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MITRA ADIPERKASA TBK (PMDKF)

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  • 0.0649
  • 0.00000.00%
15min DelayClose Apr 29 09:30 ET
1.08BMarket Cap8.11P/E (TTM)

MITRA ADIPERKASA TBK (PMDKF) Balance Sheet

Quarterly·All
YOY yoy
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Currency: IDR
2026/Q1
2025/Q4
2025/Q3
2025/Q2
2025/Q1
2024/Q4
2024/Q3
2024/Q2
2024/Q1
2023/Q4
2023/Q3
2023/Q2
2023/Q1
2022/Q4
2022/Q3
2022/Q2
2022/Q1
2021/Q4
2021/Q3
2021/Q2
Total Assets
+9.39%34.22T
+11.17%32.82T
+7.26%30.84T
+9.37%31.41T
+10.85%31.28T
+7.30%29.53T
+16.98%28.75T
+28.53%28.72T
+30.25%28.22T
+30.95%27.52T
+29.81%24.58T
+24.33%22.35T
+25.44%21.67T
+25.08%21.01T
+12.19%18.93T
+2.74%17.97T
-2.08%17.27T
-4.81%16.80T
-8.72%16.88T
-6.68%17.49T
Total Current Assets
+11.01%19.33T
+16.28%18.43T
+7.62%16.82T
+12.21%17.53T
+13.91%17.42T
+5.70%15.85T
+21.54%15.63T
+33.93%15.63T
+35.77%15.29T
+39.63%14.99T
+32.89%12.86T
+23.73%11.67T
+28.60%11.26T
+30.72%10.74T
+18.48%9.68T
+11.11%9.43T
+3.45%8.76T
+0.59%8.21T
+0.09%8.17T
+1.46%8.49T
Cash and Cash Equivalents & Short-Term Investments
+47.89%6.32T
+29.35%6.03T
+4.19%4.26T
+22.82%4.37T
+29.90%4.27T
+13.29%4.67T
+22.42%4.09T
+9.17%3.56T
+3.34%3.29T
-1.15%4.12T
-7.16%3.34T
-7.04%3.26T
+13.24%3.18T
+32.52%4.17T
+46.47%3.60T
+40.80%3.51T
+12.68%2.81T
+1.67%3.14T
+14.25%2.45T
-0.11%2.49T
-Cash and Cash Equivalents
+49.17%5.27T
+24.80%5.04T
+0.04%3.50T
+24.01%3.64T
+24.94%3.54T
+9.95%4.04T
+18.35%3.50T
-1.54%2.93T
-2.64%2.83T
-4.57%3.67T
-11.08%2.96T
-5.66%2.98T
+17.74%2.91T
+38.60%3.85T
+58.55%3.33T
+49.74%3.16T
+12.72%2.47T
-0.35%2.78T
+21.24%2.10T
+0.65%2.11T
-Short Term Investments
+41.79%1.05T
+58.76%992.38B
+29.05%754.70B
+17.23%732.24B
+60.36%737.76B
+41.02%625.07B
+54.14%584.82B
+123.30%624.63B
+66.07%460.07B
+40.57%443.26B
+41.49%379.41B
-19.58%279.73B
-19.16%277.03B
-13.68%315.33B
-24.70%268.14B
-8.67%347.82B
+12.41%342.69B
+20.12%365.30B
-14.74%356.11B
-4.11%380.85B
-Accounts Receivable
-20.54%678.90B
-5.09%773.61B
-7.72%559.30B
-15.80%659.39B
+0.58%854.39B
+6.60%815.14B
-5.11%606.10B
+37.93%783.12B
+60.88%849.47B
+10.93%764.67B
+38.68%638.72B
+17.96%567.78B
+15.06%528.00B
+70.43%689.35B
+52.26%460.57B
+72.27%481.35B
+53.52%458.88B
+18.42%404.47B
+1.38%302.49B
