M
-Accounts receivable
31.67%410M
23.26%355M
23.26%355M
-3.96%414M
-7.96%382M
-16.73%311.38M
37.80%288M
37.80%288M
17.99%431.07M
23.91%415.06M
-Notes receivable
----
----
----
----
----
----
--0
--0
--0
--0
-Taxes receivable
535.43%86M
625.00%58M
625.00%58M
248.96%42M
691.06%51M
82.55%13.53M
-20.00%8M
-20.00%8M
70.65%12.04M
-38.32%6.45M
-Related party accounts receivable
-58.27%3M
-63.64%4M
-63.64%4M
-22.05%6M
-5.55%7M
-1.08%7.19M
57.14%11M
57.14%11M
-25.92%7.7M
7.21%7.41M
-Other receivables
-74.13%32M
-21.28%37M
-21.28%37M
-23.13%52M
-5.95%50M
175.80%123.71M
30.56%47M
30.56%47M
29.42%67.65M
-6.07%53.17M
-Recievables adjustments allowances
----
----
----
-155,885.02%-21M
----
----
----
----
60.81%-13.46K
86.45%-14.28K
Inventory
-6.33%226M
2.30%222M
2.30%222M
0.15%232M
0.17%227M
13.49%241.26M
7.96%217M
7.96%217M
17.54%231.64M
23.81%226.62M
Prepaid assets
384.12%427M
21.58%169M
21.58%169M
168.61%294M
75.71%125M
19.03%88.2M
265.79%139M
265.79%139M
242.01%109.45M
43.20%71.14M
Total current assets
-2.45%1.86B
-16.44%1.99B
-16.44%1.99B
-5.53%1.95B
3.75%1.76B
21.73%1.91B
78.07%2.38B
78.07%2.38B
26.66%2.07B
-0.11%1.7B
Non current assets
Net PPE
25.78%3.41B
29.62%3.34B
29.62%3.34B
19.03%3.1B
10.02%2.93B
3.76%2.71B
0.43%2.58B
0.43%2.58B
7.01%2.6B
16.28%2.66B
-Gross PPE
23.44%5.66B
25.82%5.5B
25.82%5.5B
18.20%5.17B
10.25%4.89B
6.55%4.59B
4.07%4.37B
4.07%4.37B
5.57%4.37B
13.17%4.44B
-Accumulated depreciation
-20.04%-2.25B
-20.37%-2.16B
-20.37%-2.16B
-16.99%-2.07B
-10.61%-1.96B
-10.87%-1.87B
-9.77%-1.8B
-9.77%-1.8B
-3.53%-1.77B
-8.80%-1.77B
Goodwill and other intangible assets
-8.35%88M
-6.32%89M
-6.32%89M
-8.68%89M
-5.55%92M
0.22%96.01M
-1.04%95M
-1.04%95M
-0.07%97.46M
-1.18%97.41M
-Goodwill
0.40%35M
0.00%35M
0.00%35M
0.62%35M
0.97%35M
0.56%34.86M
0.00%35M
0.00%35M
0.33%34.78M
-0.04%34.66M
-Other intangible assets
-13.33%53M
-10.00%54M
-10.00%54M
-13.85%54M
-9.15%57M
0.04%61.15M
-1.64%60M
-1.64%60M
-0.29%62.68M
-1.79%62.74M
Investments and advances
13.67%1.29B
7.06%1.09B
7.06%1.09B
5.42%1.03B
16.30%1.09B
25.90%1.14B
44.27%1.02B
44.27%1.02B
-2.06%978.99M
-12.42%932.94M
Non current accounts receivable
-62.22%66M
-42.67%43M
-42.67%43M
170.10%48M
677.06%139M
773.11%174.69M
316.67%75M
316.67%75M
-20.33%17.77M
-17.07%17.89M
Related parties assets
-58.27%3M
-63.64%4M
-63.64%4M
-22.05%6M
-5.55%7M
-1.08%7.19M
57.14%11M
57.14%11M
-25.92%7.7M
7.21%7.41M
Non current deferred assets
37.67%293M
-72.61%43M
-72.61%43M
-80.01%21M
133.40%116M
1,480.01%212.83M
--157M
--157M
2,171.62%105.08M
49.96%49.7M
Non current prepaid assets
----
----
----
----
----
--147M
----
----
499.74%26.87M
----
Other non current assets
----
----
----
26,255.52%470M
----
-1.92%404.25K
----
----
294.30%1.78M
-16.98%392.09K
Total non current assets
18.87%5.16B
17.41%4.61B
17.41%4.61B
11.94%4.29B
15.96%4.36B
18.82%4.34B
15.86%3.92B
15.86%3.92B
7.57%3.83B
7.05%3.76B
Total assets
12.36%7.02B
4.63%6.59B
4.63%6.59B
5.82%6.24B
12.17%6.12B
