based on the Coca-Cola information from 2019 what is the ROE, return on equity, profit margin, ROA, Asset turnover, and Financial leverage percentages?
CONSOLIDATED BALANCE SHORTS fin megt par value] th ARES Current Assets Cash and cash equalents S6,490 S9077 Short term investments 1,467 2025 Total Cash Cash Equivalents and Short-Term lavestments 7,967 11,102 Marketable securities 3,228 5,013 Trade accounts receivable, les allowances af 5524 and $501, respectively 3,971 3,685 Inventories 2,379 3.071 Prepaid expenses and other assets 1,836 2059 Total Carreat Assets 20,411 24,930 Equity method investments 19,625 19,412 Other investments 854 967 Other assets 6,075 4,14B Deferred income tax assets 2,412 2,674 Property, plant and equipment-net 10,838 9,598 Trademarks with indefinite lives 9,266 6,682 Battlers franchise rights with indefinite Ilves 109 51 Gondhvill 16,766 14,109 Other intangible assets 627 745 Total Assets $86,381 583.216 LIABILITIES AND EQUITY Current Liabilities Accounts payable and accrued expenses $11,312 $ 9,533 Laans and notes payable 10,994 13,835 Current maturities of long term debt 4,253 5,003 Accrued income taxes 414 411 Total Current Liabilities 26,973 28,742 Long term debe 27,516 25,276 Other liabilities 2.510 7.606 Deterred income taxaties 2.284 2354 The Coca-Cola Company Shareowners Equity Cammon stock, 50.26 par value, authorized 11 200 shares, issund 7.0.40 shares 1,760 Capital surplus 17.156 16520 Revested earnings 65 855 2.2 Accumulated other comprehensive income foss) (13,546) (12.814 Issursstack at cost 20 and 272 stars, pectively (52 244) [51,219 Equity Attributable to Shareowners of The Coca Cola Company cutable to incontrolling interests 211 Total Equity Total Lahines and Etuits sard Backward Pane 2h Rotate Arrange CONSOLIDATED STATEMENTS OY CASK FLOWS (In milions) Yearded December 11, 2019 2018 2017 Operating Activities Consolidated net income $ 8,905 6,476 3 1.283 Depreciation and amortization 1,366 1.086 1.260 Stock-based compensation expense 201 225 219 Deferred Income taxes (280 (413) (1.252) Equity (income) loss net of dividends (421) (467) (628) Foreign currency adjustments 90 (50) 292 Significant (pains) losses - net (467) 743 1.459 Other operating charges 122 558 1.218 Other items 504 699 (252) Net change in operating assets and liabilities 366 (1.240) 3.442 Net Cash Provided by Operating Activities 10,471 7,627 7.041 Investing Activities Purchases of investments (4,704) (7.789) (17.296) Procteds from disposals of investments 6,973 14,977 16,694 Acquisitions of businesses equity method investments and nonmarketable securities (5,542) (1,263) (3.809) Proceeds from disposals of businesses, equity method investments and nonmarketable securities 429 1.363 3.821 Purchases of property, plant and equipment (2,059 (1.548) (1.750) Proceeds from disposals of property, plant and equipment 978 249 100 Other investing activities (56) (60) (80) Net Cash Provided by Used in) Investing Activities (3,976) 5.9276.312) Financing Activities Issuances of debt 23,009 27,605 29,926 Payments of debt (24,050) (30.600) (18.871) Issuances of stock 1,012 1.476 1.595 Purchases of stock for treasury (1,103) (1.912) (8.682) Dividends (6,1149 (6.644) (6.320) Other financing activities (227) (27) Nettish Provided by used in) Financing Activities 19,000) (10.347.447) Ellert of Exchange Rate Changes on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 1723 (360 Cash, Castilvalents, Hestricted Cash and Restricted Cash Equivalents Tiet increase (decrease in cash cash equivalent. stricted cash and reinted cash equivalents during the year 12.51) 1945 (477) Cash och equivalents restricted cath and restricted othwaletes at beginning of year 6373 1890 as Casquivalents, itestricted cash and Restricted cash valents at Ent of Year 1.013 Le Restricted eth and restricted cash equivalents at end