Abstract

This paper presents a meticulous financial analysis of Nvidia, Intel, and Texas Instruments, three leading companies in the semiconductor industry. And these three companies also operate in different section in the semiconductor industry. The study aims to provide insights into effective investment strategies of these companies. The investigation encompasses an analysis of recent financial indicators for these companies like exploring the meaning of various data, along with an exploration of asset selection challenges faced by nine distinct investor profiles including Value, Income, PEG, Index, Ratio analysis, DCF, Momentum, Insider buying and Stock buyback investors. Leveraging established financial models, the research reveals that Index, Momentum, Insider Buying, and Stock Buyback investors are inclined to invest in all three stocks. Additionally, Ratio Analysis and Discounted Cash Flow (DCF) investors are inclined towards investing Texas Instruments. The insights gained from this analysis contribute to the development of tailored investment strategies, ultimately aiming to optimize financial gains within the semiconductor sector.

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