19.69%6.24B
33.46%6.3B
33.46%6.3B
13.57%5.89B
4.72%5.46B
Liabilities
Current liabilities
Payables
-3.26%636M
-4.53%506M
-4.53%506M
-22.11%395M
-10.57%387M
118.28%657.45M
106.23%530M
106.23%530M
37.29%507.15M
23.53%432.74M
-accounts payable
5.20%310M
52.79%356M
52.79%356M
41.72%306M
46.40%305M
22.06%294.68M
10.95%233M
10.95%233M
-16.87%215.92M
-18.09%208.34M
-Total tax payable
-20.32%266M
-51.57%139M
-51.57%139M
-80.07%51M
-73.11%52M
697.43%333.85M
825.81%287M
825.81%287M
270.08%255.87M
316.70%193.41M
-Due to related parties current
--32M
----
----
----
----
----
----
----
----
----
-Other payable
-3.21%28M
10.00%11M
10.00%11M
7.49%38M
-3.20%30M
61.61%28.93M
-37.50%10M
-37.50%10M
-12.77%35.35M
-37.45%30.99M
Current provisions
42.33%14M
30.00%13M
30.00%13M
-22.48%7M
-11.90%8M
36.18%9.84M
66.67%10M
66.67%10M
161.81%9.03M
131.95%9.08M
Current debt and capital lease obligation
-83.29%60M
-90.28%69M
-90.28%69M
-4.69%305M
-17.56%226M
31.82%359.15M
211.40%710M
211.40%710M
-9.71%320.02M
-23.78%274.13M
-Current debt
-89.03%39M
-93.20%48M
-93.20%48M
-10.81%282M
-17.92%222M
32.23%355.49M
215.18%706M
215.18%706M
-10.29%316.18M
-24.42%270.48M
-Current capital lease obligation
473.07%21M
425.00%21M
425.00%21M
499.44%23M
9.76%4M
1.18%3.66M
0.00%4M
0.00%4M
95.68%3.84M
106.10%3.64M
Current deferred liabilities
----
----
----
----
--24M
----
----
----
----
----
Other current liabilities
27,272.97%181M
----
----
15,036.35%195M
----
414.85%661.24K
----
----
22,403.29%1.29M
-99.91%123.01K
Current liabilities
-12.79%912M
-50.92%639M
-50.92%639M
-15.30%727M
-10.63%651M
75.47%1.05B
149.90%1.3B
149.90%1.3B
16.21%858.37M
-15.31%728.44M
Non current liabilities
Long term provisions
-29.05%73M
-27.01%100M
-27.01%100M
-43.62%107M
-42.61%104M
-41.38%102.89M
-8.67%137M
-8.67%137M
22.34%189.78M
21.38%181.22M
Long term debt and capital lease obligation
36.28%1.85B
34.32%1.86B
34.32%1.86B
4.24%1.49B
2.18%1.38B
3.61%1.36B
11.79%1.38B
11.79%1.38B
9.90%1.43B
2.90%1.35B
-Long term debt
36.59%1.84B
34.30%1.84B
34.30%1.84B
3.90%1.47B
2.39%1.37B
3.93%1.35B
12.17%1.37B
12.17%1.37B
9.80%1.42B
2.61%1.34B
-Long term capital lease obligation
-3.48%10M
36.36%15M
36.36%15M
41.68%18M
-18.94%11M
-25.99%10.36M
-21.43%11M
-21.43%11M
22.71%12.7M
44.08%13.57M
Non current deferred liabilities
-42.10%72M
-33.87%82M
-33.87%82M
210.54%384M
213.96%390M
-44.33%124.36M
-64.77%124M
-64.77%124M
-28.50%123.65M
-42.09%124.22M
Employee benefits
-4.75%99M
-4.95%96M
-4.95%96M
9.30%85M
105.43%102M
101.53%103.93M
129.55%101M
129.55%101M
50.78%77.76M
-2.65%49.65M
Other non current liabilities
---1M
----
----
----
----
----
---43M
---43M
---5M
----
Total non current liabilities
36.86%2.32B
37.83%2.35B
37.83%2.35B
13.34%2.07B
15.69%1.98B
-4.18%1.69B
-4.64%1.71B
-4.64%1.71B
8.23%1.82B
-1.36%1.71B
Total liabilities
17.89%3.23B
-0.60%2.99B
-0.60%2.99B
4.18%2.8B
7.82%2.63B
15.93%2.74B
30.23%3.01B
30.23%3.01B
10.66%2.68B
-5.99%2.44B
Shareholders'equity
