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Sequoia Financial Group Ltd (SEQ)

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  • 0.150
  • -0.015-9.09%
20min DelayClosing Auction Session May 13 15:33 AET
18.39MMarket Cap5.77P/E (Static)

Sequoia Financial Group Ltd (SEQ) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-7.16%20.4M
-7.16%20.4M
101.81%21.97M
101.81%21.97M
-71.50%10.89M
-71.50%10.89M
4.82%38.2M
4.82%38.2M
55.69%36.44M
55.69%36.44M
-Cash and cash equivalents
-74.16%4.35M
-74.16%4.35M
79.21%16.83M
79.21%16.83M
-74.34%9.39M
-74.34%9.39M
5.67%36.61M
5.67%36.61M
50.87%34.64M
50.87%34.64M
-Short term investments
212.31%16.05M
212.31%16.05M
243.82%5.14M
243.82%5.14M
-5.95%1.49M
-5.95%1.49M
-11.59%1.59M
-11.59%1.59M
305.05%1.8M
305.05%1.8M
Receivables
-22.37%6.92M
-22.37%6.92M
-4.26%8.91M
-4.26%8.91M
-70.25%9.31M
-70.25%9.31M
-4.74%31.3M
-4.74%31.3M
168.23%32.86M
168.23%32.86M
-Accounts receivable
-45.53%1.79M
-45.53%1.79M
111.25%3.28M
111.25%3.28M
-13.12%1.55M
-13.12%1.55M
52.79%1.79M
52.79%1.79M
44.68%1.17M
44.68%1.17M
-Other receivables
-7.55%5.21M
-7.55%5.21M
-27.66%5.64M
-27.66%5.64M
-73.63%7.79M
-73.63%7.79M
-6.86%29.54M
-6.86%29.54M
175.77%31.71M
175.77%31.71M
-Recievables adjustments allowances
---75K
---75K
----
----
-52.25%-30.45K
-52.25%-30.45K
1.23%-20K
1.23%-20K
64.47%-20.25K
64.47%-20.25K
Inventory
----
----
----
----
----
----
-18.14%30.5K
-18.14%30.5K
441.95%37.26K
441.95%37.26K
Prepaid assets
35.49%1.24M
35.49%1.24M
-14.53%918.6K
-14.53%918.6K
26.64%1.07M
26.64%1.07M
-3.70%848.73K
-3.70%848.73K
0.41%881.33K
0.41%881.33K
Hedging assets-current
-69.25%440.23K
-69.25%440.23K
-41.84%1.43M
-41.84%1.43M
-25.77%2.46M
-25.77%2.46M
-63.96%3.32M
-63.96%3.32M
214.27%9.2M
214.27%9.2M
Holding assets for sale
----
----
-94.30%2.44M
-94.30%2.44M
--42.86M
--42.86M
----
----
----
----
Other current assets
121.79%5.48M
121.79%5.48M
-88.45%2.47M
-88.45%2.47M
221.33%21.4M
221.33%21.4M
-14.59%6.66M
-14.59%6.66M
-17.44%7.8M
-17.44%7.8M
Total current assets
-9.61%34.49M
-9.61%34.49M
-56.64%38.15M
-56.64%38.15M
9.51%88M
9.51%88M
-7.87%80.35M
-7.87%80.35M
78.31%87.22M
78.31%87.22M
Non current assets
Net PPE
491.80%3.54M
491.80%3.54M
-75.88%598.71K
-75.88%598.71K
-18.27%2.48M
-18.27%2.48M
-17.14%3.04M
-17.14%3.04M
-18.14%3.67M
-18.14%3.67M
-Gross PPE
491.80%3.54M
491.80%3.54M
-93.10%598.71K
-93.10%598.71K
-24.87%8.67M
-24.87%8.67M
5.29%11.54M
5.29%11.54M
14.05%10.96M
14.05%10.96M
-Accumulated depreciation
----
----
----
----
27.22%-6.19M
27.22%-6.19M
-16.57%-8.5M
-16.57%-8.5M
-42.13%-7.3M
-42.13%-7.3M
Investments and advances
0.41%10.7M
0.41%10.7M
1,716.38%10.65M
1,716.38%10.65M
