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QQQ   298.28 (-0.23%)
AAPL   155.01 (-0.61%)
MSFT   257.35 (-0.29%)
META   160.47 (+0.05%)
GOOGL   108.72 (-0.67%)
AMZN   128.42 (-0.82%)
TSLA   285.24 (+0.54%)
NVDA   137.18 (+0.03%)
NIO   17.43 (-0.29%)
BABA   88.94 (-1.83%)
AMD   81.48 (+2.35%)
T   16.84 (-0.18%)
MU   54.46 (-0.98%)
CGC   3.41 (+0.00%)
F   15.17 (-1.69%)
GE   73.19 (-0.53%)
DIS   111.75 (-0.83%)
AMC   8.43 (+0.48%)
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QQQ   298.28 (-0.23%)
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MSFT   257.35 (-0.29%)
META   160.47 (+0.05%)
GOOGL   108.72 (-0.67%)
AMZN   128.42 (-0.82%)
TSLA   285.24 (+0.54%)
NVDA   137.18 (+0.03%)
NIO   17.43 (-0.29%)
BABA   88.94 (-1.83%)
AMD   81.48 (+2.35%)
T   16.84 (-0.18%)
MU   54.46 (-0.98%)
CGC   3.41 (+0.00%)
F   15.17 (-1.69%)
GE   73.19 (-0.53%)
DIS   111.75 (-0.83%)
AMC   8.43 (+0.48%)
PYPL   95.19 (+0.23%)
PFE   46.37 (+0.52%)
NFLX   225.00 (-1.73%)
S&P 500   3,980.35 (+0.01%)
DOW   31,580.63 (+0.00%)
QQQ   298.28 (-0.23%)
AAPL   155.01 (-0.61%)
MSFT   257.35 (-0.29%)
META   160.47 (+0.05%)
GOOGL   108.72 (-0.67%)
AMZN   128.42 (-0.82%)
TSLA   285.24 (+0.54%)
NVDA   137.18 (+0.03%)
NIO   17.43 (-0.29%)
BABA   88.94 (-1.83%)
AMD   81.48 (+2.35%)
T   16.84 (-0.18%)
MU   54.46 (-0.98%)
CGC   3.41 (+0.00%)
F   15.17 (-1.69%)
GE   73.19 (-0.53%)
DIS   111.75 (-0.83%)
AMC   8.43 (+0.48%)
PYPL   95.19 (+0.23%)
PFE   46.37 (+0.52%)
NFLX   225.00 (-1.73%)

Latest SEC Filings
 

SEC filings are financial statements and other formal documents submitted to the U.S. Securities and Exchange Commission. Public companies, certain insiders, and broker-dealers are required to make regular SEC filings. Investors and financial professionals rely on these filings for information about companies they are evaluating for investment purposes. More about SEC Filings.

