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[Exclusive] Taejun Park Comics Company, which has raised 40 billion won in investment, seeks listing on KOSDAQ image text translation Park Tae-jun Co... https://en.imgtag.co.kr/issue/734017/?feed_id=1962877&_unique_id=67636a4d62610
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MBC’s current status while on the way to KOSDAQ goal.jpg image text translation iMBC 4,270 985 A... https://en.imgtag.co.kr/issue/716438/?feed_id=1924558&_unique_id=6756b56a08a78
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자본시장역사박물관 로비 / 문현
#korea_capital_market_museum's_lobby#korea_capital_market_museum#krx#korea_exchange#stock_exchange#capital#derivatives#kospi#kosdaq#kofex#old_korea_futures_exchange#munhyeon-dong#munhyeon#nam-gu#busan#busan_international_finance_center#bifc#securities
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#stock market#stock#investing#money#korea#cash#advance#earnin#investment#crypto#kospi#kosdaq#market#finance#analysis#fund#manager
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에코프로비엠 2023년 하반기 주가 전망 [유진투자증권]
에코프로비엠 영업이익 감소, 판가 하락 때문 에코프로비엠의 3분기 매출액과 영업이익은 각각 1.8조원, 459억원으로 전년 대비 매출액은 15% 증가했지만, 영업이익은 67% 감소했다. 이익 역성장의 주원인은 리튬 가격의 하락에 따른 양극재 판가 하락이다. 2022년 3분기 수산화리튬 평균 가격은 7만달러/톤이었는데, 올 3분기 평균 가격은 약 3.1만달러/톤이었다. 양극재 판가는 리튬 가격에 후행해서 정해진다. 올 3분기 국내 업체들의 NCM+NCA 양극재 수출 단가(달러기준)는 44,226 달러/톤으로 전년 동기 49,633달러 대비 11% 하락했다. 4분기에도 수출 단가는 지속적으로 하락하고 있는 상태이다. 트럼프 발작을 고려한 투자가 안전 당사를 비롯한 대부분의 예측 기관들은 트럼프의…
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[Shiba Inu Coin] Trading volume of 240 trillion won! Surpassed KOSPI and KOSDAQ! Last chance! Sweep it up!
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""""Escaped after taking written test for small and medium-sized enterprises"""" Test paper released.jpg image text translation SBS r02784 Let's... https://en.imgtag.co.kr/issue/725662/?feed_id=1946264&_unique_id=675cc9f1bf736
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$KOSDAQ: Kosdaq Index sees significant losses as South Korea faces a political crisis. Market stabilization efforts are under discussion.
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폴라리스AI, 중기 매물대 돌파 후 우상향 전망 Polaris AI (039980) Analysis: Breakthrough of... #폴라리스AI #AI주식 #중기매물대 #스윙매매 #기술적분석 #039980 #주식분석 #스윙트레이딩 #코스닥 #PolarisAI #AIStocks #SwingTrading #TechnicalAnalysis #uptrendstocks #StockAnalysis #KOSDAQ
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Bithumb, one of South Korea's premier cryptocurrency exchanges, is charting its course towards an initial public offering (IPO) on the Nasdaq stock exchange, targeting a listing in the latter half of 2025. This ambitious announcement was made during a recent shareholders' meeting, emphasizing the company's determination to become a publicly traded entity with Samsung Securities acting as its lead underwriter. The decision to pursue a Nasdaq listing is particularly strategic given the exchange's previous experience seeking a Kosdaq listing in 2020, which was ultimately abandoned due to regulatory uncertainties. The move to the U.S. market could provide a more favorable regulatory environment, particularly after observing the success of other cryptocurrency platforms like Coinbase, which has already made its mark on Nasdaq. Strategic Restructuring: The 60:40 Share Split Bithumb is not taking this IPO lightly; in fact, it has engineered a significant restructuring by implementing a 60:40 corporate share split. This strategic maneuver is designed to enable the exchange to sharpen its focus on core business operations. By spinning off non-essential activities, which include investments and real estate leasing, Bithumb aims to streamline its operations. The newly formed entity is set to operate under the names Bithumb Korea or Bithumb Investment, thereby allowing the main exchange to concentrate on its primary mission: facilitating cryptocurrency trading. The rationale behind this restructuring is grounded in the pressing need for Bithumb to bolster its IPO prospects amidst challenging financial