LIQUIDITY RATIOS Current ratio Current Assets Carnen Liabilities Quick ratio Cash - Marketable SecuritiesReceivables Current Liabilities Receivables Net Sales turnover Average Accounts Receivable Days' sales 365 Days uncollected Receivables Turner Inventory turnover Costs of Goods Sold Average Inventory Days in Accounting Period Inventowy Turnover Days inventory on hand Payables Gosts of Good Sold Change in Merchandisiner Average Accounts Payable Days' payable 365 Days Payables Turnover PROFITABILITY RATIOS Profit margin Net Income Reus Revens Average Total Assets Return on Net Income Average Total Assets Return on equity Ner Income Average Stockholdersquity LONG-TERM SOLVENCY RATIOS Debt to Total Liabilities Schaden ratio Interest Income Before Inco The Interest Expens coverage Interest Expense CASH FLOW ADEQUACY RATIOS Cash flow Net Cash Hows from Operating Activities yield Net Inc Cash flow Net Cash Flows from O rating Activities to les Net Revenue Cash flows Net Cash How from O g Activities Average Tocal Aucts Free cash Net Cash Flows from Operating Activities now Dividends - Net CatalExpenditures MARKET STRENGTH RATIOS Price Market Price per Share earnings ratio Farnings per Share Dividend Dividende per Share yield Market Price per Share UPDATES AVAILABLE Updates for Office are ready to be installed, but first we need to closes X fic Grande Corporation Comparative Income Statement For years ended December 31, 2014 and 2013 $ $ 800,40000 $ 454, 100 00 5 742 600.00 396 200.00 o Net Sales 7 Cost of goods sold 8 Cross margin 9 Oper Wing Expenses 10 Sen txpenses 11 Adm. Expenses 12 Total Opering Expenses 13 Income from operations 14 Interest expense $ 130,100.00 $ 104 600 00 10 Income tax expense 10 Earnings per share Comparative Balance Sheets Der 31, 2016 and 2013 31.102005 25 Accounts Receivable (net 27 Property and Equipment Labs & Stockholders Euty 21 counts Day 12 Payable shon-term 1 Core Sch. 10 per value Betained Cars Total S erty Additional for Grande 2014 2013 * shotges wet capital per Sheet1 Sheet2 Sheet3 HE WFT LIQUIDITY RATIOS Current ratio Current Assets Carnen Liabilities Quick ratio Cash - Marketable SecuritiesReceivables Current Liabilities Receivables Net Sales turnover Average Accounts Receivable Days' sales 365 Days uncollected Receivables Turner Inventory turnover Costs of Goods Sold Average Inventory Days in Accounting Period Inventowy Turnover Days inventory on hand Payables Gosts of Good Sold Change in Merchandisiner Average Accounts Payable Days' payable 365 Days Payables Turnover PROFITABILITY RATIOS Profit margin Net Income Reus Revens Average Total Assets Return on Net Income Average Total Assets Return on equity Ner Income Average Stockholdersquity LONG-TERM SOLVENCY RATIOS Debt to Total Liabilities Schaden ratio Interest Income Before Inco The Interest Expens coverage Interest Expense CASH FLOW ADEQUACY RATIOS Cash flow Net Cash Hows from Operating Activities yield Net Inc Cash flow Net Cash Flows from O rating Activities to les Net Revenue Cash flows Net Cash How from O g Activities Average Tocal Aucts Free cash Net Cash Flows from Operating Activities now Dividends - Net CatalExpenditures MARKET STRENGTH RATIOS Price Market Price per Share earnings ratio Farnings per Share Dividend Dividende per Share yield Market Price per Share UPDATES AVAILABLE Updates for Office are ready to be installed, but first we need to closes X fic Grande Corporation Comparative Income Statement For years ended December 31, 2014 and 2013 $ $ 800,40000 $ 454, 100 00 5 742 600.00 396 200.00 o Net Sales 7 Cost of goods sold 8 Cross margin 9 Oper Wing Expenses 10 Sen txpenses 11 Adm. Expenses 12 Total Opering Expenses 13 Income from operations 14 Interest expense $ 130,100.00 $ 104 600 00 10 Income tax expense 10 Earnings per share Comparative Balance Sheets Der 31, 2016 and 2013 31.102005 25 Accounts Receivable (net 27 Property and Equipment Labs & Stockholders Euty 21 counts Day 12 Payable shon-term 1 Core Sch. 10 per value Betained Cars Total S erty Additional for Grande 2014 2013 * shotges wet capital per Sheet1 Sheet2 Sheet3 HE WFT