646.78%586.58K
646.78%586.58K
-30.84%78.55K
-30.84%78.55K
2.73%113.57K
2.73%113.57K
-Long term equity investment
0.41%10.7M
0.41%10.7M
--10.65M
--10.65M
----
----
-68.30%16.25K
-68.30%16.25K
--51.25K
--51.25K
-Other investment
----
----
1,716.38%10.65M
1,716.38%10.65M
841.51%586.58K
841.51%586.58K
-0.03%62.3K
-0.03%62.3K
-43.62%62.32K
-43.62%62.32K
Financial assets
269.30%4.59M
269.30%4.59M
-26.73%1.24M
-26.73%1.24M
-75.91%1.69M
-75.91%1.69M
-46.19%7.04M
-46.19%7.04M
34.85%13.07M
34.85%13.07M
Goodwill and other intangible assets
-36.98%15.78M
-36.98%15.78M
-21.71%25.04M
-21.71%25.04M
-10.30%31.98M
-10.30%31.98M
26.25%35.65M
26.25%35.65M
16.14%28.24M
16.14%28.24M
-Goodwill
-44.54%5.76M
-44.54%5.76M
-38.08%10.38M
-38.08%10.38M
-4.52%16.76M
-4.52%16.76M
57.13%17.56M
57.13%17.56M
3.24%11.17M
3.24%11.17M
-Other intangible assets
-31.63%10.02M
-31.63%10.02M
-3.68%14.66M
-3.68%14.66M
-15.91%15.22M
-15.91%15.22M
6.03%18.1M
6.03%18.1M
26.48%17.07M
26.48%17.07M
Non current deferred assets
5.60%2.87M
5.60%2.87M
-72.79%2.71M
-72.79%2.71M
66.25%9.98M
66.25%9.98M
-0.93%6M
-0.93%6M
-16.66%6.06M
-16.66%6.06M
Other non current assets
9.31%1.08M
9.31%1.08M
-3.04%987.86K
-3.04%987.86K
-71.21%1.02M
-71.21%1.02M
-12.43%3.54M
-12.43%3.54M
-37.83%4.04M
-37.83%4.04M
Total non current assets
-6.51%38.55M
-6.51%38.55M
-13.62%41.24M
-13.62%41.24M
-13.74%47.74M
-13.74%47.74M
0.27%55.34M
0.27%55.34M
5.39%55.19M
5.39%55.19M
Total assets
-8.00%73.04M
-8.00%73.04M
-41.51%79.39M
-41.51%79.39M
0.03%135.74M
0.03%135.74M
-4.71%135.7M
-4.71%135.7M
40.61%142.41M
40.61%142.41M
Liabilities
Current liabilities
Current debt and capital lease obligation
317.39%1.6M
317.39%1.6M
-74.20%383.43K
-74.20%383.43K
5.99%1.49M
5.99%1.49M
27.14%1.4M
27.14%1.4M
-18.00%1.1M
-18.00%1.1M
-Current debt
--809K
--809K
----
----
0.98%495.59K
0.98%495.59K
54.70%490.78K
54.70%490.78K
-52.11%317.25K
-52.11%317.25K
-Current capital lease obligation
106.41%791.43K
106.41%791.43K
-61.28%383.43K
-61.28%383.43K
8.68%990.34K
8.68%990.34K
16.01%911.23K
16.01%911.23K
15.11%785.5K
15.11%785.5K
Payables
-2.03%6.67M
-2.03%6.67M
-80.60%6.81M
-80.60%6.81M
-27.50%35.1M
-27.50%35.1M
-5.13%48.41M
-5.13%48.41M
128.01%51.03M
128.01%51.03M
-accounts payable
9.65%607.09K
9.65%607.09K
-70.48%553.68K
-70.48%553.68K
-95.43%1.88M
-95.43%1.88M
-8.65%41.07M
-8.65%41.07M
6,409.19%44.96M
6,409.19%44.96M
-Other payable
-3.06%6.07M
-3.06%6.07M
-81.17%6.26M
-81.17%6.26M
352.63%33.22M
352.63%33.22M
21.00%7.34M
21.00%7.34M
-72.03%6.07M
-72.03%6.07M
Current provisions
-69.25%440.23K
-69.25%440.23K
-41.84%1.43M
-41.84%1.43M
-25.77%2.46M
-25.77%2.46M
-63.96%3.32M
-63.96%3.32M
214.27%9.2M
214.27%9.2M
