US Stock MarketDetailed Quotes

RWT Redwood Trust Inc

Watchlist
  • 6.210
  • -0.010-0.16%
Trading Apr 30 14:36 ET
825.82MMarket Cap19.41P/E (TTM)

Redwood Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold
-15.15%312.93M
-15.15%312.93M
25.51%325.97M
-24.05%339.38M
-30.60%340.39M
11.97%368.79M
11.97%368.79M
-29.63%259.72M
0.67%446.84M
1.59%490.49M
-Cash and cash equivalents
-16.36%245.17M
-16.36%245.17M
24.58%253.67M
-22.87%275.58M
-31.91%275.39M
13.21%293.1M
13.21%293.1M
-31.46%203.62M
-3.77%357.31M
-1.18%404.45M
-Restricted cash and investments
-10.47%67.76M
-10.47%67.76M
28.86%72.29M
-28.74%63.8M
-24.46%64.99M
7.40%75.68M
7.40%75.68M
-22.08%56.1M
23.40%89.53M
16.98%86.04M
Receivables
26.00%213.94M
26.00%213.94M
80.11%197.7M
41.48%164.15M
18.96%150.95M
48.01%169.79M
48.01%169.79M
-12.70%109.77M
11.90%116.03M
10.16%126.9M
-Accounts receivable
67.70%115.83M
67.70%115.83M
69.57%103.04M
44.55%92.02M
29.47%79.49M
13.43%69.07M
13.43%69.07M
10.59%60.76M
24.81%63.66M
26.03%61.4M
-Other receivables
-2.59%98.11M
-2.59%98.11M
93.17%94.67M
37.74%72.13M
9.10%71.46M
87.12%100.72M
87.12%100.72M
-30.77%49.01M
-0.60%52.37M
-1.47%65.5M
Net loan
25.91%16.68B
25.91%16.68B
41.60%16.92B
30.84%15.09B
17.79%13.78B
12.51%13.25B
12.51%13.25B
1.45%11.95B
-5.68%11.53B
-5.82%11.7B
-Gross loan
25.91%16.68B
25.91%16.68B
41.60%16.92B
30.84%15.09B
17.79%13.78B
12.51%13.25B
12.51%13.25B
1.45%11.95B
-5.68%11.53B
-5.82%11.7B
Securities and investments
65.57%781.03M
65.57%781.03M
51.89%615.69M
20.75%550.9M
-22.23%486.11M
-25.29%471.73M
-25.29%471.73M
-39.68%405.35M
-52.67%456.24M
-37.15%625.04M
-Trading securities
379.29%193.75M
379.29%193.75M
168.06%128.78M
72.56%119.62M
-5.67%102.22M
-62.68%40.42M
-62.68%40.42M
-58.92%48.04M
-48.18%69.32M
-37.61%108.37M
-Available for sale securities
9.27%375.81M
9.27%375.81M
2.05%281.55M
-1.01%286.5M
-28.26%273.81M
-12.02%343.93M
-12.02%343.93M
-33.16%275.9M
-57.42%289.42M
-39.95%381.69M
-Short term investments
142.04%211.47M
142.04%211.47M
152.27%205.36M
48.50%144.78M
-18.44%110.09M
-33.88%87.37M
-33.88%87.37M
-42.79%81.4M
-35.22%97.5M
-27.12%134.98M
Derivative assets
223.69%46M
223.69%46M
109.45%78.93M
137.41%48.52M
-72.56%3.16M
-31.77%14.21M
-31.77%14.21M
-42.21%37.69M
-44.14%20.44M
-89.74%11.5M
Net PPE
-30.42%14.17M
-30.42%14.17M
-27.14%15.9M
-25.97%17.27M
-23.69%18.76M
-29.28%20.36M
-29.28%20.36M
-26.13%21.82M
-17.45%23.33M
-12.25%24.59M
-Gross PPE
28.52%26.17M
28.52%26.17M
-9.48%27.9M
-25.97%17.27M
-23.69%18.76M