circumstances. In the last fiscal year, the company reported an operating loss of $11 million, compounded by a sharp decline in revenue. These sobering figures highlight the urgency of the strategic realignment as the company braces for a competitive public market. Regulatory Landscape and Future Growth Prospects The South Korean cryptocurrency regulatory environment has proven to be stringent, a barrier that has thwarted other exchanges as well. Bithumb's pursuit of a U.S. listing reflects its desire for a regulatory climate that is not only more accommodating but also offers greater growth opportunities. As the global ambition of the crypto market continues to expand, many exchanges are actively seeking public offering venues that promise both liquidity and trust. The shift towards Nasdaq is indicative of a broader trend where cryptocurrencies are moving from fringes to the mainstream financial ecosystem. Bithumb envisions that listing on one of the world’s foremost stock exchanges could elevate its brand visibility, attract institutional investors, and provide it with the capital needed for expansion. A Portfolio Built for the Future While past financial struggles have created hurdles for Bithumb, the company remains optimistic about its prospects. This optimism is fueled by several factors, including the growing acceptance of cryptocurrencies worldwide and an increasing number of institutional investors entering the market. Furthermore, as decentralized finance (DeFi) projects and non-fungible tokens (NFTs) gain traction, Bithumb is positioned uniquely to leverage its established market presence and technological infrastructure. The pivot towards a Nasdaq listing is more than a simple financial strategy; it reflects Bithumb's commitment to redefining its role in the global cryptocurrency market and reinforcing its competitive stance. The company's proactive measures, including the establishment of the spinoff entity and the focus on core business, will play critical roles in its road to recovery and public market entry. Conclusion Bithumb's plan to list on Nasdaq by 2025 signifies a major step for the company and the South Korean cryptocurrency landscape at large. As the market continues to evolve, maintaining regulatory compliance and financial health will be paramount. If successful, this IPO could not only revitalize Bithumb but also serve as a benchmark for other exchanges contemplating similar trajectories.
The journey ahead will undoubtedly be challenging, filled with regulatory scrutiny and operational hurdles. However, with a strategic plan in place and a resilient mindset, Bithumb's vision of conspicuous public trading may soon come to fruition.
#News#SECBitcoinEthereumCryptocurrencyRegulations#BitcoinCryptocurrencyBlockchainInvestingMarketTrends#BitcoinCryptocurrencyInvestingETFsNasdaq#Bithumb#IPO
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What kind of political talk is this place full of? Let's stop talking about politics for a moment. image text translation KOSDAQ peaks at... https://en.imgtag.co.kr/issue/722344/?feed_id=1938581&_unique_id=675aa3e56fa65
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코스닥(KOSDAQ)의 뜻과 코스피(KOSPI)와의 차이점
코스닥의 뜻과 코스피와의 차이점 설명 코스닥(KOSDAQ)의 뜻과 코스피(KOSPI)와의 차이점 코스닥(KOSDAQ)은 중소·벤처기업의 자금 조달을 목적으로 1996년에 설립된 대한민국의 주식시장입니다. 코스닥은 미국의 나스닥(NASDAQ)을 모델로 개발되었으며, 혁신적인 중소기업과 벤처기업이 주로 상장되어 있어 코스피(KOSPI)와 차별화된 역할을 하고 있습니다. 코스닥과 코스피의 주요 차이점 1. 상장 요건 코스피는 대한민국을 대표하는 주식시장으로, 대규모 대기업 및 중견기업들이 상장됩니다. 예를 들어, 삼성전자와 LG화학과 같은 대기업이 코스피에 상장되어 있습니다. 상장 요건도 엄격하여 매출액, 이익, 자산 규모 등이 높은 기준을 만족해야 합니다. 2. 중소기업과 벤처기업의 중심 코스닥 반면,…
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자본시장역사박물관 / 문현
#stock_exchange#krx#korea_capital_market_museum#capital#korea_exchange#derivatives#munhyeon#munhyeon-dong#nam-gu#busan#old_korea_futures_exchange#kofex#kospi#kosdaq#busan_international_finance_center#bifc#securities
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Mr.10% Story 1
◼︎ Savings-like Stock Investment
The core of Mr.10% is an algorithm that safely and consistently generates a 10% return.
