Evaluate the current financial health of the company by presenting your findings of relevant financial information based on a subset of the following:
Ratios: 1) liquidity 2) profitability, 3) leverage, 4) efficiency, 5) operating, and 6) market
value and investment ratios.
Also, using trend analysis, and/or common size analysis, and/or longitudinal analysis based on CAGR (Compound Annual Growth Rate – see CAGR in Investopedia.com ) to either
reinforce staying with the company’s status quo or to suggest changes in strategy in light of the results.
For each of your calculations or observations note whether a trend is up, down or flat
and note the strategic impact of each finding. concluding summary statement should address the strategic implications arising from your
analysis of the financial health of the company.