-29.28%20.36M
-29.28%20.36M
4.34%30.82M
-17.45%23.33M
-12.25%24.59M
-Accumulated depreciation
---12M
---12M
-33.33%-12M
----
----
----
----
---9M
----
----
Foreclosed assets
-1.79%91.93M
-1.79%91.93M
74.78%94.6M
546.17%99.89M
597.31%91.31M
1,350.02%93.6M
1,350.02%93.6M
1,369.54%54.12M
97.85%15.46M
-51.82%13.1M
Goodwill and other intangible assets
-18.16%42.42M
-18.16%42.42M
-12.31%104.71M
-11.22%110.23M
84.07%112.57M
-19.34%51.84M
-19.34%51.84M
76.89%119.4M
257.63%124.17M
60.83%61.16M
-Goodwill
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
--23.37M
--23.37M
-Other intangible assets
-33.07%19.05M
-33.07%19.05M
-15.30%81.34M
-13.82%86.86M
136.07%89.2M
-30.40%28.46M
-30.40%28.46M
117.61%96.03M
190.31%100.8M
-0.64%37.78M
Other assets
81.65%49.49M
81.65%49.49M
52.10%34.75M
56.80%34.93M
26.35%32.49M
40.85%27.25M
40.85%27.25M
55.64%22.85M
99.82%22.28M
135.04%25.71M
Total assets
25.88%18.26B
25.88%18.26B
41.52%18.43B
28.87%16.49B
14.76%15.06B
11.31%14.5B
11.31%14.5B
-0.95%13.02B
-7.77%12.8B
-7.94%13.12B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase
154.60%210.35M
154.60%210.35M
----
----
-75.22%80.66M
-33.85%82.62M
-33.85%82.62M
91.13%237.84M
165.90%253.37M
331.51%325.55M
Payables
58.34%222.87M
58.34%222.87M
106.70%272.07M
97.59%212.11M
46.89%153.74M
38.47%140.75M
38.47%140.75M
1.61%131.62M
-4.69%107.35M
-30.36%104.66M
-Accounts payable
34.71%77.79M
34.71%77.79M
42.82%80.6M
26.45%64.76M
20.05%65.41M
13.57%57.75M
13.57%57.75M
9.25%56.44M
6.55%51.21M
-9.77%54.48M
-Total tax payable
----
----
--11.17M
--4.08M
----
----
----
----
----
----
-Dividends payable
0.00%1.48M
0.00%1.48M
0.00%1.48M
0.00%1.48M
4.16%1.48M
--1.48M
--1.48M
--1.48M
--1.48M
--1.42M
-Due to related parties
51.84%123.26M
51.84%123.26M
115.37%104.44M
106.19%97.22M
88.00%86.86M
80.96%81.18M
80.96%81.18M
2.12%48.5M
-4.83%47.15M
-3.62%46.2M
-Other payable
5,711.43%20.34M
5,711.43%20.34M
195.03%74.38M
493.49%44.58M
----
-94.11%350K
-94.11%350K
-17.04%25.21M
-50.00%7.51M
-93.90%2.56M
Current accrued expenses
100.36%11.07M
100.36%11.07M
86.51%11.31M
53.51%9.32M
62.66%9.27M
-3.71%5.53M
-3.71%5.53M
22.34%6.06M
-30.55%6.07M
-81.37%5.7M
Current debt and capital lease obligation
29.54%1.75B
29.54%1.75B
----
----
-26.65%946.85M
-29.07%1.35B
-29.07%1.35B
-43.99%1.11B
-32.16%1.2B
-17.87%1.29B
-Current debt
29.54%1.75B
29.54%1.75B
----
----
-26.65%946.85M
-29.07%1.35B
-29.07%1.35B
-43.99%1.11B
-32.16%1.2B
-17.87%1.29B
Long term provisions
0.57%4.73M
0.57%4.73M
-22.88%3.56M
