Video Description
Corporate profits can more than double and stock investors can still get poorer.
Cory Klippsten on the two bets you make when you buy a stock: what the company will earn, and what somebody else will pay for those earnings later. From 1968 through 1981, American investors learned just how different those two bets can be.
At the end of 1968, the S&P 500 was at 103.86. Thirteen years later it was at 122.55, an 18% gain. But reported earnings per share went from $5.72 to $15.18, up 165%, almost exactly keeping pace with inflation. Earnings weren't the problem. Valuation was. Investors went from paying a little over 18 times earnings to about 8. With every dividend reinvested, $100 became $205, while $265 was needed to buy what $100 bought at the start. About 23% of purchasing power lost...
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