derived our own security market line using portfolio of risky asset and risk free asset, derived the percentage of risky and risk free asset, and invest
$Meta Materials (MMAT.US)$
Am I reading this wrong? The company's equity is negative most of the time. Currently, it is insolvent, and short-term debt is much larger than short-term assets...
If capital is not raised, there is a chance of liquidation, right?
Am I reading this wrong? The company's equity is negative most of the time. Currently, it is insolvent, and short-term debt is much larger than short-term assets...
If capital is not raised, there is a chance of liquidation, right?
Translated
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