Pension and other retirement benefit plans
-14.26%934.44K
-14.26%934.44K
-20.36%1.09M
-20.36%1.09M
-26.80%1.37M
-26.80%1.37M
28.60%1.87M
28.60%1.87M
99.82%1.45M
99.82%1.45M
Current deferred liabilities
-14.54%3.21M
-14.54%3.21M
-65.88%3.75M
-65.88%3.75M
14.81%10.99M
14.81%10.99M
-19.89%9.57M
-19.89%9.57M
-12.11%11.95M
-12.11%11.95M
Other current liabilities
-90.05%450K
-90.05%450K
-86.19%4.52M
-86.19%4.52M
942.58%32.74M
942.58%32.74M
124.30%3.14M
124.30%3.14M
46.18%1.4M
46.18%1.4M
Current liabilities
-26.04%13.3M
-26.04%13.3M
-78.62%17.99M
-78.62%17.99M
24.27%84.15M
24.27%84.15M
-11.07%67.71M
-11.07%67.71M
81.56%76.14M
81.56%76.14M
Non current liabilities
Long term debt and capital lease obligation
637.86%2.37M
637.86%2.37M
-88.09%321.21K
-88.09%321.21K
76.83%2.7M
76.83%2.7M
-30.46%1.53M
-30.46%1.53M
-25.63%2.19M
-25.63%2.19M
-Long term debt
----
----
----
----
--1.75M
--1.75M
----
----
----
----
-Long term capital lease obligation
637.86%2.37M
637.86%2.37M
-66.11%321.21K
-66.11%321.21K
-37.87%947.9K
-37.87%947.9K
-30.46%1.53M
-30.46%1.53M
-25.63%2.19M
-25.63%2.19M
Derivative product liabilities
269.30%4.59M
269.30%4.59M
-26.73%1.24M
-26.73%1.24M
-75.91%1.69M
-75.91%1.69M
-46.19%7.04M
-46.19%7.04M
34.85%13.07M
34.85%13.07M
Employee benefits
6.55%120.38K
6.55%120.38K
-18.54%112.98K
-18.54%112.98K
-11.07%138.68K
-11.07%138.68K
-45.98%155.95K
-45.98%155.95K
192.08%288.69K
192.08%288.69K
Non current deferred liabilities
60.47%4.17M
60.47%4.17M
-35.25%2.6M
-35.25%2.6M
-50.69%4.02M
-50.69%4.02M
-0.33%8.15M
-0.33%8.15M
-36.55%8.17M
-36.55%8.17M
Other non current liabilities
----
----
--450K
--450K
----
----
92.92%2.75M
92.92%2.75M
196.96%1.42M
196.96%1.42M
Total non current liabilities
138.00%11.25M
138.00%11.25M
-44.70%4.73M
-44.70%4.73M
-56.41%8.55M
-56.41%8.55M
-22.04%19.61M
-22.04%19.61M
-3.64%25.15M
-3.64%25.15M
Total liabilities
8.10%24.55M
8.10%24.55M
-75.50%22.71M
-75.50%22.71M
6.15%92.69M
6.15%92.69M
-13.79%87.32M
-13.79%87.32M
48.87%101.29M
48.87%101.29M
Shareholders'equity
Share capital
-5.24%48.89M
-5.24%48.89M
-4.22%51.59M
-4.22%51.59M
-1.14%53.87M
-1.14%53.87M
5.76%54.49M
5.76%54.49M
6.24%51.52M
6.24%51.52M
-common stock
-5.24%48.89M
-5.24%48.89M
-4.22%51.59M
-4.22%51.59M
-1.14%53.87M
-1.14%53.87M
5.76%54.49M
5.76%54.49M
6.24%51.52M
6.24%51.52M
Retained earnings
-120.98%-950.86K
-120.98%-950.86K
138.96%4.53M
138.96%4.53M
-70.28%-11.64M
-70.28%-11.64M
38.83%-6.83M
38.83%-6.83M
28.81%-11.17M
28.81%-11.17M
Gains losses not affecting retained earnings
0.00%548.12K
0.00%548.12K
-32.33%548.12K
-32.33%548.12K
12.90%810.03K
12.90%810.03K
-6.24%717.47K
-6.24%717.47K
76.09%765.22K
76.09%765.22K