-24.41%279.42B
-Other Receivables
+3.84%285.31B
+41.65%383.73B
-34.67%232.04B
-25.87%238.44B
-14.21%274.75B
-15.54%270.90B
+95.95%355.21B
+19.82%321.63B
+116.20%320.25B
+110.73%320.75B
-5.41%181.28B
+32.78%268.43B
+7.51%148.12B
-24.50%152.21B
-3.38%191.64B
+11.90%202.16B
-30.19%137.77B
+21.17%201.61B
-10.03%198.34B
-15.93%180.66B
Prepaid Assets
+2.66%2.27T
+4.76%1.89T
+1.80%2.00T
-9.86%2.21T
+11.84%2.21T
+6.25%1.80T
+17.21%1.97T
+61.61%2.45T
+50.48%1.97T
+64.74%1.70T
+54.06%1.68T
+34.83%1.51T
+27.81%1.31T
+40.88%1.03T
+26.63%1.09T
+14.45%1.12T
+4.01%1.03T
-13.91%730.54B
-30.69%860.37B
-20.00%981.43B
Inventory
-0.28%9.78T
+12.69%9.34T
+13.39%9.77T
+18.12%10.06T
+10.75%9.80T
+2.50%8.29T
+22.67%8.61T
+40.66%8.51T
+45.34%8.85T
+72.13%8.09T
+61.83%7.02T
+47.11%6.05T
+40.90%6.09T
+25.92%4.70T
-0.27%4.34T
-9.64%4.11T
-3.67%4.32T
+0.44%3.73T
+2.35%4.35T
+12.21%4.55T
Other Current Assets
----
+14.97%3.49B
----
----
----
+2.50%3.03B
----
----
----
+141.08%2.96B
----
----
----
-24.49%1.23B
----
----
----
+17.84%1.63B
----
----
Total Non-Current Assets
+7.36%14.89T
+5.26%14.40T
+6.84%14.02T
+5.97%13.88T
+7.23%13.87T
+9.21%13.68T
+11.97%13.12T
+22.64%13.10T
+24.27%12.93T
+21.89%12.53T
+26.59%11.72T
+25.00%10.68T
+22.18%10.41T
+19.68%10.28T
+6.29%9.26T
-5.14%8.54T
-7.18%8.52T
-9.45%8.59T
-15.67%8.71T
-13.24%9.01T
Net PPE
+6.80%12.12T
+4.61%11.80T
+7.18%11.48T
+6.74%11.39T
+7.97%11.35T
+10.80%11.28T
+15.30%10.71T
+26.37%10.67T
+28.65%10.51T
+26.01%10.18T
+28.84%9.29T
+29.05%8.45T
+24.93%8.17T
+21.82%8.08T
+6.95%7.21T
-7.00%6.55T
-8.50%6.54T
-11.04%6.63T
-17.57%6.74T
-16.52%7.04T
-Gross PPE
+8.62%26.72T
+7.82%25.90T
+10.22%25.42T
+8.45%24.98T
+9.63%24.60T
+10.81%24.02T
+13.50%23.07T
+19.97%23.04T
+20.67%22.44T
+18.73%21.68T
+17.56%20.32T
+22.71%19.20T
+17.10%18.60T
+15.75%18.26T
+9.39%17.29T
-1.12%15.65T
+1.48%15.88T
+111.66%15.77T
-3.02%15.80T
-1.56%15.82T
-Accumulated Depreciation
-10.18%-14.60T
-10.65%-14.10T
-12.85%-13.95T
-9.93%-13.59T
-11.10%-13.25T
-10.82%-12.74T
-11.98%-12.36T
-14.95%-12.36T
-14.42%-11.93T
-12.95%-11.50T
-9.50%-11.04T
-18.15%-10.75T
-11.62%-10.42T
-11.35%-10.18T
-11.21%-10.08T
-3.59%-9.10T
-9.87%-9.34T
---9.14T
-11.63%-9.06T
-14.94%-8.79T
-Available for Sale Securities
-50.91%8.06B
-50.91%8.06B
-62.17%16.42B
-62.17%16.42B
-62.17%16.42B
-62.17%16.42B
-54.73%43.42B