Share capital
2,722.25%36M
0.00%36M
0.00%36M
2,456.06%36M
2,310.14%36M
-19.67%1.28M
0.00%36M
0.00%36M
-63.82%1.41M
-71.86%1.49M
-common stock
2,722.25%36M
0.00%36M
0.00%36M
2,456.06%36M
2,310.14%36M
-19.67%1.28M
0.00%36M
0.00%36M
-63.82%1.41M
-71.86%1.49M
Retained earnings
-30.42%639M
-52.70%351M
-52.70%351M
-71.36%182M
-60.18%188M
62.24%918.33M
232.74%742M
232.74%742M
37.09%635.38M
50.34%472.07M
Paid-in capital
2,663.00%517M
0.00%516M
0.00%516M
2,397.55%516M
2,254.97%516M
-19.67%18.71M
0.00%516M
0.00%516M
-63.82%20.66M
-71.86%21.91M
Less: Treasury stock
27,186.25%54M
671.43%54M
671.43%54M
11,080.88%22M
2,920.61%7M
-19.67%197.9K
0.00%7M
0.00%7M
-67.42%196.76K
-71.86%231.74K
Gains losses not affecting retained earnings
-4.05%2.45B
41.37%2.56B
41.37%2.56B
-0.32%2.53B
2.07%2.56B
13.58%2.55B
25.12%1.81B
25.12%1.81B
14.62%2.54B
14.64%2.51B
Other equity interest
2,757.72%191M
0.00%191M
0.00%191M
2,488.18%191M
2,340.43%191M
-19.67%6.68M
0.00%191M
0.00%191M
-63.82%7.38M
-71.86%7.83M
Total stockholders'equity
8.03%3.78B
9.43%3.6B
9.43%3.6B
7.19%3.43B
15.70%3.49B
22.88%3.5B
36.69%3.29B
36.69%3.29B
16.10%3.2B
15.28%3.01B
Noncontrolling interests
12.94%11M
0.00%9M
0.00%9M
6.41%9M
6.77%9M
2.49%9.74M
0.00%9M
0.00%9M
23.22%8.46M
28.24%8.43M
Total equity
8.04%3.79B
9.41%3.61B
9.41%3.61B
7.19%3.44B
15.68%3.49B
22.81%3.51B
36.55%3.3B
36.55%3.3B
16.11%3.21B
15.32%3.02B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -39.69%677M-34.59%1.09B-34.59%1.09B-26.08%881M-3.99%879M33.02%1.12B100.72%1.67B100.72%1.67B23.42%1.19B6.27%915.5M
-Cash and cash equivalents -35.05%236M-1.76%725M-1.76%725M23.25%411M5.83%161M81.39%363.37M331.58%738M331.58%738M81.70%333.48M-23.20%152.13M
-Short-term investments -41.90%441M-60.65%366M-60.65%366M-45.24%470M-5.94%718M17.97%759.08M40.91%930M40.91%930M9.75%858.29M15.06%763.37M
Receivables 16.50%531M28.25%454M28.25%454M-0.86%514M1.65%490M4.44%455.81M33.08%354M33.08%354M19.17%518.44M14.62%482.07M
-Accounts receivable 31.67%410M23.26%355M23.26%355M-3.96%414M-7.96%382M-16.73%311.38M37.80%288M37.80%288M17.99%431.07M23.91%415.06M
-Notes receivable --------------------------0--0--0--0
-Taxes receivable 535.43%86M625.00%58M625.00%58M248.96%42M691.06%51M82.55%13.53M-20.00%8M-20.00%8M70.65%12.04M-38.32%6.45M
-Related party accounts receivable -58.27%3M-63.64%4M-63.64%4M-22.05%6M-5.55%7M-1.08%7.19M57.14%11M57.14%11M-25.92%7.7M7.21%7.41M
-Other receivables -74.13%32M-21.28%37M-21.28%37M-23.13%52M-5.95%50M175.80%123.71M30.56%47M30.56%47M29.42%67.65M-6.07%53.17M
-Recievables adjustments allowances -------------155,885.02%-21M----------------60.81%-13.46K86.45%-14.28K
Inventory -6.33%226M2.30%222M2.30%222M0.15%232M0.17%227M13.49%241.26M7.96%217M7.96%217M17.54%231.64M23.81%226.62M
Prepaid assets 384.12%427M21.58%169M21.58%169M168.61%294M75.71%125M19.03%88.2M265.79%139M265.79%139M242.01%109.45M43.20%71.14M
Total current assets -2.45%1.86B-16.44%1.99B-16.44%1.99B-5.53%1.95B3.75%1.76B21.73%1.91B78.07%2.38B78.07%2.38B26.66%2.07B-0.11%1.7B
