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Question 3 PEPSICO, INC. NDO-PEP TIMELINESS 4 Lowered 4/16/21 SAFETY 1 Raised 5/11/01 TECHNICAL 3 Lowered 4/1/22 BETA .75 (1.00 Market) 18-Month Target Price
Question 3 PEPSICO, INC. NDO-PEP TIMELINESS 4 Lowered 4/16/21 SAFETY 1 Raised 5/11/01 TECHNICAL 3 Lowered 4/1/22 BETA .75 (1.00 Market) 18-Month Target Price Range Low-High Midpoint (% to Mid) High: 71.9 73.7 Low: 58.5 62.2 LEGENDS 20.0 x "Cash Flow" p sh Relative Price Strength Options: Yes Shaded area indicates recession $157-$210 $184 (10%) 2025-27 PROJECTIONS Ann'l Total, Price Gain Return (+35%) 10% High 225 Low 185 (+10%) 5% Institutional Decisions 202021 302021 402021 to Buy to Sell 1314 1263 1440 1117 1132 Percent shares 18 12 1159 traded 6 Hid's (000) 984338 990806 997305 COCA-COLA NYSE-KO TIMELINESS 3 Lowered 6/12/20 SAFETY 1 New 7/27/90 TECHNICAL 3 Raised 2/25/22 BETA .90 (1.00 Market) 18-Month Target Price Range Low-High Midpoint (% to Mid) $54-$77 $66 (5%) 2025-27 PROJECTIONS Ann'l Total Price Gain Return High 75 (+20%) 7% Low 60 (-5%) 2% Institutional Decisions High: 35.9 40.7 Low: 30.6 33.3 LEGENDS 17.0 x "Cash Flow" p. sh Relative Price Strength 2-for-1 split 8/12 Options: Yes Shaded area indicates recession 202021 302021 4Q2021 1131 1071 Percent 15 1167 1407 994 969 shares traded 10 to Buy to Sell Hid's (000)289270629216552966762 506 Which stock is considered safe? O Pepsi O Coke O Both Pepsi and Coke ONeither Pepsi and Coke RECENT PRICE P/E Trailing: 27.1 RELATIVE 169.32 RATIO 25.7 (Median: 21.0) PIE RATIO 1.42 DVD 2.6% YLD VALUE LINE 87.1 68.6 100.7 103.4 110.9 120.6 122.5 140.5 148.8 174.0 177.2 77.0 76.5 93.2 101.1 95.9 106.7 101.4 128.3 153.4 Target Price Range 2025 2026 2027 % TOT. RETURN 3/22 -320 -200 160 120 100 -80 .60 40 THIS VL ARITH." STOCK INDEX -18 1 yr. 20.2 4.3 3 yr. 47.1 54.0 5 yr. 71.3 73.6 RECENT PRICE P/E Trailing: RELATIVE 62.54 RATIO 26.3 (Median: 22.0) PE RATIO 1.45 YLD PE RATIO 1.45 2.8% 43.4 45.0 36.5 36.9 43.9 47.1 47.5 50.8 36.6 39.9 40.2 41.4 55.9 60.1 59.3 63.0 44.4 36.3 48.1 57.5 VALUE LINE Target Price Range 2025 2026 2027 128 96 -80 -64 48 40 32 24 16 12 % TOT. RETURN 3/22 THIS VL ARITH." STOCK INDEX 1 yr. 21.0 4.3 3 yr. 45.1 54.0 5 yr. 71.4 73.6
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