-54.73%43.42B
-54.73%43.42B
-54.73%43.42B
+234.06%95.90B
+234.06%95.90B
+789.44%95.90B
+346.94%95.90B
--28.71B
--28.71B
--10.78B
-47.98%21.46B
----
----
-Long Term Equity Investment
+33.82%531.80B
+12.48%420.01B
+19.67%393.22B
+16.80%388.97B
+5.80%397.42B
+5.01%373.40B
-6.46%328.59B
+3.87%333.01B
+17.91%375.64B
+19.82%355.60B
+25.93%351.27B
+22.28%320.61B
+28.38%318.58B
+23.57%296.79B
+19.68%278.94B
-2.61%262.18B
-10.26%248.15B
-19.41%240.18B
-24.21%233.07B
-20.01%269.22B
Non-Current Prepaid Assets
+12.07%1.10T
+12.65%1.07T
+12.36%1.03T
+13.91%1.00T
+15.86%984.78B
+17.73%953.08B
+22.17%919.31B
+29.11%881.74B
+30.43%849.98B
+32.33%809.58B
+31.79%752.48B
+26.53%682.93B
+23.45%651.67B
+18.32%611.78B
+12.29%570.95B
+8.32%539.73B
+6.56%527.90B
+5.77%517.04B
+3.02%508.47B
+7.38%498.28B
Goodwill and Other Intangible Assets
+2.44%92.75B
+3.84%91.60B
-16.27%91.04B
-24.88%88.60B
-20.49%90.54B
-20.33%88.22B
-36.92%108.73B
+48.48%117.95B
+43.34%113.87B
+39.39%110.73B
+116.98%172.36B
+0.00%79.44B
+0.00%79.44B
+0.00%79.44B
+0.00%79.44B
+0.00%79.44B
+0.00%79.44B
+0.00%79.44B
--79.44B
--79.44B
-Goodwill
+2.44%60.28B
+3.84%59.53B
-25.86%59.17B
-33.48%57.58B
-29.59%58.84B
-29.46%57.33B
-44.79%79.80B
+67.68%86.57B
+61.88%83.57B
+57.42%81.27B
+180.00%144.55B
+0.00%51.62B
+0.00%51.62B
--51.62B
+0.00%51.62B
-35.01%51.62B
+0.00%51.62B
----
--51.62B
--79.44B
-Other Intangible Assets
+2.44%32.48B
+3.84%32.07B
+10.19%31.88B
-1.14%31.02B
+4.64%31.70B
+4.84%30.89B
+4.02%28.93B
+12.83%31.38B
+8.93%30.30B
+5.93%29.46B
+0.00%27.81B
+0.00%27.81B
+0.00%27.81B
--27.81B
+0.00%27.81B
--27.81B
+0.00%27.81B
----
--27.81B
----
Non-Current Deferred Assets
-1.18%152.31B
-1.29%153.14B
+0.70%157.18B
-0.83%152.35B
-3.80%154.13B
-4.69%155.14B
-2.52%156.09B
-1.87%153.63B
-0.17%160.22B
+2.46%162.78B
+2.06%160.12B
-0.91%156.55B
+0.70%160.49B
-0.52%158.87B
+0.65%156.89B
-0.95%157.99B
-1.69%159.38B
-3.70%159.70B
--155.87B
-4.50%159.51B
Other Non-Current Assets
--211.00M
----
----
----
----
-99.52%21.00M
--302.00M
--301.00M
-85.62%4.37B
-85.72%4.34B
----
----
--30.40B
+0.00%30.40B
----
----
----
--30.40B
----
----
Total Liabilities
+1.00%16.22T
+3.57%15.61T
-1.56%14.63T
+2.96%15.81T
+5.06%16.06T
-0.20%15.07T
+17.58%14.87T
+33.91%15.35T
+33.97%15.29T
+34.19%15.11T
+25.26%12.64T
+18.07%11.46T
+18.64%11.41T