Total stockholders'equity
-14.45%48.49M
-14.45%48.49M
31.67%56.68M
31.67%56.68M
-11.02%43.04M
-11.02%43.04M
17.65%48.38M
17.65%48.38M
23.70%41.12M
23.70%41.12M
Total equity
-14.45%48.49M
-14.45%48.49M
31.67%56.68M
31.67%56.68M
-11.02%43.04M
-11.02%43.04M
17.65%48.38M
17.65%48.38M
23.70%41.12M
23.70%41.12M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2025(Q4)Jun 30, 2025(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -7.16%20.4M-7.16%20.4M101.81%21.97M101.81%21.97M-71.50%10.89M-71.50%10.89M4.82%38.2M4.82%38.2M55.69%36.44M55.69%36.44M
-Cash and cash equivalents -74.16%4.35M-74.16%4.35M79.21%16.83M79.21%16.83M-74.34%9.39M-74.34%9.39M5.67%36.61M5.67%36.61M50.87%34.64M50.87%34.64M
-Short term investments 212.31%16.05M212.31%16.05M243.82%5.14M243.82%5.14M-5.95%1.49M-5.95%1.49M-11.59%1.59M-11.59%1.59M305.05%1.8M305.05%1.8M
Receivables -22.37%6.92M-22.37%6.92M-4.26%8.91M-4.26%8.91M-70.25%9.31M-70.25%9.31M-4.74%31.3M-4.74%31.3M168.23%32.86M168.23%32.86M
-Accounts receivable -45.53%1.79M-45.53%1.79M111.25%3.28M111.25%3.28M-13.12%1.55M-13.12%1.55M52.79%1.79M52.79%1.79M44.68%1.17M44.68%1.17M
-Other receivables -7.55%5.21M-7.55%5.21M-27.66%5.64M-27.66%5.64M-73.63%7.79M-73.63%7.79M-6.86%29.54M-6.86%29.54M175.77%31.71M175.77%31.71M
-Recievables adjustments allowances ---75K---75K---------52.25%-30.45K-52.25%-30.45K1.23%-20K1.23%-20K64.47%-20.25K64.47%-20.25K
Inventory -------------------------18.14%30.5K-18.14%30.5K441.95%37.26K441.95%37.26K
Prepaid assets 35.49%1.24M35.49%1.24M-14.53%918.6K-14.53%918.6K26.64%1.07M26.64%1.07M-3.70%848.73K-3.70%848.73K0.41%881.33K0.41%881.33K
Hedging assets-current -69.25%440.23K-69.25%440.23K-41.84%1.43M-41.84%1.43M-25.77%2.46M-25.77%2.46M-63.96%3.32M-63.96%3.32M214.27%9.2M214.27%9.2M
Holding assets for sale ---------94.30%2.44M-94.30%2.44M--42.86M--42.86M----------------
Other current assets 121.79%5.48M121.79%5.48M-88.45%2.47M-88.45%2.47M221.33%21.4M221.33%21.4M-14.59%6.66M-14.59%6.66M-17.44%7.8M-17.44%7.8M
Total current assets -9.61%34.49M-9.61%34.49M-56.64%38.15M-56.64%38.15M9.51%88M9.51%88M-7.87%80.35M-7.87%80.35M78.31%87.22M78.31%87.22M
Non current assets
Net PPE 491.80%3.54M491.80%3.54M-75.88%598.71K-75.88%598.71K-18.27%2.48M-18.27%2.48M-17.14%3.04M-17.14%3.04M-18.14%3.67M-18.14%3.67M
-Gross PPE 491.80%3.54M491.80%3.54M-93.10%598.71K-93.10%598.71K-24.87%8.67M-24.87%8.67M5.29%11.54M5.29%11.54M14.05%10.96M14.05%10.96M
-Accumulated depreciation ----------------27.22%-6.19M27.22%-6.19M-16.57%-8.5M-16.57%-8.5M-42.13%-7.3M-42.13%-7.3M
Investments and advances 0.41%10.7M0.41%10.7M1,716.38%10.65M1,716.38%10.65M646.78%586.58K646.78%586.58K-30.84%78.55K-30.84%78.55K2.73%113.57K2.73%113.57K
