In: Finance
Based on the following companies in the U.S stock market .
(i) AMD
(II) CSCO
(III) TGT
(IV) FCX
(V) IBM
(VI) MSFT
(VII) NKE
(VIII) ORCL
(IX) PEP
(X) PG
what are the following for each holding in the portfolio ?
(a) Each company profile
(b) Ticker
(c) Name
(d) key ratios
Answer:
AMD:
Company profile: AMD incorporated in 1969 is a global semiconductor
company. the company is engaged in offering microprocessors &
is incorporated as an accelerator processing unit, chipsets,
professional graphics etc. it has two segments namely computing
& graphics segment & enterprise embedded & semi conduct
segments. It has direct sales force to sell its products, apart
from those independent distributors & sales representatives
both in domestic & international markets.
Ticker: Advanced Micro Devices, Inc
Name: Advanced Micro Devices
Key ratios: key ratios for AMD would include liquidity ratios &
profitability ratios.
CSCO:
Company profile: the company mainly engages in design, manufacture
& internet protocol based networking products & also
services relating to communications & information technology
industry. The product mainly comprises of switches, routers,
wireless network management interfaces, next generation firewalls
etc.
Ticker: CSCO
Name: Cisco Systems.
Key ratios: key ratios are current ratio, gross margin ratio,
operating profit margin ratio, pre tax ROE etc.
TGT:
Company profile: incorporated in 1902, it is a general merchandise
retailer that sells the products through stores & digital
channels. It offers an edited food assortment that includes
perishables, dry grocery, frozen items etc. the company’s owned
brands are archer farms, market pantry, Sutton & dodge, art
class etc.
Ticker: TGT
Name: target corporation
Key ratios: it has a current ratio of around 95%, quick ratio of
30%, gross margin ratio of 29%, pretax margin of 5% etc.
FCX:
Company profile: incorporated in 1987 as a mining company. it
operates through geographical assets with proven reserves of
copper, gold etc. its segments include refined copper products,
copper in concentrate etc. it has operations in five divisions of
north America, south America, Indonesia & molybdenum
mines.
Ticker: FCX
Name: Freeport-McMoRan
Key ratios: the company has quick ratio of around 2, current ratio
of 3.23, total debt to equity of 116% etc.
IBM:
Company profile: it is an MNC headquartered in New York. The
company started its operations in 1911. It produces & sells
hardware, middleware & software. It is also a major research
organization & has invented many products like atm, floppy
disk, hard disk drive, sql languages etc.
Ticker: IBM
Name: international business Machine Corporation.
Key ratios: it has a P/E ratio of around 12, price to book ratio of
8, quick ratio of 1.2, total debt to equity ratio of around 273%
etc.
MSFT:
Company profile: incorporated in 1993 is a technology company. The
Company develops, licenses, and supports a range of software
products, services and devices. The Company's segments include
Productivity and Business Processes, Intelligent Cloud and More
Personal Computing.
Ticker: MSFT
Name: Microsoft Corporation.
Key ratios: it has a quick ration close to 300%, operating margin
of 32%, profit margin of 15%, after tax ROE of 20% etc.
NKE:
Company profile: it was founded in 1964 as blue ribbon sports by
bowerman & knight. Then it became as Nike in 1971. It is a
sponsor of many high profile athletes & sports teams throughout
the world. Products of Nike includes athletic footwear &
apparel, sports equipments etc.
Ticker: NKE
Company name: NIKE
Key ratios: it has current ratio of around 250%, pre tax ROE of
44%, operating margin of around 15% etc.
Oracle corporation:
Company profile: it is an American MNC incorporated in California.
It specializes in developing & marketing database software
& technology, cloud engineered systems. It also develops &
builds tools for database development, erp, crm etc. in 2018, it is
considered to be the third largest software maker by revenue after
Microsoft & alphabet.
Ticker: ORCL
Name: Oracle Corporation.
Key ratios: it has a current ratio of around 4, debt equity of 1.5,
receivable turnover ratio close to 8, return on assets close to 3
etc.
Pep:
Company profile: it operates a chain of retail stores. The
company specializes in offering clothing & footwear, home ware,
cellular products & baby products. It also serves customers
throughout South Africa.
Ticker: PEP
Name: pep Ltd.
Key ratios:
PG:
Company profile: it has been founded in 1837 by British American
William Procter & Irish American James gamble. It specializes
in hygiene products, healthcare, fabric & home care & baby,
family care etc.
Ticker: PG
Name: Procter & gamble:
Key ratios: adjusted profit margin of 15%, return on assets of
around 250%, current ratio of around 2%, quick ratio of around 1.6
etc.