+16.93%11.26T
-3.16%10.09T
-8.45%9.71T
-13.22%9.62T
-13.07%9.63T
-13.79%10.42T
-12.72%10.61T
Total Current Liabilities
-1.36%11.95T
+4.31%11.45T
-3.20%10.68T
+3.04%11.77T
+7.22%12.12T
-0.68%10.98T
+22.71%11.03T
+42.67%11.42T
+41.94%11.30T
+46.10%11.05T
+30.72%8.99T
+16.84%8.01T
+18.79%7.96T
+13.55%7.56T
+0.73%6.88T
+0.56%6.85T
-9.02%6.70T
-9.30%6.66T
-11.97%6.83T
-16.64%6.81T
Payables
-4.48%4.75T
+3.47%4.81T
+0.64%4.17T
+12.38%4.58T
+21.27%4.97T
+5.84%4.65T
+13.93%4.14T
+13.49%4.08T
+20.01%4.10T
+21.31%4.40T
+21.51%3.64T
+30.83%3.59T
+23.11%3.42T
+29.11%3.62T
+21.70%2.99T
+13.19%2.75T
+5.13%2.78T
+5.11%2.81T
-21.32%2.46T
-14.58%2.43T
-Accounts Payable
-6.20%3.10T
+2.75%3.23T
-0.52%2.75T
+10.23%2.75T
+37.01%3.30T
+20.62%3.14T
+18.67%2.77T
+11.60%2.50T
+14.05%2.41T
+9.10%2.60T
+24.73%2.33T
+38.90%2.24T
+25.38%2.11T
+35.81%2.39T
+27.45%1.87T
+8.11%1.61T
+0.70%1.69T
+8.37%1.76T
-7.62%1.47T
-6.42%1.49T
-Total Tax Payable
+35.96%554.30B
+54.19%431.68B
+50.18%329.65B
+53.40%338.31B
+4.32%407.68B
-7.10%279.96B
-15.65%219.50B
+0.66%220.54B
+10.01%390.80B
-4.31%301.34B
-13.00%260.21B
-41.59%219.09B
+21.23%355.25B
+9.88%314.92B
+81.39%299.10B
+101.11%375.10B
+105.82%293.04B
+55.12%286.61B
+15.53%164.90B
+36.62%186.52B
-Dividends Payable
----
----
----
--201.56B
----
----
----
----
----
----
----
--167.89B
----
----
----
----
----
----
----
----
-Other Payable
-13.05%1.10T
-6.22%1.16T
-5.99%1.09T
-5.15%1.29T
-2.83%1.26T
-17.32%1.23T
+10.71%1.16T
+40.46%1.36T
+37.04%1.30T
+61.58%1.49T
+26.72%1.04T
+27.37%967.59B
+19.00%948.36B
+20.91%923.48B
-0.42%823.33B
+1.41%759.65B
-3.25%796.95B
-11.67%763.80B
-40.70%826.81B
-32.56%749.11B
Short-Term Debt and Capital Lease Obligation
-2.92%5.35T
+0.90%4.71T
-8.48%4.86T
-3.56%5.58T
-3.50%5.51T
-8.61%4.66T
+39.93%5.31T
+89.54%5.79T
+79.84%5.71T
+92.00%5.10T
+37.08%3.79T
+4.97%3.05T
+13.91%3.17T
-4.04%2.66T
-17.44%2.77T
-15.70%2.91T
-26.36%2.79T
-27.70%2.77T
-10.29%3.35T
-23.32%3.45T
-Current Debt
-2.94%3.45T
+5.15%2.87T
-11.92%2.93T
-1.63%3.75T
-8.28%3.56T
-16.82%2.73T
+60.04%3.33T
+174.00%3.81T
+153.89%3.88T
+218.78%3.29T
+73.28%2.08T
-8.90%1.39T
+0.59%1.53T
-33.34%1.03T
-42.06%1.20T
-30.21%1.53T
-37.75%1.52T
-38.07%1.55T
-19.19%2.07T
-33.21%2.19T
-Current Capital Lease Obligation
-2.87%1.90T
-5.12%1.83T
-2.70%1.93T
-7.30%1.83T
+6.64%1.95T
