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need the ratios for netflixs from 2019-2021 10 12 13 15 16 18 19 20 21 22 23 25 Cash & Cash Equivalents Cash Growth

need the ratios for netflixs from 2019-2021 image text in transcribed
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10 12 13 15 16 18 19 20 21 22 23 25 Cash & Cash Equivalents Cash Growth Oth Current Assets 'Total Current Assets Plant & Equipment 9 Goodwill and Intangibles Other Lmg-Term Assets Total Long-Term Assets 'Total Assets Payable Deferred Revenue Current Debt Other Current Liabilities Total Cwrent Long-Term Debt Other Long-Term Total Long-Term Liabilities 'Total Liabilities Total Debt Debt Growth Cornrnon Sta:k Retained Earnings Comprehensive Inmme Sharemlders' Equity ! Total Liabilities and Equity Net Cash/ Debt Net Cash / Debt Growth Net Cash per Share Working Capital Bod Value per Share 6.02780 -2664%' 2.04202 8,069.83 1.32345 30.91954, 4,27185 36.51484 44,584.66, 5.13045 1,209341 69982 1,449.35' 8.48887 14,693.07 5.55388 20,24645 28.735.42 15, 39290 -562%' 3,200.37 12.68937' -408 15.84A25 44,584 66' -9.36509 -2057 -419 14 3577 8,20565 63 51%: 1.55603? 9,761 bC 96018 25.38395 3, 17465/ 29.51878 39,280.36 5,085 72 1,117.99. 49988 1,10220 7.80579 15,809 10 4,60024i 20.409 33, 28,215.12; 16,308 97 1050%i 3,447 70 7,573.14: 44 4 11,065.24 39,280 36 -8,103 42 .17 84 1.955 80 251 5.01844 32 26% 1,16007 6.17850 56522 2450487 2.72742' 27,797 21 3397571 5,087M 924.75 84304, 6.85570 14,75926 4.77860 19.53786. 26,393.56 14, 75926 42 46%; 2.79393 4,81175 -2382' 7,582.16 3397571, -9, 74082 -2186 -671.19 17 Q

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