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2. Vertical Analysis
INCOME STATEMENT BALANCE SHEET CASH FLOW FINANCIAL RATIOS IN USD THOUSANDS ANNUAL 12/31/2019 12/31/2018 12/31/2017 12/31/2016 Period Ending: Net Income $11,588,000 $10,073,000 $3,033,000 $2,371,000 Cash Flows-Operating Activities $21,789,000 $15,341,000 $11,478,000 $7,575,000 $6,352,000 $4,096,000 $8,116,000 $2,869,000 Depreciation Net Income Adjustments Changes in Operating Activities Accounts Receivable Changes in Inventories Other Operating Activities Liabilities Net Cash Flow-Operating Cash Flows-Investing Activities Capital Expenditures Investments $8,521,000 $4,226,000 $8,121,000 $8,709,000 -$7,681,000 $4,615,000-$4,780,000-$3,436,000 -$3,278,000 $1,314,000-$3,583,000 $1,426,000 $0 SO $0 $0 $38,514,000 $30,723,000 $18,365,000 $17,203,000 Other Investing Activities dow.clickTog) -$16,861,000 $13,427,000 $11,955,000 $7,804,000 -$9,131,000 $1,140,000 -$3,054,000 -$2,663,000 $1,711,000 -$82,000 -$12,075,000 $951.000 -$24,281,000-$12,369,000 $27.084,000 -$9,516,000 On Changes in Inventories -$7,681,000 $4,615,000-$4,780,000 $3,436,000 -$3,278,000 $1,314,000 $3,583,000 $1,426,000 Other Operating Activities Liabilities $0 $0 $0 $0 Net Cash Flow-Operating $38,514,000 $30,723,000 $18,365,000 $17,203,000 Cash Flows-Investing Activities Capital Expenditures -$16,861,000 $13,427,000 $11,955,000 -$7,804,000 Investments -$9,131,000 $1,140,000 $3,054,000 -$2,663,000 Other Investing Activities $1,711,000 -$82,000 $12,075,000 $951,000 Net Cash Flows-Investing -$24,281,000 -$12,369,000 $27,084,000 $9,516,000 Cash Flows-Financing Activities Sale and Purchase of Stock $0 $0 $0 $0 Net Borrowings -$10,066,000 $7,686,000 $9,928,000 $3,716,000 Other Financing Activities $0 $0 SO $0 Net Cash Flows-Financing -$10,066,000 $7,686,000 $9,928,000 $3,716,000 Effect of Exchange Rate $70,000 -$351,000 $713,000 -$212,000 Net Cash Flow $4,237,000 $10,317,000 $1,922,000 $3,759,000