-20.44%3.63M
-16.73%4.88M
-33.34%4.7M
-33.34%4.7M
-19.86%4.61M
-19.62%4.56M
-38.52%5.86M
Long term debt and capital lease obligation
27.42%14.64B
27.42%14.64B
64.62%16.83B
51.91%14.98B
23.61%12.43B
19.72%11.49B
19.72%11.49B
7.02%10.22B
-5.45%9.86B
-6.14%10.06B
-Long term debt
27.49%14.63B
27.49%14.63B
64.76%16.82B
52.04%14.97B
23.69%12.42B
19.80%11.48B
19.80%11.48B
7.07%10.21B
-5.43%9.85B
-6.13%10.04B
-Long term capital lease obligation
-25.11%11.03M
-25.11%11.03M
-25.10%11.71M
-24.08%12.66M
-22.56%13.66M
-20.68%14.73M
-20.68%14.73M
-19.98%15.63M
-14.28%16.67M
-12.76%17.64M
Non current deferred liabilities
--5.13M
--5.13M
-32.78%4.11M
-91.04%3.86M
686.62%13.4M
----
----
--6.11M
--43.06M
--1.7M
Employee benefits
20.83%34M
20.83%34M
34.60%31.29M
-0.68%21.57M
-8.04%18.53M
-9.02%28.14M
-9.02%28.14M
-1.02%23.25M
22.25%21.72M
18.59%20.15M
Derivative product liabilities
-30.06%23.66M
-30.06%23.66M
-9.16%7.98M
157.08%5.95M
-45.52%5.85M
100.70%33.83M
100.70%33.83M
29.48%8.78M
-64.86%2.32M
-86.62%10.74M
Preferred securities outside stock equity
0.03%138.86M
0.03%138.86M
----
----
0.03%138.83M
0.03%138.81M
0.03%138.81M
0.03%138.8M
0.03%138.79M
0.03%138.78M
Other liabilities
8.51%24.91M
8.51%24.91M
97.28%41.45M
8.40%31.09M
34.76%27.71M
41.10%22.96M
41.10%22.96M
17.65%21.01M
7.98%28.68M
22.07%20.56M
Total liabilities
28.33%17.07B
28.33%17.07B
44.39%17.2B
30.82%15.27B
15.44%13.83B
11.34%13.3B
11.34%13.3B
-0.64%11.92B
-7.49%11.67B
-6.44%11.98B
Shareholders'equity
Share capital
0.01%68.27M
0.01%68.27M
0.24%68.27M
0.30%68.27M
0.30%68.27M
5,914.36%68.26M
5,914.36%68.26M
5,911.30%68.11M
5,727.48%68.07M
5,557.69%68.06M
-common stock
0.76%1.33M
0.76%1.33M
11.56%1.32M
15.76%1.32M
15.80%1.32M
15.86%1.32M
15.86%1.32M
4.59%1.19M
-2.23%1.14M
-5.32%1.14M
-Preferred stock
0.00%66.95M
0.00%66.95M
0.04%66.95M
0.04%66.95M
0.04%66.95M
--66.95M
--66.95M
--66.92M
--66.92M
--66.92M
Paid-in capital
0.65%2.5B
0.65%2.5B
4.46%2.5B
5.87%2.5B
5.89%2.49B
5.87%2.49B
5.87%2.49B
2.14%2.4B
-0.21%2.36B
-1.51%2.36B
Retained earnings
4.11%1.19B
4.11%1.19B
-1.17%-1.31B
-4.59%-1.3B
-211.46%-1.29B
-0.78%1.14B
-0.78%1.14B
-14.70%-1.29B
-18.26%-1.24B
225.60%1.16B
Gains losses not affecting retained earnings
25.68%-43.07M
25.68%-43.07M
39.15%-39.39M
23.77%-47.33M
22.42%-48.9M
15.84%-57.96M
15.84%-57.96M
0.30%-64.74M
-7.45%-62.09M
-138.11%-63.04M
Other equity interest
-3.81%-2.53B
-3.81%-2.53B
----
----
----
-3.76%-2.44B
-3.76%-2.44B
----
----
---2.38B
Total stockholders'equity