of year Last and Cash alents of Year 105 et consolidated Financial Statement CONSOLIDATED BALANCE SHORTS fin megt par value] th ARES Current Assets Cash and cash equalents S6,490 S9077 Short term investments 1,467 2025 Total Cash Cash Equivalents and Short-Term lavestments 7,967 11,102 Marketable securities 3,228 5,013 Trade accounts receivable, les allowances af 5524 and $501, respectively 3,971 3,685 Inventories 2,379 3.071 Prepaid expenses and other assets 1,836 2059 Total Carreat Assets 20,411 24,930 Equity method investments 19,625 19,412 Other investments 854 967 Other assets 6,075 4,14B Deferred income tax assets 2,412 2,674 Property, plant and equipment-net 10,838 9,598 Trademarks with indefinite lives 9,266 6,682 Battlers franchise rights with indefinite Ilves 109 51 Gondhvill 16,766 14,109 Other intangible assets 627 745 Total Assets $86,381 583.216 LIABILITIES AND EQUITY Current Liabilities Accounts payable and accrued expenses $11,312 $ 9,533 Laans and notes payable 10,994 13,835 Current maturities of long term debt 4,253 5,003 Accrued income taxes 414 411 Total Current Liabilities 26,973 28,742 Long term debe 27,516 25,276 Other liabilities 2.510 7.606 Deterred income taxaties 2.284 2354 The Coca-Cola Company Shareowners Equity Cammon stock, 50.26 par value, authorized 11 200 shares, issund 7.0.40 shares 1,760 Capital surplus 17.156 16520 Revested earnings 65 855 2.2 Accumulated other comprehensive income foss) (13,546) (12.814 Issursstack at cost 20 and 272 stars, pectively (52 244) [51,219 Equity Attributable to Shareowners of The Coca Cola Company cutable to incontrolling interests 211 Total Equity Total Lahines and Etuits sard Backward Pane 2h Rotate Arrange CONSOLIDATED STATEMENTS OY CASK FLOWS (In milions) Yearded December 11, 2019 2018 2017 Operating Activities Consolidated net income $ 8,905 6,476 3 1.283 Depreciation and amortization 1,366 1.086 1.260 Stock-based compensation expense 201 225 219 Deferred Income taxes (280 (413) (1.252) Equity (income) loss net of dividends (421) (467) (628) Foreign currency adjustments 90 (50) 292 Significant (pains) losses - net (467) 743 1.459 Other operating charges 122 558 1.218 Other items 504 699 (252) Net change in operating assets and liabilities 366 (1.240) 3.442 Net Cash Provided by Operating Activities 10,471 7,627 7.041 Investing Activities Purchases of investments (4,704) (7.789) (17.296) Procteds from disposals of investments 6,973 14,977 16,694 Acquisitions of businesses equity method investments and nonmarketable securities (5,542) (1,263) (3.809) Proceeds from disposals of businesses, equity method investments and nonmarketable securities 429 1.363 3.821 Purchases of property, plant and equipment (2,059 (1.548) (1.750) Proceeds from disposals of property, plant and equipment 978 249 100 Other investing activities (56) (60) (80) Net Cash Provided by Used in) Investing Activities (3,976) 5.9276.312) Financing Activities Issuances of debt 23,009 27,605 29,926 Payments of debt (24,050) (30.600) (18.871) Issuances of stock 1,012 1.476 1.595 Purchases of stock for treasury (1,103) (1.912) (8.682) Dividends (6,1149 (6.644) (6.320) Other financing activities (227) (27) Nettish Provided by used in) Financing Activities 19,000) (10.347.447) Ellert of Exchange Rate Changes on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 1723 (360 Cash, Castilvalents, Hestricted Cash and Restricted Cash Equivalents Tiet increase (decrease in cash cash equivalent. stricted cash and reinted cash equivalents during the year 12.51) 1945 (477) Cash och equivalents restricted cath and restricted othwaletes at beginning of year 6373 1890 as Casquivalents, itestricted cash and Restricted cash valents at Ent of Year 1.013 Le Restricted eth and restricted cash equivalents at end of year Last and Cash alents of Year 105 et consolidated Financial Statement