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ANALYSE THE LIQUIDITY RATIO FOR WALMART FOR THE YEAR ENDING 2022 CURRENT RATIO CURRENT ASSET/CURRENT LIABILITY 92.77972968 QUICK RATIO CURRENT ASSET-INVENTOR/CURRENT LIABILITY 28.15207315 CASH RATIO

ANALYSE THE LIQUIDITY RATIO FOR WALMART FOR THE YEAR ENDING 2022

CURRENT RATIO CURRENT ASSET/CURRENT LIABILITY 92.77972968

QUICK RATIO CURRENT ASSET-INVENTOR/CURRENT LIABILITY 28.15207315

CASH RATIO CASH/CURRENT LIABILITIES 0.168919306

OPERATING CASH FLOW OPERATING CASHFLOW/CURRENT LIABILITIES 0.276736973

NETWORK CAPITAL RATIO CURRENT ASSET-CURRENT LIABILITIES/TOTAL ASSET -6309 -0.025765744

Following the quantitative analysis, provide a qualitative report of the company's liquidity and present your own analysis and comments. Please be sure to cite your online data source.

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