StudentShare
Contact Us
Sign In / Sign Up for FREE
Search
Go to advanced search...
Free

Stock Market Game - Term Paper Example

Cite this document
Summary
The author of the paper selected five promising companies for the stock game based on their market performance and the recommendation of analysts. These stocks are Apple, Cisco, Zumiez, Novellus, and Sirius Xm Radio. The paper also contains a brief description of these companies…
Download full paper File format: .doc, available for editing
GRAB THE BEST PAPER98.1% of users find it useful
Stock Market Game
Read Text Preview

Extract of sample "Stock Market Game"

Stock Game Stock Market is a platform where the company’s shares and derivatives are traded at an agreed price through a recognized stock exchange. In the present time, investing in share market is a preferred investment option for Individual Investors and corporations. Stock Selection Five promising companies have been selected for the game based on their market performance and the recommendation of analysts. These stocks are: 1. Apple 2. Cisco 3. Zumiez 4. Novellus 5. Sirius Xm Radio Company Profile Brief descriptions of the companies selected are given below. Stock Picks Apple The company is well known for its iPod, iPhone, and iPad, as well as its line of laptop computers that are popular with students. The iPad is rapidly becoming a best seller, and although the Android phones are starting to have a larger share of the smartphone market than the iPhone, Apple is still the king of product innovation. Analysts do not expect the move to allow Verizon to sell iPhones starting in January to make a big difference to Apple, as most initial sales are expected to be from disgruntled AT&T customers switching. Many of these will find it cheaper to have their existing iPhones unlocked, than to buy a new one, and there is speculation that Apple will allow Verizon to apply a software download to allow AT&T-sold phones to work with their system. Other sources of profit for Apple will include the newly release iPods that allow access to social networking sites directly from the iPod, and set top boxes that will allow 99 cent rentals of high definition movies and programs. The stock carries a buy rating with most analysts, who believe the stock will reach a price of 350.00 per share over the next year. Cisco Systems: Cisco is the worlds dominant product of computer networking hardware and software for major systems. The companys newest endeavor is software for an internet based system for smart grids in the electricity market. The company is partnering with Itron, the maker of the most advanced electric meters, which should enable them to get faster and deeper penetration of the smart grid market, and has the potential, according to Business Week, to be a multibillion dollar per year revenue opportunity. They are making a smart move by having a nonexclusive agreement with Itron, meaning they could enter similar agreements with other companies as well. The stock carries an outperform rating and a value of 32.00 per share, with unlimited growth potential. Zumiez: This company is a specialty sports retailer. For the previous two quarters, comparable same store sales have been growing at 9.1%, when the estimate of such growth was 7.5%. They have done this while increasing their markup percentage, resulting in solid improvement to their gross margin. They also announced the settlement of a lawsuit that was causing concern about what their results might be going forward, settling it for a much smaller payout than people thought they might have to make. Retail industry experts believe they will continue to grow at least at 9% per month in terms of same store sales for the rest of the year and longer. The consensus rating on the stock is buy, and analysts believe the fair value of the stock is 19.00 Novellus Systems: This company is a major manufacturer of semiconductor making equipment. The sales are expected to be up as much as 10% per quarter from now to the end of the year, because there is high demand for semiconductors to make chips for mobile devices. Even though the price of memory chips is falling, analysts expect the companys customers to have a high demand for newer model equipment through the next year. The stock has a hold rating and analysts say the fair value is 29.00. The hold rating, instead of a buy rating, is probably because of concerns for the industry