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for more clear photos i am asking again but please do some comment why these increases and decreases simple explantaion will be enough and please

for more clear photos i am asking again but please do some comment why these increases and decreases simple explantaion will be enough and please divided on these 5 different paragraph
liquidity
efficiency
debt
profitabality
market
image text in transcribed
image text in transcribed
2020 Ind. Ave. 2020 2019 Ind. Ave. 2019 1.045 0,906 0,226 2,46 1,41 0,96 1.036 0,890 0.196 1,51 0,75 0,3 LIQUIDITY Current ratio Acid test ratio(Quick Ratio) Cash Ratio EFFICIENCY Total asset turnover Fixed asset turnover Inventory turnover Days in Inventory A/R turnover Average collection period A/P Tumover Average Payment Day Operating Cycle Cash Conversion Cycle DEBT Debt ratio Long Term Debt Ratio Times interest earned (Interest Coverage Ratio) PROFITABILITY Gross Profit Margin Operating profit margin Net profit margin Retum on total assets Return on equity MARKET Earning per share Book value per share Price/ Earning ratio 0,553 2.747 9,663 37,773 3,222 113,29 7,000 52,145 151,06 98,92 0,582 2.829 9,329 39,125 3,351 109,93 9,366 38,970 148,0549 109,08 0,43 0,71 0,122 0,221 80,29 0,388 0,203 82,40 17,32% 8,08% 8,25% 3.94% 9,93% 18,01% 7,65% 6,23% 3,64% 9,43% -0,70% -3,60% 2,60% 0,10% 13,42 137.94 8,67 11,61 127,53 9,56 2018 Ind. Ave. 2018 2017 Ind. Ave. 2017 2016 Ind. Ave. 2016 1 5 3 1,019 0,877 0,171 1,48 0,96 0,25 1,029 0,891 0,172 1,54 1,01 0,31 1,129 3,437 0,18 1,22 0,81 0,28 0,593 2,861 9,171 39,797 4,683 77,926 9,331 39,112 117,723 78,611 0,529 2,112 9,091 40,47 3,152 115,799 8,394 43,483 156,269 112,786 0,556 2,725 10,41 35,072 4,49 81,28 8,978 34,137 116,363 82,227 1 0,66 0,72 0,74 0,236 0,199 95,99 0,617 0,203 75,74 0,61 0,278 85,27 23,00% 7,60% 8,49% 4,97% 12,90% 21,90% 7,20% 9,27% 3,92% 10,08% 24,40% 10,70% 9,16% 4,82% 12,76% 4,60% 2,40% 1,80% 0,10% 2,00% 5,70% 14,99 120,19 7,93 11,15 116,73 8,61 12,31 98,85 7,39 2020 Ind. Ave. 2020 2019 Ind. Ave. 2019 1.045 0,906 0,226 2,46 1,41 0,96 1.036 0,890 0.196 1,51 0,75 0,3 LIQUIDITY Current ratio Acid test ratio(Quick Ratio) Cash Ratio EFFICIENCY Total asset turnover Fixed asset turnover Inventory turnover Days in Inventory A/R turnover Average collection period A/P Tumover Average Payment Day Operating Cycle Cash Conversion Cycle DEBT Debt ratio Long Term Debt Ratio Times interest earned (Interest Coverage Ratio) PROFITABILITY Gross Profit Margin Operating profit margin Net profit margin Retum on total assets Return on equity MARKET Earning per share Book value per share Price/ Earning ratio 0,553 2.747 9,663 37,773 3,222 113,29 7,000 52,145 151,06 98,92 0,582 2.829 9,329 39,125 3,351 109,93 9,366 38,970 148,0549 109,08 0,43 0,71 0,122 0,221 80,29 0,388 0,203 82,40 17,32% 8,08% 8,25% 3.94% 9,93% 18,01% 7,65% 6,23% 3,64% 9,43% -0,70% -3,60% 2,60% 0,10% 13,42 137.94 8,67 11,61 127,53 9,56 2018 Ind. Ave. 2018 2017 Ind. Ave. 2017 2016 Ind. Ave. 2016 1 5 3 1,019 0,877 0,171 1,48 0,96 0,25 1,029 0,891 0,172 1,54 1,01 0,31 1,129 3,437 0,18 1,22 0,81 0,28 0,593 2,861 9,171 39,797 4,683 77,926 9,331 39,112 117,723 78,611 0,529 2,112 9,091 40,47 3,152 115,799 8,394 43,483 156,269 112,786 0,556 2,725 10,41 35,072 4,49 81,28 8,978 34,137 116,363 82,227 1 0,66 0,72 0,74 0,236 0,199 95,99 0,617 0,203 75,74 0,61 0,278 85,27 23,00% 7,60% 8,49% 4,97% 12,90% 21,90% 7,20% 9,27% 3,92% 10,08% 24,40% 10,70% 9,16% 4,82% 12,76% 4,60% 2,40% 1,80% 0,10% 2,00% 5,70% 14,99 120,19 7,93 11,15 116,73 8,61 12,31 98,85 7,39

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