Order from us for quality, customized work in due time of your choice.
Instructions:
Choose a publicly traded company that is listed on a stock exchange (e.g. NYSE, NASDAQ).
Research the company and gather its financial statements for the past 3 years (Income statement, balance sheet, and cash flow statement)
Analyze the financial statements and calculate the following financial ratios:
Current ratio
Debt to equity ratio
Return on assets (ROA)
Gross profit margin
Net profit margin
Compare the calculated ratios with industry averages and/or the company’s historical data.
Using the financial ratios and other information you have gathered, write a report that includes the following:
A brief overview of the company and its industry
A detailed analysis of the company’s financial statements including the calculated ratios
Your assessment of the company’s financial health based on the analysis
Recommendations for improvement if necessary
Order from us for quality, customized work in due time of your choice.