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Please look at the balance sheet below of one example company and summerize the strengths and weaknesses of the company's financial. The information down below

Please look at the balance sheet below of one example company and summerize the strengths and weaknesses of the company's financial.

The information down below is balance sheet of 4 years, ratios analysis, vertical analysis and horizontal analysis.

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Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total non-current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 322,524,253 9,288,255,319 103,946,584 323,842,992 359,297,051 10,397,866,199 4,261,475,839 94,854,383 283,475,771 4,639,805,993 15,037,672,192 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 1,402,068 119,146 33,881 12,504 329,186 1,896,785 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941, 196,041 12,240,558 299,549,797 Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 12,083,724 323,874,079 2,265,070,120 925,850,000 8,785,027,903 626,325,025 3,047,667,401 3,360,944 13,388,231,273 15,653,301,393 Ratios & Indicates Consolidated UOM 31/12/2018 31/12/2017 1 2 3 5.02 4.08 5.02 4.85 2.04 23.78 Days 1.9 Days 30/09/2019 5.12 4.97 3.15 18.47 1.1 1.33 19.28 115.85 19.76 30/09/2019 23.42 1.03 1.03 X 1.59 1.52 % 18.73 18.70 9 Times Times UOM 192.32 15.59 31/12/2018 178.82 15.35 31/12/2017 0.18 0.21 0.18 Liquidity & Efficiency Current Ratio Acid-test Ratio Average Collection period Average inventory period Total Asset Turnover Ratio Current Asset Turnover Ratio Return on asset Accounts receivable Turnover Inventory Turnover Solvency D/E Ratio Equity Ratio Debt Ratio Profitability Gross profit margin Net profit margin Return on Equity Return on capital employed Return on asset Market Prospect Earning Per Share Price Earning Ratio Dividend Yield Ratio Dividend Payout Ratio 0.85 0.82 0.85 UOM 0.17 31/12/2018 68.43 0.15 31/12/2017 67.81 21 14.93 14.73 18.38 17.83 22.10 0.15 30/09/2019 68.61 14.67 18.7 16.52 19.28 30/09/2019 2.11 26.32 3.42 0.94 21.06 18.7 5 31/12/2017 UOM Baht 2.65 18.73 31/12/2018 2.79 27.4 3.07 0.88 2 32.66 2.43 0.79 Vertical Analysis Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 31/9/2019 31/12/2018 31/12/2017 % Size Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total nor current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 322,524,253 9,288,255,319 103,946,584 323,842,992 359,297,051 10,397,866,199 4,261,475,839 94,854,383 283,475,771 4,639,805,993 15,037,672,192 % Size 1.20% 65.32% 1.35% 1.97% 1.11% 70.97% 4.95% 62.00% 0.67% 2.25% 2.32% 72.19% % Size 2.74% 62.49% 0.51% 2.34% 2.71% 70.79% 26.85% 0.57% 1.78% 29.21% 100.00% 26.56% 0.90% 1.58% 29.03% 100.00% 25.51% 0.61% 1.70% 27.81% 100.00% 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 1,402,068 119,146 33,881 12,504 329,186 1,896,785 8.66% 0.74% 0.21% 0.08% 2.03% 11.72% 11.33% 1.68% 0.26% N/A 1.36% 14.63% 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941,196,041 12,240,558 299,549,797 0.00% 2.71% N/A Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity 0.94% 3.08% 0.24% 0.12% 3.44% 15.16% 0.12% 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 2.83% 17.45% 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 