-Long term equity investment 0.41%10.7M0.41%10.7M--10.65M--10.65M---------68.30%16.25K-68.30%16.25K--51.25K--51.25K
-Other investment --------1,716.38%10.65M1,716.38%10.65M841.51%586.58K841.51%586.58K-0.03%62.3K-0.03%62.3K-43.62%62.32K-43.62%62.32K
Financial assets 269.30%4.59M269.30%4.59M-26.73%1.24M-26.73%1.24M-75.91%1.69M-75.91%1.69M-46.19%7.04M-46.19%7.04M34.85%13.07M34.85%13.07M
Goodwill and other intangible assets -36.98%15.78M-36.98%15.78M-21.71%25.04M-21.71%25.04M-10.30%31.98M-10.30%31.98M26.25%35.65M26.25%35.65M16.14%28.24M16.14%28.24M
-Goodwill -44.54%5.76M-44.54%5.76M-38.08%10.38M-38.08%10.38M-4.52%16.76M-4.52%16.76M57.13%17.56M57.13%17.56M3.24%11.17M3.24%11.17M
-Other intangible assets -31.63%10.02M-31.63%10.02M-3.68%14.66M-3.68%14.66M-15.91%15.22M-15.91%15.22M6.03%18.1M6.03%18.1M26.48%17.07M26.48%17.07M
Non current deferred assets 5.60%2.87M5.60%2.87M-72.79%2.71M-72.79%2.71M66.25%9.98M66.25%9.98M-0.93%6M-0.93%6M-16.66%6.06M-16.66%6.06M
Other non current assets 9.31%1.08M9.31%1.08M-3.04%987.86K-3.04%987.86K-71.21%1.02M-71.21%1.02M-12.43%3.54M-12.43%3.54M-37.83%4.04M-37.83%4.04M
Total non current assets -6.51%38.55M-6.51%38.55M-13.62%41.24M-13.62%41.24M-13.74%47.74M-13.74%47.74M0.27%55.34M0.27%55.34M5.39%55.19M5.39%55.19M
Total assets -8.00%73.04M-8.00%73.04M-41.51%79.39M-41.51%79.39M0.03%135.74M0.03%135.74M-4.71%135.7M-4.71%135.7M40.61%142.41M40.61%142.41M
Liabilities
Current liabilities
Current debt and capital lease obligation 317.39%1.6M317.39%1.6M-74.20%383.43K-74.20%383.43K5.99%1.49M5.99%1.49M27.14%1.4M27.14%1.4M-18.00%1.1M-18.00%1.1M
-Current debt --809K--809K--------0.98%495.59K0.98%495.59K54.70%490.78K54.70%490.78K-52.11%317.25K-52.11%317.25K
-Current capital lease obligation 106.41%791.43K106.41%791.43K-61.28%383.43K-61.28%383.43K8.68%990.34K8.68%990.34K16.01%911.23K16.01%911.23K15.11%785.5K15.11%785.5K
Payables -2.03%6.67M-2.03%6.67M-80.60%6.81M-80.60%6.81M-27.50%35.1M-27.50%35.1M-5.13%48.41M-5.13%48.41M128.01%51.03M128.01%51.03M
-accounts payable 9.65%607.09K9.65%607.09K-70.48%553.68K-70.48%553.68K-95.43%1.88M-95.43%1.88M-8.65%41.07M-8.65%41.07M6,409.19%44.96M6,409.19%44.96M
-Other payable -3.06%6.07M-3.06%6.07M-81.17%6.26M-81.17%6.26M352.63%33.22M352.63%33.22M21.00%7.34M21.00%7.34M-72.03%6.07M-72.03%6.07M
Current provisions -69.25%440.23K-69.25%440.23K-41.84%1.43M-41.84%1.43M-25.77%2.46M-25.77%2.46M-63.96%3.32M-63.96%3.32M214.27%9.2M214.27%9.2M
Pension and other retirement benefit plans -14.26%934.44K-14.26%934.44K-20.36%1.09M-20.36%1.09M-26.80%1.37M-26.80%1.37M28.60%1.87M28.60%1.87M99.82%1.45M99.82%1.45M