-1.23%1.19B
-1.23%1.19B
10.60%1.22B
8.59%1.22B
7.60%1.22B
10.95%1.2B
10.95%1.2B
-4.20%1.11B
-10.65%1.12B
-21.28%1.14B
Total equity
-1.23%1.19B
-1.23%1.19B
10.60%1.22B
8.59%1.22B
7.60%1.22B
10.95%1.2B
10.95%1.2B
-4.20%1.11B
-10.65%1.12B
-21.28%1.14B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold -15.15%312.93M-15.15%312.93M25.51%325.97M-24.05%339.38M-30.60%340.39M11.97%368.79M11.97%368.79M-29.63%259.72M0.67%446.84M1.59%490.49M
-Cash and cash equivalents -16.36%245.17M-16.36%245.17M24.58%253.67M-22.87%275.58M-31.91%275.39M13.21%293.1M13.21%293.1M-31.46%203.62M-3.77%357.31M-1.18%404.45M
-Restricted cash and investments -10.47%67.76M-10.47%67.76M28.86%72.29M-28.74%63.8M-24.46%64.99M7.40%75.68M7.40%75.68M-22.08%56.1M23.40%89.53M16.98%86.04M
Receivables 26.00%213.94M26.00%213.94M80.11%197.7M41.48%164.15M18.96%150.95M48.01%169.79M48.01%169.79M-12.70%109.77M11.90%116.03M10.16%126.9M
-Accounts receivable 67.70%115.83M67.70%115.83M69.57%103.04M44.55%92.02M29.47%79.49M13.43%69.07M13.43%69.07M10.59%60.76M24.81%63.66M26.03%61.4M
-Other receivables -2.59%98.11M-2.59%98.11M93.17%94.67M37.74%72.13M9.10%71.46M87.12%100.72M87.12%100.72M-30.77%49.01M-0.60%52.37M-1.47%65.5M
Net loan 25.91%16.68B25.91%16.68B41.60%16.92B30.84%15.09B17.79%13.78B12.51%13.25B12.51%13.25B1.45%11.95B-5.68%11.53B-5.82%11.7B
-Gross loan 25.91%16.68B25.91%16.68B41.60%16.92B30.84%15.09B17.79%13.78B12.51%13.25B12.51%13.25B1.45%11.95B-5.68%11.53B-5.82%11.7B
Securities and investments 65.57%781.03M65.57%781.03M51.89%615.69M20.75%550.9M-22.23%486.11M-25.29%471.73M-25.29%471.73M-39.68%405.35M-52.67%456.24M-37.15%625.04M
-Trading securities 379.29%193.75M379.29%193.75M168.06%128.78M72.56%119.62M-5.67%102.22M-62.68%40.42M-62.68%40.42M-58.92%48.04M-48.18%69.32M-37.61%108.37M
-Available for sale securities 9.27%375.81M9.27%375.81M2.05%281.55M-1.01%286.5M-28.26%273.81M-12.02%343.93M-12.02%343.93M-33.16%275.9M-57.42%289.42M-39.95%381.69M
-Short term investments 142.04%211.47M142.04%211.47M152.27%205.36M48.50%144.78M-18.44%110.09M-33.88%87.37M-33.88%87.37M-42.79%81.4M-35.22%97.5M-27.12%134.98M
Derivative assets 223.69%46M223.69%46M109.45%78.93M137.41%48.52M-72.56%3.16M-31.77%14.21M-31.77%14.21M-42.21%37.69M-44.14%20.44M-89.74%11.5M
Net PPE -30.42%14.17M-30.42%14.17M-27.14%15.9M-25.97%17.27M-23.69%18.76M-29.28%20.36M-29.28%20.36M-26.13%21.82M-17.45%23.33M-12.25%24.59M
-Gross PPE 28.52%26.17M28.52%26.17M-9.48%27.9M-25.97%17.27M-23.69%18.76M-29.28%20.36M-29.28%20.36M4.34%30.82M-17.45%23.33M-12.25%24.59M
