Subscriber growth comes as result of increased cloud penetration
Xero reports strong H1 profit growth due to subscriber gains. CEO Sukhinder Singh Cassidy discusses the those results, and the company’s expansion plans.
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Xero reports strong H1 profit growth due to subscriber gains. CEO Sukhinder Singh Cassidy discusses the those results, and the company’s expansion plans.
ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Tom Porcelli, chief US economist at PGIM Fixed Income, and CNBC’s Steve Liesman join ‘The Exchange’ to discuss the latest economic data, expectations for the Federal Reserve, and more. Source link
Christian Ulbrich, JLL CEO, joins ‘Money Movers’ to discuss the outlook for commercial real estate, what’s driving the company’s transaction growth, and if Ulbrich is confident about the interest rate environment. Source link
ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email CNBC’s Morgan Brennan and Piper Jaffray Senior Research Analyst Gene Munster discuss Apple’s next possible moves following expectations of an online television service from tech giant. 04:00 Wed, Mar 18 20159:00 AM EDT Source link
David Zervos, Chief Market Strategist at Jefferies, discusses the market’s adjustment post-election, highlighting a stronger dollar, higher equity returns, and the impact of capital moving to the U.S. Source link
ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Eric Cantor, Moelis and Company vice chairman and managing director and former House Majority Leader, joins ‘Squawk Box’ to discuss the state of the Senate GOP leadership vote today, President-elect Trump’s legislative priorities, M&A and regulatory outlook, and more. Source link
ShareShare Article via FacebookShare Article via TwitterShare Article via LinkedInShare Article via Email Sylvia Sheng of J.P. Morgan Asset Management says under its Long-Term Capital Market Assumptions report, risk assets could have a “relatively robust” return environment for the next 10-15 years and to expect a return a pre-GFC environment of positive real yields. Source…