Current deferred liabilities -14.54%3.21M-14.54%3.21M-65.88%3.75M-65.88%3.75M14.81%10.99M14.81%10.99M-19.89%9.57M-19.89%9.57M-12.11%11.95M-12.11%11.95M
Other current liabilities -90.05%450K-90.05%450K-86.19%4.52M-86.19%4.52M942.58%32.74M942.58%32.74M124.30%3.14M124.30%3.14M46.18%1.4M46.18%1.4M
Current liabilities -26.04%13.3M-26.04%13.3M-78.62%17.99M-78.62%17.99M24.27%84.15M24.27%84.15M-11.07%67.71M-11.07%67.71M81.56%76.14M81.56%76.14M
Non current liabilities
Long term debt and capital lease obligation 637.86%2.37M637.86%2.37M-88.09%321.21K-88.09%321.21K76.83%2.7M76.83%2.7M-30.46%1.53M-30.46%1.53M-25.63%2.19M-25.63%2.19M
-Long term debt ------------------1.75M--1.75M----------------
-Long term capital lease obligation 637.86%2.37M637.86%2.37M-66.11%321.21K-66.11%321.21K-37.87%947.9K-37.87%947.9K-30.46%1.53M-30.46%1.53M-25.63%2.19M-25.63%2.19M
Derivative product liabilities 269.30%4.59M269.30%4.59M-26.73%1.24M-26.73%1.24M-75.91%1.69M-75.91%1.69M-46.19%7.04M-46.19%7.04M34.85%13.07M34.85%13.07M
Employee benefits 6.55%120.38K6.55%120.38K-18.54%112.98K-18.54%112.98K-11.07%138.68K-11.07%138.68K-45.98%155.95K-45.98%155.95K192.08%288.69K192.08%288.69K
Non current deferred liabilities 60.47%4.17M60.47%4.17M-35.25%2.6M-35.25%2.6M-50.69%4.02M-50.69%4.02M-0.33%8.15M-0.33%8.15M-36.55%8.17M-36.55%8.17M
Other non current liabilities ----------450K--450K--------92.92%2.75M92.92%2.75M196.96%1.42M196.96%1.42M
Total non current liabilities 138.00%11.25M138.00%11.25M-44.70%4.73M-44.70%4.73M-56.41%8.55M-56.41%8.55M-22.04%19.61M-22.04%19.61M-3.64%25.15M-3.64%25.15M
Total liabilities 8.10%24.55M8.10%24.55M-75.50%22.71M-75.50%22.71M6.15%92.69M6.15%92.69M-13.79%87.32M-13.79%87.32M48.87%101.29M48.87%101.29M
Shareholders'equity
Share capital -5.24%48.89M-5.24%48.89M-4.22%51.59M-4.22%51.59M-1.14%53.87M-1.14%53.87M5.76%54.49M5.76%54.49M6.24%51.52M6.24%51.52M
-common stock -5.24%48.89M-5.24%48.89M-4.22%51.59M-4.22%51.59M-1.14%53.87M-1.14%53.87M5.76%54.49M5.76%54.49M6.24%51.52M6.24%51.52M
Retained earnings -120.98%-950.86K-120.98%-950.86K138.96%4.53M138.96%4.53M-70.28%-11.64M-70.28%-11.64M38.83%-6.83M38.83%-6.83M28.81%-11.17M28.81%-11.17M
Gains losses not affecting retained earnings 0.00%548.12K0.00%548.12K-32.33%548.12K-32.33%548.12K12.90%810.03K12.90%810.03K-6.24%717.47K-6.24%717.47K76.09%765.22K76.09%765.22K
Total stockholders'equity -14.45%48.49M-14.45%48.49M31.67%56.68M31.67%56.68M-11.02%43.04M-11.02%43.04M17.65%48.38M17.65%48.38M23.70%41.12M23.70%41.12M
Total equity -14.45%48.49M-14.45%48.49M31.67%56.68M31.67%56.68M-11.02%43.04M-11.02%43.04M17.65%48.38M17.65%48.38M23.70%41.12M23.70%41.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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