DateFilerForm TypeView
09/08/2022
8:43 AM
Yoshiharu Global Co. (Filer)
Form CERT
09/08/2022
8:42 AM
Comstock Resources (CRK) (Issuer)
FOSTER MORRIS E (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:41 AM
Ibisbill, LP (Filer)
Form D/A
09/08/2022
8:40 AM
Siyata Mobile (SYTA) (Filer)
Siyata Mobile (SYTAW) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:40 AM
Alpine Peaks Long Horizon Fund LP (Filer)
Form D/A
09/08/2022
8:38 AM
FIDELITY PHILLIPS STREET TRUST (Filer)
Form N-MFP2
09/08/2022
8:37 AM
ROYAL MHP II INVESTMENT LLC (Filer)
Form D
Notice of Exempt Offering of Securities 
09/08/2022
8:37 AM
Fidelity Colchester Street Trust (Filer)
Form N-MFP2
09/08/2022
8:37 AM
TRUST FOR PROFESSIONAL MANAGERS (Filer)
Form 40-17G
09/08/2022
8:37 AM
FIDELITY MASSACHUSETTS MUNICIPAL TRUST (Filer)
Form N-MFP2
09/08/2022
8:36 AM
Citigroup Global Markets Holdings Inc. (Filer)
BlackRock Limited Duration Income Trust (BLW) (Filer)
Form 424B2
09/08/2022
8:36 AM
EMPOWER FUNDS, INC. (Filer)
Form N-MFP2
09/08/2022
8:36 AM
Fidelity Colchester Street Trust (Filer)
Form N-MFP2
09/08/2022
8:36 AM
Fidelity Newbury Street Trust (Filer)
Form N-MFP2
09/08/2022
8:36 AM
DFA INVESTMENT TRUST CO (Filer)
Form N-MFP2
09/08/2022
8:35 AM
Hudson Pacific Properties (HPP) (Filer)
Hudson Pacific Properties, L.P. (Filer)
Form 424B5
09/08/2022
8:35 AM
Juva Life (JUVAF) (Filer)
Form 1-SA
Semiannual Report or Special Financial Report Pursuant to Regulation A  
09/08/2022
8:35 AM
Fidelity Colchester Street Trust (Filer)
Form N-MFP2
09/08/2022
8:35 AM
NORTH CAROLINA CAPITAL MANAGEMENT TRUST (Filer)
Form N-MFP2
09/08/2022
8:34 AM
Federal Home Loan Bank of Pittsburgh (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:34 AM
FIDELITY UNION STREET TRUST II (Filer)
Form N-MFP2
09/08/2022
8:31 AM
Series Portfolios Trust (Filer)
Form N-CSR
Certified shareholder report of registered management investment companies  
09/08/2022
8:30 AM
Lombardo Andy (Reporting)
Perma-Fix Environmental Services (PESI) (Issuer)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:29 AM
BLANK SIMONE (Reporting)
Evolus (EOLS) (Issuer)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:28 AM
Intellinetics (INLX) (Filer)
Form 8-A12B
09/08/2022
8:28 AM
B. Riley Financial (RILY) (Issuer)
B. Riley Financial, Inc. 5.50% Senior Notes Due 2026 (RILYK) (Issuer)
B. Riley Financial, Inc. - 6.37 (RILYM) (Issuer)
B. Riley Financial, Inc. - 6.50 (RILYN) (Issuer)
B. Riley Financial (RILYP) (Issuer)
B. Riley Financial, Inc. 6.00% Senior Notes Due 2028 (RILYT) (Issuer)
Moore Andrew (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:27 AM
Infobird (IFBD) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:27 AM
American Virtual Cloud Technologies (AVCT) (Filer)
Pensare Acquisition (WRLS) (Filer)
Pensare Acquisition (WRLSU) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:27 AM
SpringBig (SBIG) (Filer)
SpringBig (SBIGW) (Filer)
Tuatara Capital Acquisition (TCAC) (Filer)
Tuatara Capital Acquisition (TCACU) (Filer)
Tuatara Capital Acquisition (TCACW) (Filer)
Form 424B3
09/08/2022
8:25 AM
Cogent Communications (CCOI) (Issuer)
KILMER HENRY W (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:23 AM
Franklin Resources (BEN) (Reporting)
Templeton Global Income Fund (GIM) (Issuer)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:22 AM
Very Good Food (VGFC) (Filer)
Very Good Food (VRYYF) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:20 AM
Toronto-Dominion Bank (TD) (Filer)
Form 424B2
09/08/2022
8:20 AM
Hudson Pacific Properties (HPP) (Filer)
Hudson Pacific Properties, L.P. (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:19 AM
FIDELITY MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:19 AM
Toronto-Dominion Bank (TD) (Filer)
Form 424B2
09/08/2022
8:19 AM
FIDELITY MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:18 AM
FIDELITY COURT STREET TRUST II (Filer)
Form N-MFP2
09/08/2022
8:18 AM
FIDELITY COURT STREET TRUST II (Filer)
Form N-MFP2
09/08/2022
8:18 AM
UTXO Acquisition Inc. (Filer)
Form SEC STAFF ACTION
09/08/2022
8:17 AM
Belden (BDC) (Issuer)
Mehrotra Anshuman (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:17 AM
FIDELITY MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:17 AM
FIDELITY HEREFORD STREET TRUST (Filer)
Form N-MFP2
09/08/2022
8:16 AM
LifeStance Health Group (LFST) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:16 AM