overall, but the stock is solid. It may be a good candidate for "grab any gain and run" as better performing stocks are identified through the term of the project. Sirius XM Radio, Inc.: With its short term value of 1.25 per share and its long term value of 1.45 per share, according to analyst consensus, the stock has a buy rating. The company currently has a monopoly on satellite radio, where you can get special stations over a special receiver anywhere you are at. It offers a large and growing list of stations of just about every type. It is popular, with many new cars offering satellite receivers as standard equipment, and including the first years subscription to the service in the price of the car. A very recent article on Businessweek.com said that shock jock Howard Stern might be leaving, and that getting rid of his overpriced contract could have a very positive effect on the companys financial performance. If this does happen, I suspect the stock might go beyond its 1.45 long term value. At any rate, it is a low price stock, positioned to have a high price gain in proportion to its value. Because of the price, a large number of shares can be obtained for a small cash layout. This stock, too, might be good candidates for short term holding, i.e., grab the gain and run. Take-Two Interactive Software, Inc.: This is the video game maker that makes the very popular Grand Theft Auto series and that recently released the extremely well received Red Dead Redemption. The analysts have a consensus hold rating on the stock, and say the fair value is 12.00 per share. The company had a profit of 28 cents per share for the second quarter, when analysts had expected a loss of eight cents per share. It is forecasting full year earnings of 60 to 70 cents a share for both this year and 2011. This is because it expects overseas sales of Red Dead Redemption to be as strong as US sales have been. Additionally, their recently release Mafia II is doing very well, and the soon to be released NBA 2K will be popular simply because it features Michael Jordan both on the cover and in the game. There are concerns that the profit estimates are aggressive, because the company will not release a new version of Grand Theft Auto in 2011. However, if they do achieve their estimates, the stock is likely not only to outperform its hold rating, but to outperform its industry and the market as a whole. Game in Detail: The total amount to be invested for the portfolio is $50000, equally divided among the companies. So $10000 will be invested for each of the stock initially. Portfolio position on Sep 20, 2010 Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share** Total Portfolio Value Apple AAPL $10,000 35 283 $10,000 Cisco CSCO $10,000 435 23 $10,000 Zumiez ZUMZ $10,000 500 20 $10,000 Novellus System NVLS $10,000 385 26 $10,000 Sirius Xm Radio SIRI $10,000 10000 1 $10,000 Total   $50,000 11355 353 $50,000 Note: No of shares calculated as 10,000stock value at sep 20th ** share value on 20th sep Sell Zumiez on Oct 8, 2010 Company profile: Zumiez is a leading specialty retailer of action sports related apparel, footwear, equipment and accessories. Our stores cater to young men and women between ages 12-24, focusing on skateboarding, surfing, snowboarding, motocross and BMX. As of August 28, 2010 we operated 396stores, which are primarily located in shopping malls. Their streanght lies in the wide verieties of products they are offering. Reason for selling: Company has announced their September sales release on that results were not that much promising. Also the technical analysis shows a diminishing trend in the short-term. It may be an opportunity to take profit out of this trend. But company’s future is promising. After selling we got a gain of $2870. The total portfolio value stood at $55,767 shows a hike of $5767. Detailed chart is given below. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Apple AAPL $10,000 35 294.0698 0 $10,292 Cisco CSCO $10,000 435 22.48 0 $9,779 Zumiez ZUMZ $10,000 500 25.78 20 $12,870 Novellus System NVLS $10,000 385 25.78 0 $9,925 Sirius Xm Radio SIRI $10,000 10000 1.29 0 $12,900 Total   $50,000 11355 369.3998 20 $55,767 Buy Sprint Nextel on Oct 8th, 2010 Company profile: “Sprint Nextel offers a comprehensive range of wireless and wire line communications services bringing the freedom of mobility to consumers, businesses and government users. Sprint Nextel served more than 48.8 million customers at the end of the third quarter of 2010 and is widely recognized for developing, engineering and deploying innovative technologies, including the first wireless 4G service from a national carrier in the United States; offering industry-leading mobile data services, leading prepaid brands including Virgin Mobile USA, Boost Mobile, Common Cents Mobile and Assurance Wireless; instant national and international push-to-talk capabilities; and a global Tier 1 Internet backbone. Newsweek ranked Sprint No. 6 in its 2010 Green Rankings, listing it as one of the nation’s greenest companies, the highest of any telecommunications company.” (Cell phones, Mobile phones, & wirless Calling Plans from Sprint). Reason for buying: Sprint is expanding its 4G products and again became the first wireless carrier to offer 4G embedded notebook in U.S. These products are expected to add more to companies earning basket in near future. Here, we are buying 2872 number of shares at 4.48 per share, which yielded -$0.20 loss to us, but in future this company’s share price will be promising. Our total portfolio has increased to $55,747. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Apple AAPL $10,000 35 294.0698 0 $10,292 Cisco CSCO $10,000 435 22.48 0 $9,779 Sprint Nexter S $12,870 2872 4.48 20 $12,850 Novellus System NVLS $10,000 385 25.78 0 $9,925 Sirius Xm Radio SIRI $10,000 10000 1.29 0 $12,900 Total   $52,870 13727.76786 348.0998 20 $55,747 Sell Apple on Sep 18, 2010 Company profile: Apple designs Macs, the best personal computers in the world, along with OS X, iLife, iWork, and professional software. Apple leads the digital music revolution with its iPods and iTunes online store. Apple is reinventing the mobile phone with its revolutionary iPhone and App Store, and has recently introduced its magical iPad which is defining the future of mobile media and computing devices.” (The Beatles Now on iTunes). Company’s strength is its revolutionary technology and high quality products. Reason for Selling: There is a rumor that company’s flagship product iphone may lag in supply of Retina display. It may have an effect on company’s profit. So a buy signal for this stock will yield profit for us in the short-term. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Apple AAPL $10,000 35 318 20 $11,110 Cisco CSCO $10,000 435 23.295 0 $10,133 Sprint Nexter S $12,850 2873 4.57 0 $13,130 Novellus System NVLS $10,000 385 27.09 0 $10,430 Sirius Xm Radio SIRI $10,000 10000 1.375 0 $13,750 Total   $52,850 13728 374.33 20 $58,553 Result: On 18th the total portfolio value is $58553, which is 17% increase from Sep 20th, 2010. We sold apple at a rate of 318USD and the gain is 1110USD. Buy Pfizer on Sep 18, 2010 Company profile: Pfizer, apply science and our global resources to improve health and well-being at every stage of life. Company strives to set the standard for quality, safety and value in the discovery, development and manufacturing of medicines for people and animals. Company’s health care portfolio includes human and animal biologic and small molecule medicines and vaccines, as well as nutritional products and many of the worlds best-known consumer products. They also collaborate with health care providers, governments and local communities to support and expand access to reliable, affordable health care around the world.” (Lost actress Spotlights Alzheimer’s Finland). Reason for Buying: On Oct 12, 2010, Pfizer has acquired King Pharmauiticals, a company that operates in clinical research field. The acquisition will be accretive to company’s EPS and revenue. Also it is an opportunity for the company to expand it operation in other countries also. Acquisition expected to provide a cost savings of $500 million. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 17.8 20 $11,090 Cisco CSCO $10,000 435 23.295 0 $10,133 Sprint Nexter S $12,870 2873 4.57 0 $13,130 Novellus System NVLS $10,000 385 27.09 0 $10,430 Sirius Xm Radio SIRI $10,000 10000 1.375 0 $13,750 Total   $53,980 14317 74.13 20 $58,533 Here, 624 number of shares bought at a price of 17.8/share. Sell Sprint Nextel on Oct, 22nd Company profile: Sprint Nextel offers a comprehensive range of wireless and wireline communications services bringing the freedom of mobility to consumers, businesses and government users. Sprint Nextel served more than 48.8 million customers at the end of the third quarter of 2010 and