-Accumulated depreciation ---12M---12M-33.33%-12M-------------------9M--------
Foreclosed assets -1.79%91.93M-1.79%91.93M74.78%94.6M546.17%99.89M597.31%91.31M1,350.02%93.6M1,350.02%93.6M1,369.54%54.12M97.85%15.46M-51.82%13.1M
Goodwill and other intangible assets -18.16%42.42M-18.16%42.42M-12.31%104.71M-11.22%110.23M84.07%112.57M-19.34%51.84M-19.34%51.84M76.89%119.4M257.63%124.17M60.83%61.16M
-Goodwill 0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M--23.37M--23.37M
-Other intangible assets -33.07%19.05M-33.07%19.05M-15.30%81.34M-13.82%86.86M136.07%89.2M-30.40%28.46M-30.40%28.46M117.61%96.03M190.31%100.8M-0.64%37.78M
Other assets 81.65%49.49M81.65%49.49M52.10%34.75M56.80%34.93M26.35%32.49M40.85%27.25M40.85%27.25M55.64%22.85M99.82%22.28M135.04%25.71M
Total assets 25.88%18.26B25.88%18.26B41.52%18.43B28.87%16.49B14.76%15.06B11.31%14.5B11.31%14.5B-0.95%13.02B-7.77%12.8B-7.94%13.12B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase 154.60%210.35M154.60%210.35M---------75.22%80.66M-33.85%82.62M-33.85%82.62M91.13%237.84M165.90%253.37M331.51%325.55M
Payables 58.34%222.87M58.34%222.87M106.70%272.07M97.59%212.11M46.89%153.74M38.47%140.75M38.47%140.75M1.61%131.62M-4.69%107.35M-30.36%104.66M
-Accounts payable 34.71%77.79M34.71%77.79M42.82%80.6M26.45%64.76M20.05%65.41M13.57%57.75M13.57%57.75M9.25%56.44M6.55%51.21M-9.77%54.48M
-Total tax payable ----------11.17M--4.08M------------------------
-Dividends payable 0.00%1.48M0.00%1.48M0.00%1.48M0.00%1.48M4.16%1.48M--1.48M--1.48M--1.48M--1.48M--1.42M
-Due to related parties 51.84%123.26M51.84%123.26M115.37%104.44M106.19%97.22M88.00%86.86M80.96%81.18M80.96%81.18M2.12%48.5M-4.83%47.15M-3.62%46.2M
-Other payable 5,711.43%20.34M5,711.43%20.34M195.03%74.38M493.49%44.58M-----94.11%350K-94.11%350K-17.04%25.21M-50.00%7.51M-93.90%2.56M
Current accrued expenses 100.36%11.07M100.36%11.07M86.51%11.31M53.51%9.32M62.66%9.27M-3.71%5.53M-3.71%5.53M22.34%6.06M-30.55%6.07M-81.37%5.7M
Current debt and capital lease obligation 29.54%1.75B29.54%1.75B---------26.65%946.85M-29.07%1.35B-29.07%1.35B-43.99%1.11B-32.16%1.2B-17.87%1.29B
-Current debt 29.54%1.75B29.54%1.75B---------26.65%946.85M-29.07%1.35B-29.07%1.35B-43.99%1.11B-32.16%1.2B-17.87%1.29B
Long term provisions 0.57%4.73M0.57%4.73M-22.88%3.56M-20.44%3.63M-16.73%4.88M-33.34%4.7M-33.34%4.7M-19.86%4.61M-19.62%4.56M-38.52%5.86M
Long term debt and capital lease obligation 27.42%14.64B27.42%14.64B64.62%16.83B51.91%14.98B23.61%12.43B19.72%11.49B19.72%11.49B7.02%10.22B-5.45%9.86B-6.14%10.06B