9.99% 1.28% 0.25% N/A 1.43% 12.95% 0.07% 1.96% N/A 0.08% 2.12% 15.07% 5.68% 53.94% 4.03% 21.24% 0.04% 84.93% 100.00% 12,083,724 323,874,079 2,265,070,120 925,850,000 8,785,027,903 626,325,025 3,047,667,401 3,360,944 13,388,231,273 15,653,301,393 5.69% 54.29% 4.06% 20.79% 0.01% 84.84% 100.00% 5.36% 51.15% 3.82% 22.19% 0.02% 82.55% 100.00% Horizontal Analysis Horizontal Analysis Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 31/9/2019 31/12/2018 31/12/2017 31/9/2019 31/12/2018 31/12/2017 Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total nor current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 Amt. Change 322,524,253 -725,038,579 9,288,255,319 -9,077,489,157 103,946,584 -98,397,741 323,842,992 -328,821,059 359,297,051 -339,926,545 10,397,866,199 -10,569,673,081 4,261,475,839 -3,734,448,506 94,854,383 -89,198,084 283,475,771 -248,304,522 4,639,805,993 4,071,951,112 15,037,672,192 -14,641,624,193 Amt. Change 315,581,411 -249,708,197 22,767,750 -21,254,094 64,579,024 2,807,846 -274,170,841 3,818,655 -17,871,663 -283,223,849 -285,416,003 Amt. Change 87,097,579 47,874,520 -28,131,300 26,502,209 45,360,786 178,703,794 -249,224,835 9,352,560 -17,083,601 -275,660,996 -96,957,202 % Change -99.98 -99.90 -99.81 -99.92 -99.96 -99.91 -99.90 99.86 -99.91 -99.90 -99.91 % Change 17.04 -2.67 30.03 6.07 -15.96 0.03 % Change 27.00 0.52 -27.06 8.18 12.62 1.72 -5.85 -9.86 6.03 -5.94 -0.64 6.83 4.47 6.71 6.60 -1.91 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 -1,944,008,309 -288,833,948 44,761,890 317,484,182 80,808,302 4,833,177 148,378,132 -1,330,828 3,341,666 19.50 38.82 12.09 10.03 0.64 9.13 1,402,068 119,146 33,881 12,504 329,186 1,896,785 -99.93 -99.96 -99.92 N/A -99.86 -99.92 N/A N/A -232,603,557 -2,510,195,200 0.05 19.12 8.01 8.64 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941,196,041 12,240,558 299,549,797 112,564 403,238,225 -11,465,640 145,469,895 17,268,749 167,657,719 622,213 20,480,919 -5.08 6.84 465,002,365 N/A Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity N/A -99.89 N/A -99.90 -99.89 -99.92 -98.69 45.45 N/A 46.48 40.64 22.15 6,314,696 140,318,951 543,557,176 4,971,900 1,501,797 21,360,503 189,018,222 12.43 6.60 8.34 0.54 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 N/A N/A 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 12,083,724 -19,880,103 323,874,079 -484,996,670 2,265,070,120 -2,995,191,870 925,850,000 919,957,222 8,785,027,903 -8,776,242,875 626,325,025 655,674,726 3,047,667,401 -3,806,895,549 3,360,944 -3,564,534 13,388,231,273 -14,162,334,906 15,653,301,393 -17,157,526,776 N/A N/A 30,006,032 412,179,731 3,195,671 445,381,434 634,399,656 350,412,052 -2,990,172 342,449,980 886,007,156 -99.90 -99.90 -99.90 -99.91 -99.95 -99.90 -99.91 10.13 45.61 4.79 13.52 95.08 3.33 4.05 2.48 5.44 Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total non-current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 322,524,253 9,288,255,319 103,946,584 323,842,992 359,297,051 10,397,866,199 4,261,475,839 94,854,383 283,475,771 4,639,805,993 15,037,672,192 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 1,402,068 119,146 33,881 12,504 329,186 1,896,785 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941, 196,041 12,240,558 299,549,797 Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 