is widely recognized for developing, engineering and deploying innovative technologies, including the first wireless 4G service from a national carrier in the United States; offering industry-leading mobile data services, leading prepaid brands including Virgin Mobile USA, Boost Mobile, Common Cents Mobile and Assurance Wireless; instant national and international push-to-talk capabilities; and a global Tier 1 Internet backbone. Newsweek ranked Sprint No. 6 in its 2010 Green Rankings, listing it as one of the nation’s greenest companies, the highest of any telecommunications company.” (Cell phones, Mobile phones, & wirless Calling Plans from Sprint). Reason to sell: Company’s stock price has reached an all time high of 4.85/share, and this is above the last one year average of 4.16/share. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,090 624 17.5 0 $10,920 Cisco CSCO $10,000 435 23.48 0 $10,214 Sprint Nexter S $12,870 2873 4.85 20 $13,914 Novellus System NVLS $10,000 385 27.6 0 $10,626 Sirius Xm Radio SIRI $10,000 10000 1.31 0 $13,100 Total   $53,960 14317 74.74 20 $58,774 Result: A selling result into a gain of around $1000 and total portfolio value reached at $58,774 an increase of 17.5%. Buy Zumies on Oct 22, 2010 Company profile: Zumiez is a leading specialty retailer of action sports related apparel, footwear, equipment and accessories. Zumiez stores cater to young men and women between ages 12-24, focusing on skateboarding, surfing, snowboarding, motocross and BMX. Company’s strength is that, as of August 28, 2010 they operated 396stores, which are primarily located in shopping malls.” (Win a trip). Reason to buy: Company’s share movement shows an increasing trend, for the last one year. So a buy at this stage may yield better return at the end of the month as the share price is increasing. Also company’s September results showing a sales increase of 22.5% leading to a better future for the firm. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,090 624 17.5 0 $10,920 Cisco CSCO $10,000 435 23.48 0 $10,214 Zumiez ZUMZ $13,914 543 25.64 20 $13,894 Novellus System NVLS $10,000 385 27.6 0 $10,626 Sirius Xm Radio SIRI $10,000 10000 1.31 0 $13,100 Total   $55,004 11986.66966 95.53 20 $58,754 Result: The transaction result in an total portfolio value of $58,754. It is rise from $55,004 from this week. Sell Sirius Xm Radio Inc on 3 Nov, 2010 Company profile: SIRIUS XM is Americas satellite radio company, broadcasting more than 135 channels of commercial-free music, and premier sports, news, talk, entertainment, traffic, weather, and data services to 19.9 million subscribers in cars, trucks, boats and aircraft, and through a wide range of mobile devices. The strength of the company is they offer an array of content from some of the biggest names in entertainment, as well as from professional sports leagues, major colleges, and national news and talk providers.” (Satellite Radio- Everything worth listening to is now on) Reason to sell: Company reported Q3 result on Nov 4th, 2010 and shows a minor progress in its sales. Also Net income was only 0.01.share. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,090 624 17.59 0 $10,976 Cisco CSCO $10,000 435 23.71 0 $10,314 Zumiez ZUMZ $13,894 543 25.34 0 $13,760 Novellus System NVLS $10,000 385 29.95 0 $11,531 Sirius Xm Radio SIRI $10,000 10000 1.57 20 $15,680 Total   $54,984 11,987 98.16 20 $62,260 Results: The total portfolio has grown to $62260, i.e., a growth of $12,260 or 24%. Buy Ford Motors on Nov 3, 2010 Company profile: Ford Motor Company (NYSE: F), a global automotive industry leader based in Dearborn, Mich., manufactures or distributes automobiles across six continents. With about 163,000 employees and about 70 plants worldwide, the companys automotive brands include Ford, Lincoln and Mercury, production of which has been announced by the company to be ending in the fourth quarter of 2010.” (Not all technology fits in your pocket). Reason to buy: Good October sales result increase of 19%. New vehicles YTD growth doubles the industrial average. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,090 624 17.59 0 $10,976 Cisco CSCO $10,000 435 23.71 0 $10,314 Zumiez ZUMZ $13,894 543 25.34 0 $13,760 Novellus System NVLS $10,000 385 29.95 0 $11,531 Ford Motors F $15,680 1,033 15.18 20 $15,660 Total   $60,664 3,020 111.77 20 $62,240 Result: Total portfolio value decreased to $62,240. Sell Novellus on Nov 8, 2010 Company profile: “Novellus Systems, Inc. is a leading provider of advanced process equipment for the global semiconductor industry. An S&P 500 company, Novellus is headquartered in San Jose, Calif. with subsidiary offices across the globe.” (Find & Review Web Hosting). Reason to Sell: Company’s share price is now stood at more than one year average. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 17.051 0 $10,640 Cisco CSCO $10,000 435 24.39 0 $10,610 Zumiez ZUMZ $15,587 608 28.44 0 $17,292 Novellus System NVLS $10,000 385 30.84 20 $11,853 Ford Motors F $15,660 1,033 16.41 0 $16,952 Total   $62,357 3,085 117.131 20 $67,346 Result: The portfolio value has been increased at a whopping 34% as of November 8, 2010. Buy City Group on Nov 8, 2010 Company profile: Citi, the leading global financial services company, has approximately 200 million customer accounts and does business in more than 160 countries. Company’s strength is that its two operating units, Citicorp and Citi Holdings, Citi provides consumers, corporations, governments and institutions with a broad range of financial products and services, including consumer banking and credit, corporate and investment banking, securities brokerage, transaction services, and wealth management. Reason to buy: Their recent Multi-bank Global trade initiatives and Sponsored ADR programs with Sumitomo group promises better profitability in short-term. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 17.051 0 $10,640 Cisco CSCO $10,000 435 24.39 0 $10,610 Zumies ZUMZ $15,587 608 28.44 0 $17,292 City Group C $11,853 2676 4.43 20 $11,833 Ford Motors F $15,660 1,033 16.41 0 $16,952 Total   $64,211 5,376 90.721 20 $67,326 Result: Total stock value now stood at $67,326, after buying a lot of 2676 shares. Sell Cisco on Nov 9, 2010 Company profile: Cisco is the worlds dominant product of computer networking hardware and software for major systems. The companys newest endeavor is software for an internet based system for smart grids in the electricity market. The company is partnering with Itron, the maker of the most advanced electric meters, which should enable them to get faster and deeper penetration of the smart grid market, and has the potential, according to Business Week, to be a multibillion dollar per year revenue opportunity. They are making a smart move by having a nonexclusive agreement with Itron, meaning they could enter similar agreements with other companies as well. Reason to Sell: Share price now stood at $24.35/share which is above one year average of $23.50/share. Even though, company is having long-term growth potential of 32.0, short-term fluctuation will yield better gain. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 16.99 0 $10,602 Cisco CSCO $10,000 435 24.35 20 $10,572 Zumies ZUMZ $15,587 608 27.76 0 $16,878 City Group C $11,833 2676 4.3 0 $11,507 Ford Motors F $15,660 1,033 16.07 0 $16,600 Total   $64,191 5,376 89.47 20 $66,159 Result: The total portfolio value now standing at $66,159 after selling 435 number of Cisco shares at 24.35. Buy Qwest Communication International on Nov 9, 2010 Company profile: Customers coast-to-coast turn to Qwests industry-leading national fiber-optic network and world-class customer service to meet their communications and entertainment needs. For residential customers, Qwest offers a new generation of fiber-optic Internet service, high-speed Internet solutions, as well as digital home phone, wireless service available through Verizon Wireless and DIRECTV® services. Qwest is also the choice of 95 percent of Fortune 500 companies, offering a full suite of network, data and voice services for small businesses, large businesses, government agencies and wholesale customers. Additionally, Qwest participates in Networx, the largest communications services contract in the world, and is recognized as a leader in the network services market by a leading technology industry analyst firm. Reason to buy: Good Q3 earning result and long-term contracts promises good earning performance. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 16.99 0 $10,602 Qwest Communication Q $10,572 1557 6.79 20 $10,552 Zumies ZUMZ $15,587 608 27.76 0 $16,878 City Group C $11,833 2676 4.3 0 $11,507 Ford Motors F $15,660 1,033 16.07 0 $16,600 Total   $64,763 6,498 71.91 20 $66,139 Result: Total value of the portfolio is $66,136. Sell Zumiez on Nov 19, 2010 Company profile: This company is a specialty sports retailer. For the previous two quarters, comparable same store sales have been growing at 9.1%, when the estimate of such growth was 7.5%. They have done this while increasing their markup percentage, resulting in solid improvement to their gross margin. They also announced the settlement of a lawsuit that was causing concern about what their results might be going forward, settling it for a much smaller payout than people thought they might have to make. Retail industry experts believe they will continue to grow at least at 9% per month in terms of same store sales for the rest of the year and longer. Reason to sell: The consensus rating on the stock is buy, and analysts believe the fair value of the stock is 19.00. Today stock price is standing at28.83, correct time to take profit. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 16.7975 0 $10,482 Qwest Communication Q $10,552 1557 6.93 0 $10,790 Zumies ZUMZ $15,587 608 28.83 20 $17,509 City Group C $11,853 2676 4.268 0 $11,421 Ford Motors F $15,680 1,033 16.28 0 $16,817 Total   $64,783 6,498 73.1055 20 $67,019 Result: Total portfolio value is now $67,019 an increase of 34%. Sell Qwest Communication on Nov 19, 2010 Reason to sell Many analysts consensus estimates is 5.0/share and now it is standing at 6.93/share. Company Name Symbol Investment (USD in ‘000s) # of Shares* Amt. per Share Transaction Cost Total Portfolio Value Pfizer PFE $11,110 624 16.7975 0 $10,482 Qwest Communication Q $10,552 1557 6.93 20 $10,770 Zumies ZUMZ $17,509 608 28.83 0 $17,529 City Group C $11,853 2676 4.268 0 $11,421 Ford Motors F $15,680 1,033 16.28 0 $16,817 Total   $66,704 6,498 73.1055 20 $67,019 Portfolio Status of Each Week starting from Sep 20th to Nov 19th, 2010 Sep 20 to Sep 24 Company Name # of Shares* Apple 35 Cisco 435 Zumiez 500 Novellus System 385 Sirius Xm Radio 10000 Total 11355 sep 27 to Oct 1 Company Name # of Shares* Apple 35 Cisco 435 Zumiez 500 Novellus System 385 Sirius Xm Radio 10000 Total 11355 Oct 4 to Oct 8 Company Name # of Shares* Apple 35 Cisco 435 Zumiez 500 Novellus System 385 Sirius Xm Radio 10000 Total 11355 Oct 11 to Oct 15 Company Name # of Shares* Apple 35 Cisco 435 Zumiez 500 Novellus System 385 Sirius Xm Radio 10000 Total 11355 Oct 18 to Oct 22 Company Name # of Shares* Pfizer 624 Cisco 435 Sprint Nexter 2873 Novellus System 385 Sirius Xm Radio 10000 Total 14317 Oct 25 to Oct 29 Company Name # of Shares* Pfizer 624 Cisco 435 Sprint Nexter 2873 Novellus System 385 Sirius Xm Radio 10000 Total 14317 Nov 1 to Nov 5 Company Name # of Shares* Pfizer 624 Cisco 435 Zumies 543 Novellus System 385 Sirius Xm Radio 10000 Total 11,987 Nov 8 to Nov 12 Company Name # of Shares* Pfizer 624 Cisco 435 Zumies 608 Novellus System 385 Ford Motors 1,033 City Group 2675 Total 5760 Nov 15 to Nov 19 Company Name # of Shares* Pfizer 624 Qwest Communication 1557 Zumies 608 City Group 2676 Ford Motors 1,033 Total 6,498 Summary Statement Company Name Total Portfolio Value # of Shares Value per Share Pfizer 10481.64 624 16.7975 Qwest Communication 10770.01 1557 6.93 Zumies 17528.64 608 28.83 City Group 11421.168 2676 4.268 Ford Motors 16817.24 1,033 16.28 Total 67019 6,498 73 Total ROI 67018 - 50,000 34% Works Cited Cell phones, Mobile phones, & wirless Calling Plans from Sprint. Sprint, 2010. Web. 5 Dec. 2010. Find & Review Web Hosting. Novellus. Web. 5 Dec. 2010. .Lost actress Spotlights Alzheimer’s Finland. Pfizer, 2010. Web. 5 Dec. 2010. Not all technology fits in your pocket. FORD, 2010.Web. 5 Dec. 2010. Satellite Radio- Everything worth listening to is now on. SIRIUS. Web. 5 Dec. 2010. The Beatles. Now on iTunes. Apple, 2010. Web. 5 Dec. 2010. Win a trip. ZUMIEZ, 2010. Web. 5 Dec. 2010. Read More
Cite this document
  • APA
  • MLA
  • CHICAGO
(Stock Market Game Term Paper Example | Topics and Well Written Essays - 2500 words, n.d.)
Stock Market Game Term Paper Example | Topics and Well Written Essays - 2500 words. Retrieved from https://studentshare.org/finance-accounting/1746210-finance-project
(Stock Market Game Term Paper Example | Topics and Well Written Essays - 2500 Words)
Stock Market Game Term Paper Example | Topics and Well Written Essays - 2500 Words. https://studentshare.org/finance-accounting/1746210-finance-project.
“Stock Market Game Term Paper Example | Topics and Well Written Essays - 2500 Words”, n.d. https://studentshare.org/finance-accounting/1746210-finance-project.
  • Cited: 0 times