Doesn't sound like a big deal to earn 10% consistently?
Below are the annual average returns of famous investors worldwide. Of course, these individuals sometimes make huge profits by chance, but they also make big losses due to mistakes, resulting in the following average returns.
➢ James Simons
* Main Fund: Medallion Fund, Investment period 1988-2018
* Annual average return: 39.1%
➢ George Soros
* Main Fund: Quantum Fund, Investment period 1969-2000
* Annual average return: 32%
➢ Warren Buffett
* Berkshire Hathaway, Investment period 1965-2018
* Annual average return: 20.5%
➢ Ray Dalio
* Pure Alpha, Investment period 1991-2018
* Annual average return: 12%
Contrary to imagination, making a huge fortune in stocks is just luck.
Even if you earn more than 200% by chance, human psychology becomes greedier, and you take riskier investments to make the same profit again.
Eventually, the annual average return records a loss, becomes addicted to stocks, can't forget the hit-and-run mindset, and typically ends up in debt.
Of course, at our Mr.10% K, we also recommend stocks whose profits exceed 100%, but that is occasional luck and fortune. You cannot succeed in investment by aligning your goals with hit-and-run or chance.
If I take Korea for an example, 92% of individual investors ultimately lose money without making even 1% profit annually.
Our service aims to prevent investors from losing their hard-earned money by being swept up in theme stocks or short-term surging stocks.
Being swept away here is the key point. Stocks are like drugs; if there's an opportunity to make big money, basic rationality gets paralyzed, leading to risky adventures.
And I also know that it's quite ordinary for people to see their stock profits drop to -80%.
Mr.10% is an algorithm that calculates the probability of earning a safe, over 10% return on [savings-like stocks] without any emotional influence. And some stocks with over an 80% probability later become theme or surging stocks.
Of course, Mr.10% does not guarantee a 10% return with 100% probability.
Wouldn't you like to walk the path of safe and meaningful investment with us at Mr.10% K?
► Download Mr.10% K app now
#stock market#stock#investing#money#korea#cash#advance#earnin#investment#crypto#kospi#kosdaq#market#finance#analysis#fund#manager#startup
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Naver 카카오 하반기 주가 전망 [유안타증권]
Naver 2Q23 Preview 매출액 2조 4,598억원(YoY +20.2%), 영업이익 3,650억원(YoY +8.6%) 시장 기대치 부합 전망. 검색 점유율 하락 우려와 무관하게 비즈니스 쿼리 수 견조, 매출 견조, 2분기 광고 성수기. 전분기 대비 광고, 커머스 매출 증가 예상. 포쉬마크 4월 시작된 라이브커머스 ‘POSH SHOWS’ 연환산 거래액 1조원 수준(21년 거래액 18억불)까지 증가 중. 일본 라인 망가 거래액 증가. 스노우 AI 필터 매출 증가 등 컨텐츠 매출 증가 전망 하반기 전망 포쉬마크 거래액 증가, 본격적인 광고 시작으로 실적 턴어라운드 기대. 커머스 브랜드 스토어, 크림, 라이브스토어 등 높은 Take Rate 상품 고성장, 도착 보장 상품, AI 추천 등 하반기…
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Stocks to Watch September 12, 2024: Tata Steel, Adani Ports, BPCL, and More in Focus
Stocks to Watch September 12, 2024