12,083,724 323,874,079 2,265,070,120 925,850,000 8,785,027,903 626,325,025 3,047,667,401 3,360,944 13,388,231,273 15,653,301,393 Ratios & Indicates Consolidated UOM 31/12/2018 31/12/2017 1 2 3 5.02 4.08 5.02 4.85 2.04 23.78 Days 1.9 Days 30/09/2019 5.12 4.97 3.15 18.47 1.1 1.33 19.28 115.85 19.76 30/09/2019 23.42 1.03 1.03 X 1.59 1.52 % 18.73 18.70 9 Times Times UOM 192.32 15.59 31/12/2018 178.82 15.35 31/12/2017 0.18 0.21 0.18 Liquidity & Efficiency Current Ratio Acid-test Ratio Average Collection period Average inventory period Total Asset Turnover Ratio Current Asset Turnover Ratio Return on asset Accounts receivable Turnover Inventory Turnover Solvency D/E Ratio Equity Ratio Debt Ratio Profitability Gross profit margin Net profit margin Return on Equity Return on capital employed Return on asset Market Prospect Earning Per Share Price Earning Ratio Dividend Yield Ratio Dividend Payout Ratio 0.85 0.82 0.85 UOM 0.17 31/12/2018 68.43 0.15 31/12/2017 67.81 21 14.93 14.73 18.38 17.83 22.10 0.15 30/09/2019 68.61 14.67 18.7 16.52 19.28 30/09/2019 2.11 26.32 3.42 0.94 21.06 18.7 5 31/12/2017 UOM Baht 2.65 18.73 31/12/2018 2.79 27.4 3.07 0.88 2 32.66 2.43 0.79 Vertical Analysis Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 31/9/2019 31/12/2018 31/12/2017 % Size Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total nor current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 322,524,253 9,288,255,319 103,946,584 323,842,992 359,297,051 10,397,866,199 4,261,475,839 94,854,383 283,475,771 4,639,805,993 15,037,672,192 % Size 1.20% 65.32% 1.35% 1.97% 1.11% 70.97% 4.95% 62.00% 0.67% 2.25% 2.32% 72.19% % Size 2.74% 62.49% 0.51% 2.34% 2.71% 70.79% 26.85% 0.57% 1.78% 29.21% 100.00% 26.56% 0.90% 1.58% 29.03% 100.00% 25.51% 0.61% 1.70% 27.81% 100.00% 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 1,402,068 119,146 33,881 12,504 329,186 1,896,785 8.66% 0.74% 0.21% 0.08% 2.03% 11.72% 11.33% 1.68% 0.26% N/A 1.36% 14.63% 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941,196,041 12,240,558 299,549,797 0.00% 2.71% N/A Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity 0.94% 3.08% 0.24% 0.12% 3.44% 15.16% 0.12% 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 2.83% 17.45% 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 9.99% 1.28% 0.25% N/A 1.43% 12.95% 0.07% 1.96% N/A 0.08% 2.12% 15.07% 5.68% 53.94% 4.03% 21.24% 0.04% 84.93% 100.00% 12,083,724 323,874,079 2,265,070,120 925,850,000 8,785,027,903 626,325,025 3,047,667,401 3,360,944 13,388,231,273 15,653,301,393 5.69% 54.29% 4.06% 20.79% 0.01% 84.84% 100.00% 5.36% 51.15% 3.82% 22.19% 0.02% 82.55% 100.00% Horizontal Analysis Horizontal Analysis Balance sheet UMO: Baht 31/9/2019 31/12/2018 31/12/2017 31/12/2016 31/9/2019 31/12/2018 31/12/2017 31/9/2019 31/12/2018 31/12/2017 Cash and cash equivalents Short-term investments Trade and other receivables Inventories Other current assets Total current assets Property, plant and equipment Intangible assets Leasehold rights Total nor current assets Total assets 164,664 8,932,485 185,293 270,048 152,268 9,704,758 3,631,657 122,394 215,985 3,970,036 13,674,794 725,203,243 9,086,421,642 98,583,034 329,091,107 340,078,813 10,579,377,839 3,738,080,163 89,320,478 248,520,507 4,075,921,148 14,655,298,987 409,621,832 9,336,129,839 