CHECK THESE SAMPLES OF Stock Market Game

Enron Capital and Trade Resources

How could Enron play in this exciting new game (Jorion 2003, p.... In fact, very few companies in the 1990s were as well positioned as Enron to play in this game (or so it seemed).... "The market will not be for the faint of heart or the ill-prepared," one observer commented.... "Success will require careful consideration of the appropriate market entry strategy.... That perspective, of course, was the price of a share of Enron stock....
8 Pages (2000 words) Essay

The Closing Stock Market Price of Caffe Nero

The prospective investors can artificially cause the stock market price of Caffe Nero to go up.... The stock market price for a single stock of Caffe Nero has increased because many investors want to put their money in the income generating Caffe Nero.... stock market listing of the stocks of Caffe Nero and other companies will generate funds for their business.... The stock market price is based on the basic economic principle of supply and demand principle....
7 Pages (1750 words) Research Paper

Hedging as a Stock Trading Strategy

The option of stock analysis is resolute by the investors faith in the different prototypes for "how the stock market works".... The three Ms of stock trading also plays a crucial part in the stock market.... The most common one is using effective stock trading strategies to find out which are the stocks that can be bought at a particular time, when to sell them and to protect the investment.... Needless to say,… The better of all the available stock trading strategy for newbie's is discussed. Hedging is a better stock trading strategies when the investors' aim is capital protection....
1 Pages (250 words) Essay

The stock market: a place to invest

In the 19th century farm equipment was a great investment since it could be used to assist in the… In the 20th century the stock market was the most attractive investor tools that created fortune for some, while other went bankrupt as a result of market The two most infamous market crashes were the market crash of 1929 referred too as Black Monday, and the Wall Street collapse of 1987.... In this paper we analyzed the stock market to justify why it is still a good place to invest and provide reasons why the prices stock have gone down....
4 Pages (1000 words) Essay

THE STOCK MARKET PART II (case)

There are a lot of… This “involves the study of various factors that affect a company's earnings and dividends which, in turn, influence its stock price.... This “involves the study of various factors that affect a company's earnings and dividends which, in turn, influence its stock price.... Based on stock price forecast for the next 12 months, Oracle will have a high estimate of $42.... In addition, the stock P/E ratio of Oracle is traded at higher rate than the other two companies because its forecasted earnings growth is also high, making the investment more risky....
2 Pages (500 words) Essay

Borrowing against Yourself by Jason Zweig

Productivity ratios measures the firm's usage of its benefit and control of its expenses to make a satisfactory rate of return and finally market ratios, which measures inventors' reply to possessing a firm's stock and also the price of issuing stock.... Margin loans permit someone to borrow currency against the worth of the brokerage account to allow one to buy property at interest, which is frequently below those you could obtain from other… Buying stock on margin simply means borrowing money from the brokerage and using them to purchase assets....
4 Pages (1000 words) Assignment

Northeast Utilities to buy NSTAR for $4.17 bln

7 billion with an all-stock agreement creates the utility that provided power and gas for half or more of the customers in England.... New report from the company explains that, Reuters- the Northeast Utilities (NU.... ) buying the peer NSTAR NST.... at $4.... It details us about the… Chief Executive NSTAR Thomas May explains that, there is a deal that allowed both the shareholders who earned more earnings and the growing dividend to Therefore, such deals were called to exchange 1....
4 Pages (1000 words) Thesis Proposal

Continued Growth in China

as it occurred with  The Shanghai stock market and Chinese multinational enterprises particularly in 2008, when China hosted the Olympic games.... The rate of development of its economy (as it can be assumed also through the performance of the Chinese MNEs) as well as the performance of its major Stock Exchange Market, the Shanghai stock market, is the best indicator for the increase of the country's financial performance through the years.... The Shanghai stock market is one of the most significant aspects of China's economy....
8 Pages (2000 words) Coursework
sponsored ads
We use cookies to create the best experience for you. Keep on browsing if you are OK with that, or find out how to manage cookies.
Contact Us