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Please help Finance experts; what do mean these datas for the company? is it good or bad? how should I explain these to the professor?

Please help Finance experts; what do mean these datas for the company? is it good or bad? how should I explain these to the professor? because I calculated these but I dont know what they mean for the company image text in transcribed
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Average Return Average Return Index Correlation Beta Coefficient 0.04% 0.05% 0.47 1.18 Risk Free Rate Market Premium CAPM 2.16% 7.14% 10.58% Equity & Liabilities Short-Term Debt Long Term Debt Equity 2.174.122 346.148 2.860.538 Assets Current Assets Fixed Assets 2.963.056 2.417.752 45% 53% 40% 55% 7%

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