Non current assets
Net PPE 25.78%3.41B29.62%3.34B29.62%3.34B19.03%3.1B10.02%2.93B3.76%2.71B0.43%2.58B0.43%2.58B7.01%2.6B16.28%2.66B
-Gross PPE 23.44%5.66B25.82%5.5B25.82%5.5B18.20%5.17B10.25%4.89B6.55%4.59B4.07%4.37B4.07%4.37B5.57%4.37B13.17%4.44B
-Accumulated depreciation -20.04%-2.25B-20.37%-2.16B-20.37%-2.16B-16.99%-2.07B-10.61%-1.96B-10.87%-1.87B-9.77%-1.8B-9.77%-1.8B-3.53%-1.77B-8.80%-1.77B
Goodwill and other intangible assets -8.35%88M-6.32%89M-6.32%89M-8.68%89M-5.55%92M0.22%96.01M-1.04%95M-1.04%95M-0.07%97.46M-1.18%97.41M
-Goodwill 0.40%35M0.00%35M0.00%35M0.62%35M0.97%35M0.56%34.86M0.00%35M0.00%35M0.33%34.78M-0.04%34.66M
-Other intangible assets -13.33%53M-10.00%54M-10.00%54M-13.85%54M-9.15%57M0.04%61.15M-1.64%60M-1.64%60M-0.29%62.68M-1.79%62.74M
Investments and advances 13.67%1.29B7.06%1.09B7.06%1.09B5.42%1.03B16.30%1.09B25.90%1.14B44.27%1.02B44.27%1.02B-2.06%978.99M-12.42%932.94M
Non current accounts receivable -62.22%66M-42.67%43M-42.67%43M170.10%48M677.06%139M773.11%174.69M316.67%75M316.67%75M-20.33%17.77M-17.07%17.89M
Related parties assets -58.27%3M-63.64%4M-63.64%4M-22.05%6M-5.55%7M-1.08%7.19M57.14%11M57.14%11M-25.92%7.7M7.21%7.41M
Non current deferred assets 37.67%293M-72.61%43M-72.61%43M-80.01%21M133.40%116M1,480.01%212.83M--157M--157M2,171.62%105.08M49.96%49.7M
Non current prepaid assets ----------------------147M--------499.74%26.87M----
Other non current assets ------------26,255.52%470M-----1.92%404.25K--------294.30%1.78M-16.98%392.09K
Total non current assets 18.87%5.16B17.41%4.61B17.41%4.61B11.94%4.29B15.96%4.36B18.82%4.34B15.86%3.92B15.86%3.92B7.57%3.83B7.05%3.76B
Total assets 12.36%7.02B4.63%6.59B4.63%6.59B5.82%6.24B12.17%6.12B19.69%6.24B33.46%6.3B33.46%6.3B13.57%5.89B4.72%5.46B
Liabilities
Current liabilities
Payables -3.26%636M-4.53%506M-4.53%506M-22.11%395M-10.57%387M118.28%657.45M106.23%530M106.23%530M37.29%507.15M23.53%432.74M
-accounts payable 5.20%310M52.79%356M52.79%356M41.72%306M46.40%305M22.06%294.68M10.95%233M10.95%233M-16.87%215.92M-18.09%208.34M
-Total tax payable -20.32%266M-51.57%139M-51.57%139M-80.07%51M-73.11%52M697.43%333.85M825.81%287M825.81%287M270.08%255.87M316.70%193.41M
-Due to related parties current --32M------------------------------------
-Other payable -3.21%28M10.00%11M10.00%11M7.49%38M-3.20%30M61.61%28.93M-37.50%10M-37.50%10M-12.77%35.35M-37.45%30.99M
Current provisions 42.33%14M30.00%13M30.00%13M-22.48%7M-11.90%8M36.18%9.84M66.67%10M66.67%10M161.81%9.03M131.95%9.08M
Current debt and capital lease obligation -83.29%60M-90.28%69M-90.28%69M-4.69%305M-17.56%226M31.82%359.15M211.40%710M211.40%710M-9.71%320.02M-23.78%274.13M
-Current debt -89.03%39M-93.20%48M-93.20%48M-10.81%282M-17.92%222M32.23%355.49M215.18%706M215.18%706M-10.29%316.18M-24.42%270.48M
-Current capital lease obligation 473.07%21M425.00%21M425.00%21M499.44%23M9.76%4M1.18%3.66M0.00%4M0.00%4M95.68%3.84M106.10%3.64M
