Financial analysis project, Financial Management

Assignment Help:

1. Collect three years of recent, financial data (2007 - current), including the Balance Sheet, Income Statement, and Statement of Cash Flow.

a. REQUIRED - paper copies of financial data.  I will verify that the data is correct using the URL you provide.

2. Perform a Financial Analysis of the company

a. REQUIRED - Vertical Analysis for all three years.

b. REQUIRED - Horizontal Analysis showing the percent change between all three years.

c. REQUIRED - Trend Analysis using your oldest year's data as the base year.

d. REQUIRED - Ratio Analysis including five liquidity measures, three profitability measures, one long-term solvency measure, the free cash flow, and the P/E ratio.

3. Summarize the overall financial health of the company using your analysis.  You may research industry averages, etc. to strengthen your conclusions about the company.  The entire project must be typed and professional in appearance.  For example, excel spreadsheets should not be split in the middle of like data.  Change the page orientation, font size, margins, or go to two pages if you need to.


Related Discussions:- Financial analysis project

Finance manangement, What is the maximum price that you would be willing to...

What is the maximum price that you would be willing to pay for a constant growth stock that has the following characteristics: (a) Dividend (Has Paid): $3.25, (b) Growth: 7%, and (

International finance problem, International Finance Problem Analyze th...

International Finance Problem Analyze the attached case, along the lines indicated by the Assignment questions listed at the end of the case.  Since you will have plenty of tim

Financial audit, To begin this topic, the case of China Sky describes the a...

To begin this topic, the case of China Sky describes the appointment of a special auditor  in the organization that is also a rule in the procedures of Singapore Exchange (SGX). Th

Interest rate risk in financial management, Q. Interest Rate Risk in financ...

Q. Interest Rate Risk in financial management Interest rate risk is the variation in the single period rates of return caused by the fluctLlaoons in the market interest rate. M

Estimate the most systematic risk, Yang Su is considering the following inf...

Yang Su is considering the following information on two stocks:                                                                              Rate of Return State of Economy

Coefficient of determination, Coefficient of Determination As before, ...

Coefficient of Determination As before, Where, We can show that TSS = RSS + ESS We can also show that F = is an F distr

Qualification criteria for a bidder of contract, Q ualification criteria ...

Q ualification criteria We discussed how to prepare the bid documents. Let us now see what criteria should be considered to qualify a bidder. You will have to open bidding

Operating cycle, Uses of operating cycle in business

Uses of operating cycle in business

Describe market value weights, Q. Describe Market Value Weights? Market...

Q. Describe Market Value Weights? Market Value Weights: - As per market worth scheme of weighting the weights to dissimilar sources of finance are assigned on the basis of thei

Show external business risk, Q. Show External business risk? External r...

Q. Show External business risk? External risk is the result of operating conditions imposed on the firm by circumstances beyond its control. The external environments in which

Write Your Message!

Captcha
Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd