Resolv Foundation: Mart oyidagi xavfsizlik hodisasi bo‘yicha to‘lovlar deyarli yakunlandi, kelgusida asosiy e’tibor Vault Street biznesiga qaratiladi
Foresight News xabariga ko'ra, Resolv Jamg'armasi 2026 yilning ikkinchi choragi hisobotini e'lon qildi. Hisobotga ko'ra, 22-martdagi xavfsizlik hodisasidan so'ng, jamg'arma barcha e'tiborini ta'sirlangan foydalanuvchilarga tovon to'lashga qaratdi va jami token taklifining 9% RESOLV kompensatsiyaga ajratilgan, shundan 70% ta'sirlangan RLP egalari o'rtasida taqsimlangan. Chorak oxiriga kelib, tegishli hisob-kitob ishlari deyarli yakunlangan yoki yakunlanish arafasida. Kompaniyaning ish ustuvorligi to'liq ravishda Vault Street biznesining rivojlanishiga o'tkaziladi.
Vault Street 2026 yil iyun oyida ishga tushirilgan bo'lib, uning asosiy mahsuloti primeUSD, investitsiya darajasidagi garovga asoslangan arbitraj strategiyasidan foydalanadi. Garov sifatida tokenlashtirilgan davlat obligatsiyalari USTB, JTRSY ishlatiladi va ushbu portfel Janus Henderson AAA CLO fondi JAAA'ga kengaytirilgan. Leveraj miqdori bosqichma-bosqich 10% dan 30% yuqori chegara sari oshiriladi, barcha pozitsiyalar Aave Horizon orqali leveraj bilan tashkil etiladi, mo'ljallangan sof yillik rentabellik 5% dan 8% gacha bo'lishi ko'zda tutilgan.
Mas'uliyatni rad etish: Ushbu maqolaning mazmuni faqat muallifning fikrini aks ettiradi va platformani hech qanday sifatda ifodalamaydi. Ushbu maqola investitsiya qarorlarini qabul qilish uchun ma'lumotnoma sifatida xizmat qilish uchun mo'ljallanmagan.
Sizga ham yoqishi mumkin
Citigroup: Samsung Q3 operatsion foydasi kutilganidan yuqori, yarimo'tkazgichlar biznesi tiklanish tendentsiyasi kuchli
Samsung Electronicsning uchinchi chorakdagi dastlabki operatsion foydasi 107.4 million Koreya voniga yetdi, ketma-ket chorakka nisbatan 20%ga, yillik nisbatan esa 782%ga oshdi. Citi ta'kidlashicha, natijalar portlashi asosiy haydovchi sifatida yarim o‘tkazgich biznesining kuchli tiklanishi, bu esa noqulay valyuta kurslari, bonus xarajatlari va mobil bo‘limning zararini qopladi. HBM4 ishlab chiqarilishining ko’payishi va ASPning sezilarli oshishi bilan Citi 2027-yil daromad elastikligiga ijobiy baho bermoqda va “buy” reytingini saqlamoqda.
Qayta ko‘rib chiqish - BUZZ - Oldindan ko‘rinish: PepsiCo har bir aksiya daromadini barqaror deb kutmoqda, investorlar iste'molchilar xarajatlariga e’tibor qaratmoqda
BUZZ report published on Wednesday was reprinted with no changes. October 8 - PepsiCo (PEP.O) shares fell 1.4% on Wednesday, closing at $124.02. The company will announce its quarterly financial results before the market opens on Thursday, and investors are closely watching whether tightening consumer budgets are causing pressure. According to data from London Stock Exchange Group (LSEG), Wall Street expects this carbonated beverage and snack giant's third-quarter revenue to increase about 4% year-on-year to $24.96 billions, with adjusted earnings per share (EPS) at $2.29, unchanged from a year ago. In the previous quarter, PEP's revenue exceeded expectations, but warned that due to tighter consumer budgets, business in North America would slow down. Facing cost pressures and the threat of GLP-1 weight-loss drugs, PepsiCo (PEP) has little time left to meet the growth and profit margin goals set after activist investor Elliott Management invested approximately $4 billions a year ago (link). Since the beginning of this year, PEP shares have fallen by about 14%, underperforming the S&P 500 Soft Drinks and Non-Alcoholic Beverage Index, which rose about 8% .SPLRCBEVS, and the S&P 500 Consumer Staples Index, which rose 6% .SPLRCS. The stock’s recent P/E ratio is 14 times, below its five-year average of 21 times. Of the 25 analysts’ recommendations: 7 suggest “strong buy” or “buy”, 17 suggest “hold”, and 1 recommends “sell”; the median target price is $152, down from $170 on July 7. (To facilitate non-English speakers, Reuters has automatically translated its reports into several other languages. Due to potential errors or the absence of required context in automated translation, Reuters does not guarantee the accuracy of these texts and provides them purely for convenience. Reuters accepts no responsibility for any damage or loss caused by the use of automated translation features.)
BUZZ-Jefferies AQShda kruiz sektori uchun ijobiy prognoz berdi; Royal Caribbean reyting ko‘tarilgani tufayli o‘sdi
8-oktabr – ** AQShning Royal Caribbean kruiz kompaniyasining (RCL.N) aksiyalari oldindan savdo bozorida 1.2%ga oshib, 285.85 dollarni tashkil etdi. ** Jefferies RCL reytingini "ushlab turish"dan "sotib olish"ga ko‘tardi; maqsad narxini 305 dollardan 330 dollarga oshirdi. ** Shu broker shuningdek, Lindblad Expeditions Holdings (LIND.O) kompaniyasining maqsad narxini 29 dollardan 32 dollarga oshirdi; kompaniya aksiyalari oldindan savdoda o‘zgarishsiz qoldi. ** "Biz kruiz sanoatining uzoq muddatli istiqbollari haqidagi optimistik nuqtai nazarga egamiz, chunki bu soha global ta’til bozorida ulushini uzluksiz kengaytirmoqda", — Jefferies. Broker ta’kidlashicha, kuchli daromad ko‘rsatkichlari sababli sohada sezilarli darajada yuqori o‘sish imkoniyati mavjud. "Shuningdek, biz 2027 moliyaviy yilidagi turli makroiqtisodiy sharoitlarda kruiz aksiyalari eng jozibali qiymat investitsiya tanlovi deb hisoblaymiz, yer usti sayohat mahsulotlari esa daromadga qo‘shimcha o‘sish olib keladi," — Jefferies qo‘shimcha qildi. So‘nggi savdo kunida RCL aksiyalari 1.2%ga oshdi, LIND esa joriy yil boshidan buyon 143%ga o‘sdi. (Oqibatlari uchun Reuters avtomatlashtirilgan tarjimani bir necha boshqa tillarga taqdim etdi. Avtomatik tarjimada xatolik yoki tegishli kontekst yetishmasligi mumkin, Reuters avtomatik tarjima matnining aniqligi uchun javobgar emas, bu funksiyani osonlik uchun taqdim etadi. Avtomatik tarjima funksiyasi natijasida yuzaga kelgan har qanday zarar yoki yo‘qotish uchun Reuters javobgar emas.)
Deutsche Bank: Investorlarning pozitsiyalaridagi o‘zgarishlar va kapital oqimlari
