This report provides a comprehensive financial analysis of Amazon Inc., focusing on its financing strategies and capital budgeting techniques. It delves into Amazon's cash conversion cycle, comparing it to competitors, and explores the company's debt and equity financing options. The report examines the risks Amazon faces, including foreign exchange and operational interruptions, and calculates bond pricing and holding period returns. Furthermore, it applies capital budgeting methodologies, such as net present value and payback period, to evaluate potential investments like the expansion of cashier-less stores. The analysis includes detailed calculations and reflections on the key concepts, providing a clear understanding of Amazon's financial performance and strategic decision-making processes. The report references Amazon's annual reports and relevant financial articles to support its findings, offering valuable insights into the company's financial management practices.