+6.24%1.93T
+15.52%1.98T
+18.80%1.97T
+11.11%1.83T
+11.70%1.82T
+9.34%1.71T
+20.32%1.66T
+29.89%1.65T
+33.00%1.63T
+22.43%1.57T
+9.48%1.38T
-5.66%1.27T
-8.29%1.22T
+9.19%1.28T
+3.21%1.26T
Current Provisions
----
+15.53%4.59B
----
----
----
+4.03%3.97B
----
----
----
+125.44%3.82B
----
----
----
-17.89%1.69B
----
----
----
+4.72%2.06B
----
----
Other Current Liabilities
----
----
-7.42%13.47B
+4.20%14.79B
+20.21%15.93B
+23.98%15.83B
+24.91%14.55B
+55.02%14.19B
+144.88%13.25B
+234.44%12.77B
+912.87%11.65B
+441.08%9.16B
+157.99%5.41B
+33.82%3.82B
-66.67%1.15B
-55.29%1.69B
-52.04%2.10B
-44.07%2.85B
-43.41%3.45B
-45.69%3.78B
Total Non-Current Liabilities
+8.26%4.27T
+1.61%4.16T
+3.13%3.96T
+2.72%4.04T
-1.08%3.94T
+1.09%4.10T
+4.97%3.84T
+13.63%3.93T
+15.58%3.99T
+9.78%4.05T
+13.58%3.66T
+21.01%3.46T
+18.31%3.45T
+24.54%3.69T
-10.53%3.22T
-24.63%2.86T
-21.55%2.92T
-20.48%2.97T
-17.04%3.60T
-4.68%3.79T
Long Term Debt and Capital Lease Obligation
+4.98%3.12T
-3.16%3.06T
-0.08%2.91T
-0.74%3.03T
-5.19%2.98T
-1.80%3.16T
-1.29%2.91T
+9.77%3.05T
+12.76%3.14T
+6.78%3.22T
+18.37%2.95T
+29.47%2.78T
+25.89%2.78T
+29.46%3.01T
-8.45%2.49T
-26.88%2.15T
-22.79%2.21T
-21.57%2.33T
-19.32%2.72T
-4.11%2.93T
-Long Term Debt
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
+0.98%396.95B
--389.91B
-Long Term Capital Lease Obligation
+4.98%3.12T
-3.16%3.06T
-0.08%2.91T
-0.74%3.03T
-5.19%2.98T
-1.80%3.16T
-1.29%2.91T
+9.77%3.05T
+12.76%3.14T
+6.78%3.22T
+18.37%2.95T
+29.47%2.78T
+25.89%2.78T
+29.46%3.01T
+7.17%2.49T
-15.67%2.15T
-10.87%2.21T
-10.18%2.33T
-22.00%2.33T
-16.85%2.54T
Derivative Product Liabilities
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-33.46%51.78B
-33.46%51.78B
Non-Current Liabilities
+18.85%268.69B
+17.72%256.99B
+26.54%243.06B
+28.10%235.34B
+27.72%226.08B
+30.54%218.31B
+51.54%192.09B
+59.96%183.71B
+56.14%177.01B
+43.56%167.24B
+22.70%126.76B
+16.98%114.85B
+11.49%113.37B
+16.37%116.49B
+11.84%103.31B
+7.53%98.18B
+14.24%101.68B
+15.54%100.11B
+9.92%92.38B
+22.02%91.30B
Other Non-Current Liabilities
+6.99%29.74B
+5.52%28.94B
+3.63%28.49B
+3.36%28.40B
+8.53%27.80B
+31.28%27.42B
+36.06%27.50B
+32.64%27.47B
+19.44%25.61B
-0.60%20.89B
-9.63%20.21B
-30.36%20.71B
-31.23%21.44B
-40.02%21.02B
-37.04%22.36B
-17.15%29.74B
-15.72%31.18B
-5.12%35.04B
+784.44%35.52B
+582.21%35.90B
Total Equity
+18.24%18.00T
+19.10%17.21T
+16.71%16.21T
+16.72%15.61T
+17.69%15.22T
+16.43%14.45T
+16.33%13.88T
+22.88%13.37T
+26.10%12.94T
+27.22%12.41T
+35.00%11.94T
+31.70%10.88T
+33.96%10.26T
+36.02%9.76T
+36.98%8.84T
+19.97%8.26T
+16.75%7.66T
+9.11%7.17T
+0.87%6.45T
+4.45%6.89T
Stockholders' Equity
+18.66%14.65T
+19.46%13.98T
+17.58%13.15T
+16.88%12.67T
+18.33%12.35T
+17.05%11.70T
+16.83%11.18T
+22.29%10.84T
+23.87%10.43T
+22.87%10.00T
+30.38%9.57T
+28.94%8.86T
+32.20%8.42T
+36.45%8.14T
+37.98%7.34T
+20.48%6.87T
+17.99%6.37T
+9.89%5.96T
+0.75%5.32T
+4.56%5.71T
Capital Stock
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
-Common Stock
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
+0.00%830.00B
Additional Paid-In Capital
+0.00%562.17B
+11.76%562.17B
+11.76%562.17B
+11.76%562.17B
+11.76%562.17B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+0.00%503.04B
+10372.33%503.04B
+10372.33%503.04B
Retained Earnings
+23.74%11.55T
+23.25%10.92T
+19.91%10.07T
+20.75%9.65T
+22.09%9.33T
+22.55%8.86T
+23.65%8.39T
+26.01%7.99T
+30.89%7.65T
+32.08%7.23T
+42.34%6.79T
+47.22%6.34T
+54.10%5.84T
+62.84%5.48T
+73.09%4.77T
+38.53%4.31T
+32.31%3.79T
+15.47%3.36T
+1.25%2.76T
+6.39%3.11T
Less: Treasury Stock
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
+0.00%19.97B
Other Equity Interests
+1.99%1.43T
+1.99%1.43T
-0.27%1.41T
-0.26%1.41T
-0.25%1.41T
-0.24%1.41T
+0.22%1.41T
+18.84%1.41T
+14.06%1.41T
+14.07%1.41T
+13.20%1.41T
-4.52%1.19T
-0.50%1.24T
-0.49%1.24T
-0.03%1.24T
-0.03%1.24T
-0.04%1.24T
-0.04%1.24T
-28.86%1.24T
-28.84%1.24T
Minority Interests
+16.44%3.35T
+17.57%3.23T
+13.13%3.06T
+16.05%2.94T
+15.02%2.88T
+13.87%2.75T
+14.32%2.70T
+25.43%2.53T
+36.38%2.50T
+49.08%2.41T
+57.60%2.36T
+45.37%2.02T
+42.70%1.83T
+33.86%1.62T
+32.27%1.50T
+17.50%1.39T
+10.99%1.29T
+5.40%1.21T
+1.40%1.13T
+3.94%1.18T
Deadline
Mar 31, 2026
Dec 31, 2025
Sep 30, 2025
Jun 30, 2025
Mar 31, 2025
Dec 31, 2024
Sep 30, 2024
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Sep 30, 2021
Jun 30, 2021
Accounting Standard
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2026/Q12025/Q42025/Q32025/Q22025/Q12024/Q42024/Q32024/Q22024/Q12023/Q42023/Q32023/Q22023/Q12022/Q42022/Q32022/Q22022/Q12021/Q42021/Q32021/Q2
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