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Can you please write me a conclusion that summarize the strengths ,weeknesses and recommendation for improvement for a company with those values.(mind the plagrism please)

Can you please write me a conclusion that summarize the strengths ,weeknesses and recommendation for improvement for a company with those values.(mind the plagrism please)
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\begin{tabular}{|l|r|r|} \hline \multicolumn{1}{|c|}{ Income Statement } & \multicolumn{1}{c|}{2020} & \multicolumn{1}{c|}{2019} \\ \hline For the year ended Dec.31,2020 & BD '000 & BD '000 \\ \hline Revenues & 1061423 & 1029378 \\ \hline Less: Cost of sales & 920411 & 939158 \\ \hline Gross Profit & 141012 & 90220 \\ \hline Operating expenses & 70867 & 58990 \\ \hline Other income/(expenses), net & 2529 & 778 \\ \hline Net losses on financial assets & 19534 & 2666 \\ \hline Impairment (loss)/reversal on & & \\ trade \& other receivables & 2994 & 253 \\ \hline Earnings before Interest \& tax & 50146 & 28039 \\ \hline Finance costs & 40108 & 22458 \\ \hline Profit for the year before tax & 10038 & 5581 \\ \hline Tax & 283 & 202 \\ \hline Profit for the year after tax & 9755 & 5379 \\ \hline \end{tabular} \begin{tabular}{|l|l|l|} \hline RATIO ANALYSIS & For 2019 & For 2020 \\ Current ratio & =444,861445,908=1.002 & =460,538403,048=0.875 \\ \hline Current Assets CA Current Liability CL & =2,408,2201,329,649=0.552 & =2,353,6961,274,143=0.541 \\ Total debt ratio total debt total assets & \\ \hline \end{tabular} \begin{tabular}{|l|r|r|} \hline & For 2019 & For 2020 \\ \hline Asset-management ratios & & \\ \hline Receivables turnover ratio= Sales/Accounts receivables & 1029378/143424= & 1061423/119105= \\ \hline times in a year & 7.2 & 8.9 \\ \hline & & \\ \hline Profitability ratios & & \\ \hline Return on assets (ROA)=Net Income/Total assets & 5379/2408220= & 9755/2353696= \\ \hline & 0.22% & 0.41% \\ \hline & & \\ \hline Market value ratios & & \\ \hline Return on equity=Net Income/Total Equity & 5379/1078571= & 9755/1079553= \\ \hline & 0.50% & 0.90% \\ \hline & & \\ \hline Payout ratio & & \\ \hline \begin{tabular}{l} Dividend Payout ratio= Cash dividends/Net income \\ \hline (cash dividends paid from cash flow from financing \\ activities in the cash flow statement) \end{tabular} & 0.00% & \\ \hline & & 14.47% \\ \hline \end{tabular}

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