Bloomberg Market Wrap 2/14: S&P 500, Non-U.S. Bonds and Coca-Cola

Bloomberg Market Wrap 2/14: S&P 500, Non-U.S. Bonds and Coca-Cola

Assessment

Interactive Video

Business

University

Hard

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The video discusses the S&P 500's performance relative to retail data and the Fed's potential pause on rate changes. It highlights a $16 billion fund investing in international bonds, noting the appeal of easy money policies abroad. The video also covers Coca Cola's financial challenges, including a lackluster earnings forecast and rising costs, impacting its stock performance.

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2 questions

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1.

OPEN ENDED QUESTION

3 mins • 1 pt

What implications does the retail sales data have for the stock market according to the discussion?

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2.

OPEN ENDED QUESTION

3 mins • 1 pt

How has Coca Cola's gross margin changed recently, and what does this indicate?

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