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Testla company horizontal and vertical analysis for 31 -Dec -19 and 30 -Sep -20 i need help in getting the horizontal and vertical analysis only

Testla company horizontal and vertical analysis for 31 -Dec -19 and 30 -Sep -20

i need help in getting the horizontal and vertical analysis only for the 31 -Dec -19 and 30 -Sep -20

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BALANCE SHEET (Unaudited) In millions of USD 30-Sep-19 31-Dec-19 31-Mar-20 30-Jun-20 30-Sep-20 ASSETS Current assets Cash and cash equivalents Accounts receivable.net Inventory Prepaid expenses and other current assets Total current assets Operating lease vehicles, net Solar energy systems, net Property, plant and equipment, net Operating lease right-of-use assets Goodwill and intangible assets, net Other non-current assets Total assets 5.338 1128 3.581 893 10.940 2.253 6.168 10.190 1.234 537 1,473 32,795 6,268 1.324 3,552 959 12.103 2.447 6,138 10.396 1.218 537 1.470 34,309 8.080 1.274 4.494 1.045 14 893 2.527 6,106 10.638 1,197 516 1.373 37,250 8.615 1.485 4 018 1218 15,336 2524 6,069 11.009 1.274 508 1.415 38,135 14,531 1,757 4,218 1.238 21.744 2.742 6.025 11,848 1.375 521 1,436 45.691 LIABILITIES AND EQUITY Current liabilities Accounts payable Accrued liabilities and other Deferred revenue Customer deposits Current portion of debt and finance leases (1) Total current liabilities Debt and finance leases, net of current portion (1) Deferred revenue, net of current portion Other long-term liabilities Total liabilities Redeemable noncontrolling interests in subsidiaries Convertible senior notes Total stockholders' equity Noncontrolling interests in subsidiaries Total llabilities and equity (1) Breakdown of our debt is as follows: Vehicle and energy product financing (non-recourse) 3,468 2.938 1.045 665 2,030 10.146 11.313 1.140 2,714 26,313 600 3.771 3.222 1.163 726 1.785 10,667 11,634 1.207 2,691 26,199 643 3.970 2.825 1.186 788 3.217 11.986 10.666 1199 2.667 26,518 632 60 9.173 867 37,260 3,638 3.110 1.130 713 3.679 12.270 10.416 1.198 2.870 26,754 613 44 9,855 869 38,136 4.958 3.252 1.258 708 3.126 13,302 10.559 1.233 3,049 28,143 608 48 16,031 861 45,691 6,040 842 32,796 6.618 849 34.309 3,702 4,183 4,022 4,043 4,141 Other non-recourse debt Recourse debt 155 7,882 8,037 355 7.263 7,618 708 7,600 8308 1.415 7,106 8,521 605 7,448 8,053 Total debt excluding vehicle and energy product financing 26

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