4) The list of stocks appearing below is taken from the Dow Jones Industrial Average list...
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4) The list of stocks appearing below is taken from the Dow Jones Industrial Average list of 30 stocks. Prices and dividend per share figures are as of 5/28/2016: SYMBOL AXP AAPL BA CAT CVX CSCO KO DIS DD XOM GE GS HD IBM INTC JNJ JPM MCD MSFT MMM MRK NIKE PFE PG TRV UNH UTZ VZ V WMT 700 shares 400 shares 600 shares NAME 500 shares 600 shares 700 shares American Express Apple, Inc Boeing Co. Caterpillar Chevron Corp. Cisco Systems Inc. Coca-Cola Company Walt Disney Company E.I Dupont and Co Exxon Mobil Corp General Electric Corp Goldman Sachs Group Home Depot Inc Int'l Business Machines Corp Intel Corp. Johnson & Johnson J.P Morgan Chase McDonalds Corp Microsoft Corp 3M Corp Merck and Co Inc Nike, Inc Pfizer Inc Proctor & Gamble Co Travelers Companies, Inc United Health Group United Technologies Corp Verizon Communications Inc YOU currently own the following stocks in your portfolio: Exxon Mobil Corp Wal-Mart Stores, Inc Home Depot, Inc. Microsoft Corp. Proctor & Gamble Co. Coca-Cola Co. Visa, Inc Wal-mart Stores, Inc PRICE PER SHARE $65.52 $100.35 $129.22 $71.96 $102.02 $28.92 $44.78 $100.29 $67.17 $90.01 $30.12 $159.53 $133.94 $152.84 $31.57 $113.06 $65.43 $123.25 $52.32 $168.89 $56.48 $56.19 $34.61 $81.43 $114.18 $134.00 $100.76 $50.62 $79.66 $70.75 Please determine the following (as of 5/28/2016): A) The Dividend Yield for the entire portfolio B) The market value of the Consumer Non-Durables sector of your portfolio C) The total annual estimated dividend income of your portfolio DIVIDEND $1.16 $2.28 $4.36 $3.08 $4.28 $1.04 $1.40 $1.42 $1.52 $3.00 $0.92 $2.60 $2.76 $5.60 $1.04 $3.20 $1.92 $3.56 $1.44 $4.44 $1.84 $0.64 $1.20 $2.68 $2.68 $2.00 $2.64 $2.26 $0.56 $2.00 4) The list of stocks appearing below is taken from the Dow Jones Industrial Average list of 30 stocks. Prices and dividend per share figures are as of 5/28/2016: SYMBOL AXP AAPL BA CAT CVX CSCO KO DIS DD XOM GE GS HD IBM INTC JNJ JPM MCD MSFT MMM MRK NIKE PFE PG TRV UNH UTZ VZ V WMT 700 shares 400 shares 600 shares NAME 500 shares 600 shares 700 shares American Express Apple, Inc Boeing Co. Caterpillar Chevron Corp. Cisco Systems Inc. Coca-Cola Company Walt Disney Company E.I Dupont and Co Exxon Mobil Corp General Electric Corp Goldman Sachs Group Home Depot Inc Int'l Business Machines Corp Intel Corp. Johnson & Johnson J.P Morgan Chase McDonalds Corp Microsoft Corp 3M Corp Merck and Co Inc Nike, Inc Pfizer Inc Proctor & Gamble Co Travelers Companies, Inc United Health Group United Technologies Corp Verizon Communications Inc YOU currently own the following stocks in your portfolio: Exxon Mobil Corp Wal-Mart Stores, Inc Home Depot, Inc. Microsoft Corp. Proctor & Gamble Co. Coca-Cola Co. Visa, Inc Wal-mart Stores, Inc PRICE PER SHARE $65.52 $100.35 $129.22 $71.96 $102.02 $28.92 $44.78 $100.29 $67.17 $90.01 $30.12 $159.53 $133.94 $152.84 $31.57 $113.06 $65.43 $123.25 $52.32 $168.89 $56.48 $56.19 $34.61 $81.43 $114.18 $134.00 $100.76 $50.62 $79.66 $70.75 Please determine the following (as of 5/28/2016): A) The Dividend Yield for the entire portfolio B) The market value of the Consumer Non-Durables sector of your portfolio C) The total annual estimated dividend income of your portfolio DIVIDEND $1.16 $2.28 $4.36 $3.08 $4.28 $1.04 $1.40 $1.42 $1.52 $3.00 $0.92 $2.60 $2.76 $5.60 $1.04 $3.20 $1.92 $3.56 $1.44 $4.44 $1.84 $0.64 $1.20 $2.68 $2.68 $2.00 $2.64 $2.26 $0.56 $2.00
Expert Answer:
Answer rating: 100% (QA)
A The Dividend Yield for the entire portfolio The total dividend yield for the entire portfolio is calculated by taking the sum of the dividends per s... View the full answer
Related Book For
Understanding Business Statistics
ISBN: 978-1118145258
1st edition
Authors: Stacey Jones, Tim Bergquist, Ned Freed
Posted Date:
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