StocksWeek4.docx Evaluating Stocks Learning Team B FIN/402 The stocks in this portfoli
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StocksWeek4.docx Evaluating Stocks Learning Team B FIN/402 The stocks in this portfolio arethe following: PepsiCo, Apple, Microsoft, Aritzia, and Amazon. An assessment was conducted to establish if the stocks should remain in the portfolio. Stock Reviews and Discussion If I review the investment in PepsiCo., the business has reflected a slight decrease in the stock price, as being traded daily on the floor, the reason which we can assume is the over all market turbulence, being caused by the Oil market, and it is directly impacting US economy, and hence reflecting the same on the stocks trade in the market. Apple Inc., stock has also reflected a bit decline as directly related to activities being performed in the market, more over the share is constantly moving the range of $30 up/down, being range bound, hence reflects that the business is performing well, and keeping at the place in the market.Citing Chinese government data, Reuters recently reported that Apple sold just 494,000 iPhones in the country in February. That was a steep decline from the 1.27 million units the company had shipped in the prior-year period and the two million units sold in January. The situation was bad across the board, as overall smartphone shipments fell 54.7% annually during the month, according to the China Academy of Information and Communications Technology. Microsoft has reflected a steady decline, although it is not much material, and market expectancy is to correct it, I believe the more effect on M
[Solved] StocksWeek4.docx Evaluating Stocks Learning Team B FIN/402 The stocks in this portfoli
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- Submitted On 05 Aug, 2022 11:26:04
- Termpaper
- Rating : 3
- Grade : B
- Questions : 0
- Solutions : 15269
- Blog : 0
- Earned : $2452.10