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Youre choosing between the following 2 stocks. STOCK A
Previous Close 16.05 Market Cap 64.193B
Open 16.48 Beta (5Y Monthly) 1.10
Bid 16.00 x 1800 PE Ratio (TTM) 3.59
Ask 16.01 x 3000 EPS (TTM) 4.45
Days Range 15.93 16.57 Earnings Date Apr 27, 2022
52 Week Range 11.14 25.87 Forward Dividend/Yield. 0.40 (2.49%)
Volume 20,349,555 Ex Dividend Date Apr 25, 2022
Avg. Volume 84,184,306 1y Target Est 20.42
STOCK B
Previous Close 977.20 Market Cap 1.08T
Open 1,074.73 Beta (5Y Monthly) 2.08
Bid (1,041.72 x PE Ratio (TTM) 213.30
1100)
Ask (1,042.00 x EPS (TTM) 4.90
1300)
Days Range (1,037.74 Earnings Date Apr 20, 2022
1,090.50)
52 Week Range (546.98 Forward Dividend/Yield. N/A (N/A)
1,243.49)
Volume 20,092,172 Ex Dividend Date N/A
Avg. Volume 25,681,272 1y Target Est 953.51
a.Which of these two stocks do you think is a better deal? b.Whats one reason you might buy the other one?
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