Perspective Stories
What are the differences between TRC20 and ERC20? TRC20, a token standard on the Tron network, has features that are comparable to those of ERC20 on the Ethereum network. Knowing the differences will help you navigate the crypto space better.
over three months ago at Macroaxis By Aina Ster |
Analyzing basic indicators between Stryve Foods and JJSF allows us to compare the impact of market volatility on both companies' prices. It also helps determine if combining them in a portfolio can diversify market risk. Pair trading strategies can be utilized, matching a long position in JJSF with a short position in Stryve Foods.
over three months ago at Macroaxis By Ellen Johnson |
Analyzing key indicators for Ally Financial and Visa can help assess the impact of market volatility on both companies' stock prices. It can also determine if combining them in a portfolio can diversify market risk. Pair trading strategies can be utilized, such as matching a long position in Visa with a short position in Ally Financial.
over three months ago at Macroaxis By Vlad Skutelnik |
While getting a finance job is lucrative, the field remains extremely competitive. This is especially true if you just got a bachelor's degree but don't have real-world experience. Luckily, you can get a job in finance even in this case, especially if you have a plan and are ready to apply some effort. If you research the industry, you can stand out against the competition and find something that suits you.
over three months ago at Macroaxis By Aina Ster |
By comparing basic indicators between Coca Cola and Monster, we can examine the impact of market volatility on both companies' prices and assess if they can mitigate market risk when combined in a portfolio. Pair trading strategies can also be employed, such as matching a long position in Monster with a short position in Coca Cola. For more details, refer to our pair correlation module.
over three months ago at Macroaxis By Aina Ster |
They say the best investment on earth is earth itself, and SL Green Realty Corp., a titan in the REIT - Office industry, is a testament to this. With a robust current ratio of 3.08X and a total asset base of $9.53 billion, the company has demonstrated its financial stability and resilience. However, it's not all rosy; the company reported an operating income of $51.1 million, but a return on equity loss of 0.11, indicating some challenges in profitability.
over six months ago at Macroaxis By Raphi Shpitalnik |
In the world of biotech, risk and reward walk hand in hand. Summit Therapeutics PLC, a player in the healthcare sector, specifically biotechnology, has been under the investor's microscope for its financial performance. With an enterprise value of $7.6B, the company's financial health seems to be in a precarious position.
over six months ago at Macroaxis By Ellen Johnson |
Assure Holdings Corp, a player in the Medical Care Facilities industry, has been underperforming with a net income loss of 21.4M and a negative return on assets of -0.79. With a 52-week high of only 1.08 and a low of 0.2, it's clear that the company has been struggling. Its current valuation stands at 18.55M, and it has a negative revenue per share of -0.96.
over six months ago at Macroaxis By Nico Santiago |
In the world of biotechnology, risk and reward often walk hand in hand. This holds true for Neurosense Therapeutics (NRSN) and Terns Pharmaceuticals (TERN), two promising players in the industry. Despite the challenges, both companies have shown potential for growth and innovation.
over six months ago at Macroaxis By Raphi Shpitalnik |
In the world of investing, it's often said that the devil is in the details. This is particularly true when comparing two giants in the industrials sector, Ingersoll and Parker Hannifin. With a market capitalization of $70.8B, Parker Hannifin is a significant player in the machinery service category.
over six months ago at Macroaxis By Gabriel Shpitalnik |