Current deferred liabilities ------------------24M--------------------
Other current liabilities 27,272.97%181M--------15,036.35%195M----414.85%661.24K--------22,403.29%1.29M-99.91%123.01K
Current liabilities -12.79%912M-50.92%639M-50.92%639M-15.30%727M-10.63%651M75.47%1.05B149.90%1.3B149.90%1.3B16.21%858.37M-15.31%728.44M
Non current liabilities
Long term provisions -29.05%73M-27.01%100M-27.01%100M-43.62%107M-42.61%104M-41.38%102.89M-8.67%137M-8.67%137M22.34%189.78M21.38%181.22M
Long term debt and capital lease obligation 36.28%1.85B34.32%1.86B34.32%1.86B4.24%1.49B2.18%1.38B3.61%1.36B11.79%1.38B11.79%1.38B9.90%1.43B2.90%1.35B
-Long term debt 36.59%1.84B34.30%1.84B34.30%1.84B3.90%1.47B2.39%1.37B3.93%1.35B12.17%1.37B12.17%1.37B9.80%1.42B2.61%1.34B
-Long term capital lease obligation -3.48%10M36.36%15M36.36%15M41.68%18M-18.94%11M-25.99%10.36M-21.43%11M-21.43%11M22.71%12.7M44.08%13.57M
Non current deferred liabilities -42.10%72M-33.87%82M-33.87%82M210.54%384M213.96%390M-44.33%124.36M-64.77%124M-64.77%124M-28.50%123.65M-42.09%124.22M
Employee benefits -4.75%99M-4.95%96M-4.95%96M9.30%85M105.43%102M101.53%103.93M129.55%101M129.55%101M50.78%77.76M-2.65%49.65M
Other non current liabilities ---1M-----------------------43M---43M---5M----
Total non current liabilities 36.86%2.32B37.83%2.35B37.83%2.35B13.34%2.07B15.69%1.98B-4.18%1.69B-4.64%1.71B-4.64%1.71B8.23%1.82B-1.36%1.71B
Total liabilities 17.89%3.23B-0.60%2.99B-0.60%2.99B4.18%2.8B7.82%2.63B15.93%2.74B30.23%3.01B30.23%3.01B10.66%2.68B-5.99%2.44B
Shareholders'equity
Share capital 2,722.25%36M0.00%36M0.00%36M2,456.06%36M2,310.14%36M-19.67%1.28M0.00%36M0.00%36M-63.82%1.41M-71.86%1.49M
-common stock 2,722.25%36M0.00%36M0.00%36M2,456.06%36M2,310.14%36M-19.67%1.28M0.00%36M0.00%36M-63.82%1.41M-71.86%1.49M
Retained earnings -30.42%639M-52.70%351M-52.70%351M-71.36%182M-60.18%188M62.24%918.33M232.74%742M232.74%742M37.09%635.38M50.34%472.07M
Paid-in capital 2,663.00%517M0.00%516M0.00%516M2,397.55%516M2,254.97%516M-19.67%18.71M0.00%516M0.00%516M-63.82%20.66M-71.86%21.91M
Less: Treasury stock 27,186.25%54M671.43%54M671.43%54M11,080.88%22M2,920.61%7M-19.67%197.9K0.00%7M0.00%7M-67.42%196.76K-71.86%231.74K
Gains losses not affecting retained earnings -4.05%2.45B41.37%2.56B41.37%2.56B-0.32%2.53B2.07%2.56B13.58%2.55B25.12%1.81B25.12%1.81B14.62%2.54B14.64%2.51B
Other equity interest 2,757.72%191M0.00%191M0.00%191M2,488.18%191M2,340.43%191M-19.67%6.68M0.00%191M0.00%191M-63.82%7.38M-71.86%7.83M
Total stockholders'equity 8.03%3.78B9.43%3.6B9.43%3.6B7.19%3.43B15.70%3.49B22.88%3.5B36.69%3.29B36.69%3.29B16.10%3.2B15.28%3.01B
Noncontrolling interests 12.94%11M0.00%9M0.00%9M6.41%9M6.77%9M2.49%9.74M0.00%9M0.00%9M23.22%8.46M28.24%8.43M
Total equity 8.04%3.79B9.41%3.61B9.41%3.61B7.19%3.44B15.68%3.49B22.81%3.51B36.55%3.3B36.55%3.3B16.11%3.21B15.32%3.02B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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