-Long term debt 27.49%14.63B27.49%14.63B64.76%16.82B52.04%14.97B23.69%12.42B19.80%11.48B19.80%11.48B7.07%10.21B-5.43%9.85B-6.13%10.04B
-Long term capital lease obligation -25.11%11.03M-25.11%11.03M-25.10%11.71M-24.08%12.66M-22.56%13.66M-20.68%14.73M-20.68%14.73M-19.98%15.63M-14.28%16.67M-12.76%17.64M
Non current deferred liabilities --5.13M--5.13M-32.78%4.11M-91.04%3.86M686.62%13.4M----------6.11M--43.06M--1.7M
Employee benefits 20.83%34M20.83%34M34.60%31.29M-0.68%21.57M-8.04%18.53M-9.02%28.14M-9.02%28.14M-1.02%23.25M22.25%21.72M18.59%20.15M
Derivative product liabilities -30.06%23.66M-30.06%23.66M-9.16%7.98M157.08%5.95M-45.52%5.85M100.70%33.83M100.70%33.83M29.48%8.78M-64.86%2.32M-86.62%10.74M
Preferred securities outside stock equity 0.03%138.86M0.03%138.86M--------0.03%138.83M0.03%138.81M0.03%138.81M0.03%138.8M0.03%138.79M0.03%138.78M
Other liabilities 8.51%24.91M8.51%24.91M97.28%41.45M8.40%31.09M34.76%27.71M41.10%22.96M41.10%22.96M17.65%21.01M7.98%28.68M22.07%20.56M
Total liabilities 28.33%17.07B28.33%17.07B44.39%17.2B30.82%15.27B15.44%13.83B11.34%13.3B11.34%13.3B-0.64%11.92B-7.49%11.67B-6.44%11.98B
Shareholders'equity
Share capital 0.01%68.27M0.01%68.27M0.24%68.27M0.30%68.27M0.30%68.27M5,914.36%68.26M5,914.36%68.26M5,911.30%68.11M5,727.48%68.07M5,557.69%68.06M
-common stock 0.76%1.33M0.76%1.33M11.56%1.32M15.76%1.32M15.80%1.32M15.86%1.32M15.86%1.32M4.59%1.19M-2.23%1.14M-5.32%1.14M
-Preferred stock 0.00%66.95M0.00%66.95M0.04%66.95M0.04%66.95M0.04%66.95M--66.95M--66.95M--66.92M--66.92M--66.92M
Paid-in capital 0.65%2.5B0.65%2.5B4.46%2.5B5.87%2.5B5.89%2.49B5.87%2.49B5.87%2.49B2.14%2.4B-0.21%2.36B-1.51%2.36B
Retained earnings 4.11%1.19B4.11%1.19B-1.17%-1.31B-4.59%-1.3B-211.46%-1.29B-0.78%1.14B-0.78%1.14B-14.70%-1.29B-18.26%-1.24B225.60%1.16B
Gains losses not affecting retained earnings 25.68%-43.07M25.68%-43.07M39.15%-39.39M23.77%-47.33M22.42%-48.9M15.84%-57.96M15.84%-57.96M0.30%-64.74M-7.45%-62.09M-138.11%-63.04M
Other equity interest -3.81%-2.53B-3.81%-2.53B-------------3.76%-2.44B-3.76%-2.44B-----------2.38B
Total stockholders'equity -1.23%1.19B-1.23%1.19B10.60%1.22B8.59%1.22B7.60%1.22B10.95%1.2B10.95%1.2B-4.20%1.11B-10.65%1.12B-21.28%1.14B
Total equity -1.23%1.19B-1.23%1.19B10.60%1.22B8.59%1.22B7.60%1.22B10.95%1.2B10.95%1.2B-4.20%1.11B-10.65%1.12B-21.28%1.14B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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