Argo Group International (AGII) (Filer)
Argo Group International (ARGO) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:16 AM
FIDELITY NEW YORK MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:16 AM
FIDELITY CALIFORNIA MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:15 AM
Briggs Vikki G (Reporting)
CSB BANCORP INC /OH (Issuer)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:15 AM
Buffalo Terry Lynn (Reporting)
One World Products, Inc. (Issuer)
Form 3
Initial statement of beneficial ownership of securities  
09/08/2022
8:15 AM
CERF II Co-investment, S.C.Sp. (Filer)
Form D/A
09/08/2022
8:15 AM
PlayAGS (AGS) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:15 AM
Kulicke and Soffa Industries (KLIC) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:15 AM
Fidelity Newbury Street Trust (Filer)
Form N-MFP2
09/08/2022
8:14 AM
ImmunoPrecise Antibodies (IPA) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:14 AM
Patrick Industries (PATK) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:14 AM
JPMorgan Chase & Co. (JPM) (Filer)
JPMorgan Chase Financial Co. LLC (Filer)
Form 424B2
09/08/2022
8:13 AM
PL Credit Opportunities Master Fund LP (Filer)
Form D/A
09/08/2022
8:13 AM
CCOF II CO-INVESTMENT, L.P. (Filer)
Form D/A
09/08/2022
8:12 AM
Argo Group International (AGII) (Filer)
Argo Group International (ARGO) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:12 AM
JS VENTURE FUND LLC SERIES A10 (Filer)
Form D
Notice of Exempt Offering of Securities 
09/08/2022
8:11 AM
EagleHawk One, Inc. (Filer)
Form D
Notice of Exempt Offering of Securities 
09/08/2022
8:11 AM
Dritschilo Anatoly (Reporting)
Shuttle Pharmaceuticals Holdings, Inc. (Issuer)
Form 3/A
09/08/2022
8:10 AM
CP VIII Coinvestment B, L.P. (Filer)
Form D/A
09/08/2022
8:09 AM
Citigroup Global Markets Holdings Inc. (Filer)
BlackRock Limited Duration Income Trust (BLW) (Filer)
Form 424B2
09/08/2022
8:09 AM
Sea Ltd (Subject)
Tencent (TCEHY) (Filed by)
Form SC 13D/A
09/08/2022
8:08 AM
Atlas Financial (AFH) (Issuer)
Atlas Financial (AFHIF) (Issuer)
HOLLIDAY MARK E (Reporting)
Form 3
Initial statement of beneficial ownership of securities  
09/08/2022
8:07 AM
CP VIII Coinvestment A, L.P. (Filer)
Form D/A
09/08/2022
8:06 AM
Neovasc (NVCN) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:06 AM
Noble (NEBLQ) (Subject)
Noble Corp plc (Filed by)
Form 425
09/08/2022
8:06 AM
Medigus (MDGS) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:04 AM
8i Acquisition 2 (LAX) (Filer)
8i Acquisition 2 (LAXXR) (Filer)
8i Acquisition 2 (LAXXU) (Filer)
Form DEFA14A
09/08/2022
8:03 AM
JS OPPORTUNITY FUND LLC SERIES Q10 (Filer)
Form D
Notice of Exempt Offering of Securities 
09/08/2022
8:03 AM
FIDELITY REVERE STREET TRUST (Filer)
Form N-MFP2
09/08/2022
8:03 AM
Pathfinder Bancorp (PBHC) (Issuer)
Rusnak Walter (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:02 AM
Maxeon Solar Technologies (MAXN) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:02 AM
Fidelity Colchester Street Trust (Filer)
Form N-MFP2
09/08/2022
8:01 AM
KULR Technology Group (KULR) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:01 AM
EagleHawk One, Inc. (Filer)
Form D
Notice of Exempt Offering of Securities 
09/08/2022
8:01 AM
FIDELITY HEREFORD STREET TRUST (Filer)
Form N-MFP2
09/08/2022
8:00 AM
BioSig Technologies (BSGM) (Issuer)
LONDONER KENNETH L (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:00 AM
Grupo Supervielle S.A. (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
8:00 AM
FIDELITY SELECT PORTFOLIOS (Filer)
Form 497K
09/08/2022
8:00 AM
Motorsport Games (MSGM) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:00 AM
Indaptus Therapeutics (INDP) (Issuer)
Meckler Jeffrey A (Reporting)
Form 4
Statement of changes in beneficial ownership of securities  
09/08/2022
8:00 AM
Impac Mortgage (IMH) (Filer)
Impac Mortgage (IMH) (Filer)
Form 8-K
Current report pursuant to Section 13 or 15(d)  
09/08/2022
8:00 AM
FIDELITY SELECT PORTFOLIOS (Filer)
Form 497
09/08/2022
8:00 AM
FIDELITY CALIFORNIA MUNICIPAL TRUST II (Filer)
Form N-MFP2
09/08/2022
8:00 AM
Mer Telemanagement Solutions (MTSL) (Filer)
SharpLink Gaming (SBET) (Filer)
Form 6-K
Report of foreign private issuer pursuant to Rule 13a-16 or 15d-16 under the Securities Exchange Act of 1934  
09/08/2022
7:59 AM
FIDELITY HEREFORD STREET TRUST (Filer)
Form N-MFP2
What is a SEC Filing?

