calculate the current ratio & Quic (acid) ratio ( 2 digits > 0.00 ) and add a graph for both of them and explsin thr graph.
explain in short sentences the strengths and weaknesses in liquidity.
2012 2016 4724 4724 207 2017 3847 3847 1054 0.031. 0.566 2015 45 45 1.493 2019 3.179 3.179 0.505 0.025 0.875 1.506 1.673 2014 4523 4.523 1203 2018 3348 3.343 1721 0.032 0.55 2 302 1.046 2013 5.735 5735 2.149 0.55 0.553 2.045 2.455 0.559 1.861 2562 1738 0.018 0533 2.289 2549 3.009 -0.758 0019 0.013 Revenue Total Revenue Selling/General/Admin. Expenses, Total Depreciation/Amortization Other Operating Expenses, Total Total Operating Expense Operating Income Interest Income (Expense), Net-Non-Operating Total Net Income Before Taxes Provision for Income Themes Net Income After Taxes Net Income Before Extraordinary Items Net Income Income Available to Common Excluding Extraordinary items Income Available to Common Induding Extraordinary Items Diluted Net Income Diluted Weighted Average Shares Diluted Earnings per Share (EPS) Excluding Extraordinary items Dividends per Share - Common Stock Primary issue Diluted Normalized Earnings per Share (EPS) -0.439 1234 0.036 1198 1198 1.198 -0.391 0.654 0.008 0.545 0.646 0.546 0.412 2.249 0.044 2206 -0.439 1.757 0.034 1723 1723 1.723 -0.85 1.604 0.033 1571 1571 1.571 0032 1683 153 1.683 2205 2205 1.836 1.196 1.198 0.646 1723 1. 63 1.571 2206 1.836 1.196 1.198 0.646 1.198 0.546 308 748 308.748 1.723 1683 1.571 2.206 1836 1.196 1.723 1.583 1.571 2.206 1836 1.196 308 748 308 748 308 748 308.748 308.748 308 748 0.00 0.00 0.00 0.00 0.004 0.004 0.002 0.006 00- 0.004 0.002 0.006 0.00 0.00 0.00 0.006 0.004 Balance Sheet 2015 5 166 2014 2.235 2012 2.47 0152 2019 1.108 1.100 30.149 30 149 0.156 2018 1.592 1.592 29.354 29 354 2017 2121 2121 32.994 32.994 2016 5391 5391 32.751 32.751 39.931 37.968 37.963 31.898 31898 0.334 40334 1931 0.044 0.009 11 981 12.847 0.039 44.299 131 7.335 11.157 0.308 42.412 2136 6.668 11.099 0.056 46.269 2683 6 .492 11.404 0.068 49.614 1874 10.941 10.626 0.033 52.793 261 14.303 11.02 0.047 45201 1995 6928 11 103 0.063 - 52.019 S. OS 12.436 54.435 3.354 19.016 Cash & Equivalents Cash and Short Term Investments Accounts Receivable - Trade, Net Total Receivables, Net Property/Plant/Equipment - Total - Net Intangibles.Net Long Term Investments Other Assets - Total Total Assets Payable/Accrued Notes Payable/Short Term Debt Total Long Term Debt Total Debt Minority interest Other Liabilities. Total Total Liabilities Common Stock - Total Additional Paid In Capital Retained Earnings (Accumulated Deficit) Unrealized Gain (Loss) Total Equity Total Liabilities & Shareholders' Equity Total Common Shares Outstanding Tangible Book Value per Share - Common Equity 7.335 6.668 6 .492 10 941 14.303 0.00 0.00 0.00 0.00 0.00 12 1.282 1 113 0.997 0.966 10.352 10.093 10.296 13.82 18.138 30.875 30.875 30.875 30.875 30.875 0.312 0.312 0.312 0.312 0.312 2.372 1.175 4.787 4.607 4.468 0.387 -0.043 - 33.946 32 318 35.973 35.794 35.655 299 2.412 45 269 09 514 3.793 308.748 308.748 308.748 308.748 308.74 0.11 0.105 0.117 0.116 0.115 6.928 0.00 0.644 9.574 30.875 0.312 4.441 12.435 0.00 0.548 18.598 30.875 0.312 2.235 19 016 0.00 0.472 22.849 30.875 0.312 0.399 35627 31.422 31.585 45201 52019 54 435 308.748 308.748 308.748 0.115 0.108 0.102 2019 3.179 2018 3.343 2017 3.847 2016 2015 1.721 1.054 1707 1493 1303 0.605 0.025 0.875 1.506 1.673 0.55 2.302 1046 0.556 1652 2.195 0.54 2.251 2.473 0.553 2.045 2.455 0.559 1861 2.662 0.55 2.727 3.009 2.549 0.85 1.604 0.412 229 Revenue Total Revenue Selling/General/Admin Expenses. Total Depreciation Amortization Other Operating Expenses. Total Total Operating Expense Operating Income Interest Income Expensel. Net Non-Operating Total Net Income Before Thes Provision for Income Thes Net Income After Taxes Net Income Before Extraordinary Items Net Income Income Available to common Excluding Extraordinary Items Income Available to common including Extraordinary Items Diluted Net Income Diluted Weighted Average Shares Diluted Earnings per Share (EPS) Excluding Extraordinary Items Dividends per Share. Common Stock Primary Diluted Normalized Earnings per Share (EPS) 0.439 1.214 0.035 1.198 1193 1.198 -0.391 0.391 0.554 0.008 0546 0566 0.546 0.439 172 0.034 1.723 1.723 1.723 0.758 1715 0032 1683 163 1.583 1.154 1855 0.019 1834 1.836 1835 1571 2.206 1.198 0.546 1.723 1683 1571 2.206 1.836 1.198 0.5461.723 1683 1571 2.205 1.198 0.546 17231583 1571 2206 08.748 308.743300 30678 308 718 308 1835 1835 308 76 0004 0.002 000 000 0005 0.007 0.005 0.004 0.002 0.006 0.005 0.005 0.007 0.006 Balance Sheet 2019 2018 2017 2016 2015 2014 2013 1 108 1.592 2.121 391 S 166 2235 0.52 1108 1.592 2121 S391 166 2.235 0.52 30.149 29.354 12 994 32.751 37.968 31.838 40334 39.931 39.149 29 354 32994275137968 313980334 39 931 0.156 - 0.044 0.009 12.847 11.157 11.099 11404 10.526 1102 11.103 11 981 0.039 0.308 0056 DO 0033 0.007 0.063 44.299 42412 46.269 514 53.793 45.201 52.019 54.435 181 2136 2683 184 2851 1995 5.505 3.354 7.335 6.5685.452 9614303692812436 19.016 Cash & Equivalents Cash and Short Term investments Accounts Receivable - Trade, Net Total Receivables, Net Property/Plant/Equipment - Total.Net Intangibles.Net Long Term investments Other Assets - Total Total Assets Payable/Acred Notes Payable/Short Term Debt Total Long Term Debt Total Debt Minority interest Other Liabilities. Total Total Liabilities Common Stock - Total Additional Paid in Capital Retained Earnings Accumulated Deficit) Unreal Gain (Loss) Total Equity Total abilities & Shareholders' Equity Total Common Shares Outstanding Tangible Book Value per Share. Common Equity 7.335 0.008 12 10.352 30 375 0.312 2.372 0.387 33.946 46.299 308.74 0.11 6568 5.492 30941 14303 5928 12436 19 016 0.008 0.008 0.008 0.008 0.008 0.008 0.008 1.282 1113 0.997 0966 0.644 0.548 0.472 10.093 10.296 1 3.82 18138 9574 13 598 22.849 30.875 30 875 30875 30.375 30 825 30.875 30.875 0.312 0.312 0.312 0.312 0.312 0312 0312 1.175 4787 4507 4468 4.441 22350399 0.043 - 32.318 35.97335.794 35555 35627 33422 31.585 412 46.209 .534 53.793 45.20152019 54.435 308.748 308.763 308.763 308.748 308.748 308 748 308 748 0.105 01170 116 0115 0.116 0108 0.102