Indian benchmark equity indices आज सकारात्मक शुरुआत के लिए तैयार हैं, जिसे Wall Street के मजबूत overnight प्रदर्शन से प्रेरित किया गया है, जहाँ तीनों प्रमुख U.S. indices ऊंचे बंद हुए। सुबह 6:50 बजे, GIFT Nifty index 25,100 पर ट्रेड कर रहा था, जो Nifty futures के पिछले बंद स्तर से 150 पॉइंट आगे था।Global Market Overview Asia-Pacific क्षेत्र के Markets ने गुरुवार को ऊँचाई पर शुरुआत की, जो Wall Street की सकारात्मक गति को दर्शाता है, जिसने U.S. inflation data से प्रभावित एक volatile session के बाद रैली की।Japan में, Nikkei 225 3% बढ़ा, जबकि broader Topix index 2.48% चढ़ा। South Korea का Kospi 1.2% ऊँचा खुला, जबकि small-cap Kosdaq 2.5% बढ़ा। Australia का S&P/ASX 200 0.6% बढ़ा, और Hong Kong का Hang Seng index futures 17,194 पर positive शुरुआत का संकेत दे रहा था, जो HSI के पिछले बंद 17,108.71 से ऊपर था।हालांकि, China का CSI 300 futures थोड़ी गिरावट दिखा रहा था, जो 3,181.6 पर ट्रेड कर रहा था, बुधवार के बंद स्तर 3,186.13 से थोड़ा नीचे।Overnight Gains in the U.S. U.S. stock markets ने broad-based gains देखे, S&P 500 1.07% चढ़ा, जबकि tech-heavy Nasdaq Composite 2.17% की रैली पर रहा, और Dow Jones Industrial Average 0.31% बढ़ा। निवेशकों का रवैया सकारात्मक रहा, हालांकि inflation data के कारण session में कुछ volatility आई थी।Stocks in Focus Today- Tata Steel: कंपनी ने UK सरकार से अपने Port Talbot facility में green steel project के लिए £500 मिलियन का अनुदान हासिल किया है। यह पहल electric arc furnace (EAF) की स्थापना को फंड करेगी, जो Tata Steel को अधिक sustainable steelmaking प्रक्रियाओं की ओर ले जाएगी। - Adani Ports and Special Economic Zone (APSEZ): APSEZ ने अपनी subsidiary DPA Container and Clean Cargo Terminal Limited (DPACCCTL) के माध्यम से Kandla के Deendayal Port में Berth No. 13 के विकास के लिए concession agreement हासिल किया है। यह multi-purpose berth, जो clean cargo और container shipments को संभालेगा, FY27 तक operational होने की उम्मीद है। - Bharat Petroleum Corporation (BPCL): BPCL की subsidiary Urja Bharat Pte Limited (UBPL) ने Abu Dhabi में 6,162 वर्ग किलोमीटर का production concession जीता है। यह क्षेत्र conventional oil और gas resources से समृद्ध है, जो BPCL के global portfolio को और मजबूत करेगा। - Auto Stocks: Union Cabinet ने दो नई पहलें—PM Electric Drive Revolution in Innovative Vehicle Enhancement (PM E-DRIVE) और PM-eBus Sewa-Payment Security Mechanism (PSM)—मंजूर की हैं, जिनकी कुल लागत ₹14,335 करोड़ है। इन योजनाओं का उद्देश्य electric vehicles (EVs), जिनमें buses, ambulances, और trucks शामिल हैं, के उपयोग को बढ़ावा देना है। नतीजतन, EV उत्पादन में शामिल auto manufacturing कंपनियों में निवेशकों की रुचि बढ़ने की संभावना है। - Vedanta: Vedanta ने $900 मिलियन U.S. dollar bond issue के माध्यम से जुटाए हैं, जो 10.875% coupon rate के बावजूद oversubscribed रहा। इस राशि का उपयोग existing debt को prepay करने के लिए किया जाएगा, जो कंपनी में निवेशकों के मजबूत विश्वास को दर्शाता है। - Route Mobile: Route Mobile के प्रमोटर Proximus Opal ने 38 लाख shares (6.03% equity) को September 12 और 13 को Offer for Sale (OFS) के माध्यम से बेचने की योजना बनाई है। OFS के लिए floor price ₹1,635 प्रति share तय किया गया है। यह offer आज non-retail investors के लिए खुला है, जबकि retail investors को कल access मिलेगा।Conclusion देशीय और अंतर्राष्ट्रीय markets से सकारात्मक संकेतों के साथ, आज भारतीय equities के ऊँचा ट्रेड करने की उम्मीद है। Tata Steel, Adani Ports, BPCL और Vedanta जैसी कंपनियों में प्रमुख विकास और auto industry में sectoral movements को निवेशक ध्यान से देखेंगे।Also Read:Jio Financial’s Bold Step with BlackRock: Could This Be the Investment Opportunity of the Year 2024? Read the full article
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