EY安永:2025年第三季度全球IPO趋势报告:稳健驾驭IPO规划(英文版).pdf |
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In the third quarter of 2025, global equity markets staged a robust recovery, with major indices in the US, Asia and Europe reaching fresh highs after months of pressure from tariffs, interest rate uncertainty and debt concerns. This rebound has been underpinned by easing financial conditions, moderating inflation in some regions and declining market volatility, alongside regulatory reforms that are streamlining listing processes and encouraging sponsors and issuers to revisit public exits.
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