An SEC filing gives investors a forensic analysis of a company’s stock

An SEC filing is a series of documents that a publicly-traded company must file with the United States Securities & Exchange Commission (SEC). Each document serves a specific purpose. Together, these documents help give investors what can be described as a forensic analysis of a company’s financial position.

Information in an SEC filing is different from other information companies provide to investors. Although most companies work very hard to keep their investors informed and try to be as transparent as possible, this information will always try to present their business in as favorable light as possible. This is particularly true when they have to report on issues that may be of concern to investors.

In this article, we’ll review why SEC filings came into being. We’ll also explain what information investors receive from each document in the file and how you as an investor can review the filing to get the information you need.

Why Do Companies Have to Make SEC Filings?

SEC Filings came into existence, not surprisingly, after the stock market crash of 1929. At this time, many investors wanted the government to provide safeguards against companies that engaged in speculative behavior so that their actions would be more transparent. The result was the creation of the U.S. Securities & Exchange Commission (SEC).

The SEC not only requires publicly traded companies to submit these filings, but they also review the filings carefully to make sure they meet certain objective criteria. This means that investors should be able to get an apples-to-apples comparison of two companies filing documents, particularly if they are in the same sector.

What Information Does Each Document in an SEC Filing Provide?

The documents required by the SEC are:

  • Registration Statements
  • 10-K Report
  • 10-Q Report
  • 8-K Report
  • Proxy Statement
  • Forms 3,4 and 5
  • Schedule 13D
  • Form 144

For convenience, many of these SEC Filings are available on the SEC’s EDGAR database. Companies must follow SEC guidelines when submitting these forms. The SEC, in its role as a watchdog, reviews the forms to ensure that the information meets their requirements.

Investors may find that one form is more useful than another. However, they can glean a little or a lot of information from the reports. Let’s take a look at what type of information each of these documents provides.

Registration Statement – this is a two-part statement that helps investors understand what securities the company offers and how profitable the company is. All companies must file these forms whether they are foreign or domestic. The two parts are:

  • Prospectus – This is what investors may receive from a company when they contact investor relations. The prospectus is a legal document that binds the company to give details about the investment being offered, how the business operates, the history of the business, its management structure and management team, the financial condition of the company and guidance as to known risks. The prospectus will also contain financial forms such as income statements which must be audited by an independent certified public accountant (CPA).
  • Additional Information (optional) – if the company has any recent, relevant information that occurred since the prospectus was issued, it can submit this as part of the registration statements. An example would be a recently completed sale of unregulated securities.

10-K Report – This is the meat and potatoes of the SEC Filings. The 10-K provides a very detailed and comprehensive analysis of the company. It contains much of the information that is in the prospectus and contains even more detailed information than is found in an annual report. One example would be the financial statement –which provides more detail than would be found in an annual report. Companies are required to file this report within 90 days after the close of their fiscal year. The 10-K has several parts to it:

  • Business summary – this describes what the company does (its operations – both domestic and international), outlines its business segments, gives a brief history of the company, and information about the real estate, marketing, research and development efforts (R&D). It will also disclose who their competitors are and the number of employees.
  • Management discussion and analysis (MD&A) – this is the section where the management of the company describes its operation and financial outlook. The information in this section is probably similar to what the company might disclose on their earnings call (conference call).
  • Financial statements – such as the balance sheet, income statement and cash flow statement.
  • Other – this may include relevant information regarding the company’s management team and any legal proceedings.