75,815,284 350,345,201 404,657,837 10,576,569,993 4,012,251,004 85,501,823 266,392,170 4,364,144,997 14,940,714,990 Amt. Change 322,524,253 -725,038,579 9,288,255,319 -9,077,489,157 103,946,584 -98,397,741 323,842,992 -328,821,059 359,297,051 -339,926,545 10,397,866,199 -10,569,673,081 4,261,475,839 -3,734,448,506 94,854,383 -89,198,084 283,475,771 -248,304,522 4,639,805,993 4,071,951,112 15,037,672,192 -14,641,624,193 Amt. Change 315,581,411 -249,708,197 22,767,750 -21,254,094 64,579,024 2,807,846 -274,170,841 3,818,655 -17,871,663 -283,223,849 -285,416,003 Amt. Change 87,097,579 47,874,520 -28,131,300 26,502,209 45,360,786 178,703,794 -249,224,835 9,352,560 -17,083,601 -275,660,996 -96,957,202 % Change -99.98 -99.90 -99.81 -99.92 -99.96 -99.91 -99.90 99.86 -99.91 -99.90 -99.91 % Change 17.04 -2.67 30.03 6.07 -15.96 0.03 % Change 27.00 0.52 -27.06 8.18 12.62 1.72 -5.85 -9.86 6.03 -5.94 -0.64 6.83 4.47 6.71 6.60 -1.91 1,945,410,377 288,953,094 44,795,771 1,627,926,195 208,144,792 39,962,594 1,479,548,063 209,475,620 36,620,928 -1,944,008,309 -288,833,948 44,761,890 317,484,182 80,808,302 4,833,177 148,378,132 -1,330,828 3,341,666 19.50 38.82 12.09 10.03 0.64 9.13 1,402,068 119,146 33,881 12,504 329,186 1,896,785 -99.93 -99.96 -99.92 N/A -99.86 -99.92 N/A N/A -232,603,557 -2,510,195,200 0.05 19.12 8.01 8.64 232,932,743 2,512,091,985 152,705 465,500,611 232,820,179 2,108,853,760 11,618,345 320,030,716 215,551,430 1,941,196,041 12,240,558 299,549,797 112,564 403,238,225 -11,465,640 145,469,895 17,268,749 167,657,719 622,213 20,480,919 -5.08 6.84 465,002,365 N/A Trade and other payables Income tax payable Current portion of deferred income of membership fee Current portion of liabilities under financial lease agreements Other current liabilities Total current abilities Deferred income of membership fee - net of current portion Provision for long-term employee benefits Liabilities under finance lease agreements Other non-current liabilities Total non-current liabilities Total liabilities Share capital Share premium Capital reserve for share-based payment transactions Retained earnings Other component of shareholders' equity Total shareholders' equity Total liabilities and shareholders' equity N/A -99.89 N/A -99.90 -99.89 -99.92 -98.69 45.45 N/A 46.48 40.64 22.15 6,314,696 140,318,951 543,557,176 4,971,900 1,501,797 21,360,503 189,018,222 12.43 6.60 8.34 0.54 498,246 38,503 20,114 556,863 2,453,648 920,878 8,785,028 656,331 3,363,635 1,909 13,727,781 16,181,429 N/A N/A 19,900,217 485,553,533 2,997,645,518 920,878,100 8,785,027,903 656,331,057 3,810,259,184 3,566,443 14,176,062,687 17,173,708,205 13,585,521 345,234,582 2,454,088,342 925,850,000 8,785,027,903 656,331,057 3,459,847,132 6,556,615 13,833,612,707 16,287,701,049 12,083,724 -19,880,103 323,874,079 -484,996,670 2,265,070,120 -2,995,191,870 925,850,000 919,957,222 8,785,027,903 -8,776,242,875 626,325,025 655,674,726 3,047,667,401 -3,806,895,549 3,360,944 -3,564,534 13,388,231,273 -14,162,334,906 15,653,301,393 -17,157,526,776 N/A N/A 30,006,032 412,179,731 3,195,671 445,381,434 634,399,656 350,412,052 -2,990,172 342,449,980 886,007,156 -99.90 -99.90 -99.90 -99.91 -99.95 -99.90 -99.91 10.13 45.61 4.79 13.52 95.08 3.33 4.05 2.48 5.44

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