10-Q Report – This is an abbreviated version of the 10-K report. The 10-Q is issued more frequently than the 10-K and must be submitted within 45 days of the close of the first, second and third quarters of a company’s fiscal year. The purpose of the 10-Q is to give a progress report of sorts about any recent developments and outlines any new plans the company plans to take. Unlike in the 10-K, the financial statements in the 10-Q are not required to be audited and they usually contain less detail than those found in the 10-K.

8K Report – This is an optional document that covers major developments that are of material interest to investors that occurred between the time of the 10-K and 10-Q filings. This document describes the events and gives further details, if needed, such as a press release or financial data. Examples of events that may trigger a company to issue an 8K report would be a bankruptcy filing, the completion of an acquisition, and turnover in their executive ranks.

Proxy Statement – This is a document that provides salaries of top management, outlines any conflicts of interest that might exist for the managers, and describes any other perks that were part of their compensation. The proxy statement must be presented before the shareholder meeting and must be on file with the SEC before shareholders are solicited to vote on the approval of corporate actions such as the election of directors.  

Forms 3, 4, and 5 – These documents give investors insight into how the company’s officers and directors may shift ownership and purchases.  

  • Form 3 – this is the initial filing that lists the ownership amounts.
  • Form 4 – this form identifies changes in ownership
  • Form 5 – this form is a summary of Form 4 that is prepared annually. Form 5 also includes information that the company should have reported.

Schedule 13-D – This is a hard-working form that provides investors with a wealth of information. It includes first and foremost a disclosure of who owns most of the company’s shares. It also introduces the owner(s) and gives investors contact information. A Schedule 13-D is required to be filed within 10 days of any entity acquiring 5% or more of any class of a company’s securities. Additional information in the Schedule 13-D includes:

  • Background information on the owner including the relationship (and type of relationship) the owner has with the company. It can also include any criminal misbehavior.
  • Explains why the transaction is taking place
  • Describes the security by its type and class
  • Describes where the money for the purchase is coming from

Form 144 – This form has to do with the sale of restricted stock by company insiders that was not part of a public offering. Investors can identify patterns regarding when these securities were sold or when there was pressure to sell such shares. Restricted stock must meet specific conditions in order to be transferable. The sale must be made within 90 days of filing. This form must be filed if the amount sold during any 3-month period exceeds specified sales thresholds.

How Does an SEC Filing Account for Foreign Investments?

As of a 2008 rule change, foreign companies who do not own SEC-registered securities are not required to submit paper disclosures to the SEC. Investors can now access such forms on the internet. Because the companies are required to submit annual reports to the SEC two months earlier than other companies, investors will have access to those reports in a more timely fashion.  

What Information Should an Investor Look for in an SEC Filing?

Most of the information in an SEC filing is straightforward. However, finding some information requires an investor to pay close attention to the entire filing. One pro tip is for investors to read the filings in total rather than as individual documents.

This is particularly important when looking at a company’s financial statements because some documents focus on a company’s short-term outlook and some present a more long-term view. Investors should also look for red flags such as if the company discredits short sellers, if there is confusing language in the 10-K or 10-Q, or if there are sudden, unexplained one-time or special charges.

Some Final Thoughts on SEC Filings

The vast majority of publicly-traded companies want to provide timely and accurate information to investors. To help ensure investors receive this information in a timely fashion, the SEC requires these companies to file a series of documents at specific times. These SEC Filings can give investors a detailed look inside the financial workings of a company.

One of the most valuable parts of the SEC Filings for an investor is the 10-K report. As part of the 10-K report, the company is required to submit detailed financial information including an income statement, balance sheet, and cash flow statement. These documents contain fundamental information from which investors can perform a variety of other calculations as part of their fundamental analysis of a company.

Like a conference call that companies give to review earnings reports, an SEC filing allows investors to hear from a company’s management about certain events that may have occurred. These may include instances of systematic risk such as severe weather or political unrest that has affected currency exchange rates. Investors can then make an informed decision on whether they view the event as something that will weigh on the long-term fortunes of the company.                                            

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