The table below display some of the key financial ratios calculated for Marks & Spencer Group PLC during the last five you Discuss the not Decomposition of the company and evaluate the drivers of its performance during this period. What trends can you identity in the company performance? What do you believe will be the effect of the current crisis on the company's financial statement? Marks & Spencer Group PLC AMICS LN In Millions of USD except Per Share FY 2016 FY 2017 FY 2018 FY 2010 FY 2000 FY 2001 Est FY 2002 Est 12 Months Ending 04/09/2016 04/01/2017 03/31/2018 03/30/2010 03/28/2020 03/31/2021 0/31/2002 Profit Marpin 3.85 1.10 0.24 0.40 0.23 1.22 2.56 Asset Turnover 1.27 1.27 1.35 1.27 1.07 Financial Loverage 2.51 254 2.50 3.02 3.08 Return on Common Equity 12.25 3.55 0.84 1.54 0.77 3.00 7.07 Effective Tax Rate 17 27 34.41 56.44 46.20 59.23 Not Interest Expense 143.4 1223 118.6 200.0 268.6 Revenue 15,913,9 13,882.1 14.193.5 13,623.5 12.948.0 12,113.1 13,168.1 Net Operiting Profit after Tax (NOPAT) 734,6 2220 191.8 205.4 106.5 Working Capital -914.9 -808,6 -713.1 -1,156.1 -7875 Total Non-Current Assets 9,975.3 8.239.1 8,746.4 9,635,5 11,133.1 Net Debt 2,567.4 2,190.6 2.210.1 5,061.7 4,868.9 4,595.0 4,380.1 Net Assets 4,896.5 3,961.2 4,145.9 3,208,2 4,603.4 Total Equity 4,896.5 3,9512 4,145.9 3,208 2 4,603,4 Working Capital to Sales -0.06 -0.05 -0.07 -0.07 Net Fixed Asset Turnover 2.10 2.15 2.32 2.06 1.83 -0.06 Click Save and Submit to save and submit. Click Save All Ansters to save all answers, Save All Antwers Cio MacBook Air 022 Accounts Payable Tumove Day Days Sale Outstanding - DSO Inventory Days Cash Ratio Quick Ratio Current Ratio Total Debt to Total Equity Net Interest Coverage Cash From Operation Cash from Investing Activities Cash from Financing Activities Dividends Paid Capital Expenditures CFO to Sale CFO to Total Debt Gross Margin Operating Margin Profit Margin Source: Bloomberg 57.40 56.77 50.10 44 41.73 4.21 3.00 3.80 400 4.74 4611 43:41 42.13 41.11 34.00 0.13 0.00 0.12 0.10 0.14 0.18 0.25 0.18 0.23 0.60 0.73 0.72 0.62 0.08 60.18 70.78 60.00 175.07 112.78 6.17 2.91 1.68 1.35 1.28 1,688.4 1,258.7 990.5 1,343.1 365.6 -878.8 -494.8 427.6 -619.1 0800 -775.2 -4892 -871.0 -7888 40,9 4549 -4934 402.5 3984 -2430 -5477 -4040 -364.7 -2859 -319.2 10.47 6.95 9.86 7.46 0.53 0.43 0.41 0.24 0.18 39.11 38.48 37.83 36.80 5.53 2.38 1.46 2.87 2.48 3.85 1.10 0.24 0.40 0.23 Right click to show data transparency not supported for all ) 247.0 -430.3 0.07 35.28 2.00 1.22 4.70 2.56 Paragraph Aral 3 (12000 ET X DOES TT- Click Save and Submit to save and submit. Click Save All Angers to so alles Save All Answers Close Win MacBook Air The table below display some of the key financial ratios calculated for Marks & Spencer Group PLC during the last five you Discuss the not Decomposition of the company and evaluate the drivers of its performance during this period. What trends can you identity in the company performance? What do you believe will be the effect of the current crisis on the company's financial statement? Marks & Spencer Group PLC AMICS LN In Millions of USD except Per Share FY 2016 FY 2017 FY 2018 FY 2010 FY 2000 FY 2001 Est FY 2002 Est 12 Months Ending 04/09/2016 04/01/2017 03/31/2018 03/30/2010 03/28/2020 03/31/2021 0/31/2002 Profit Marpin 3.85 1.10 0.24 0.40 0.23 1.22 2.56 Asset Turnover 1.27 1.27 1.35 1.27 1.07 Financial Loverage 2.51 254 2.50 3.02 3.08 Return on Common Equity 12.25 3.55 0.84 1.54 0.77 3.00 7.07 Effective Tax Rate 17 27 34.41 56.44 46.20 59.23 Not Interest Expense 143.4 1223 118.6 200.0 268.6 Revenue 15,913,9 13,882.1 14.193.5 13,623.5 12.948.0 12,113.1 13,168.1 Net Operiting Profit after Tax (NOPAT) 734,6 2220 191.8 205.4 106.5 Working Capital -914.9 -808,6 -713.1 -1,156.1 -7875 Total Non-Current Assets 9,975.3 8.239.1 8,746.4 9,635,5 11,133.1 Net Debt 2,567.4 2,190.6 2.210.1 5,061.7 4,868.9 4,595.0 4,380.1 Net Assets 4,896.5 3,961.2 4,145.9 3,208,2 4,603.4 Total Equity 4,896.5 3,9512 4,145.9 3,208 2 4,603,4 Working Capital to Sales -0.06 -0.05 -0.07 -0.07 Net Fixed Asset Turnover 2.10 2.15 2.32 2.06 1.83 -0.06 Click Save and Submit to save and submit. Click Save All Ansters to save all answers, Save All Antwers Cio MacBook Air 022 Accounts Payable Tumove Day Days Sale Outstanding - DSO Inventory Days Cash Ratio Quick Ratio Current Ratio Total Debt to Total Equity Net Interest Coverage Cash From Operation Cash from Investing Activities Cash from Financing Activities Dividends Paid Capital Expenditures CFO to Sale CFO to Total Debt Gross Margin Operating Margin Profit Margin Source: Bloomberg 57.40 56.77 50.10 44 41.73 4.21 3.00 3.80 400 4.74 4611 43:41 42.13 41.11 34.00 0.13 0.00 0.12 0.10 0.14 0.18 0.25 0.18 0.23 0.60 0.73 0.72 0.62 0.08 60.18 70.78 60.00 175.07 112.78 6.17 2.91 1.68 1.35 1.28 1,688.4 1,258.7 990.5 1,343.1 365.6 -878.8 -494.8 427.6 -619.1 0800 -775.2 -4892 -871.0 -7888 40,9 4549 -4934 402.5 3984 -2430 -5477 -4040 -364.7 -2859 -319.2 10.47 6.95 9.86 7.46 0.53 0.43 0.41 0.24 0.18 39.11 38.48 37.83 36.80 5.53 2.38 1.46 2.87 2.48 3.85 1.10 0.24 0.40 0.23 Right click to show data transparency not supported for all ) 247.0 -430.3 0.07 35.28 2.00 1.22 4.70 2.56 Paragraph Aral 3 (12000 ET X DOES TT- Click Save and Submit to save and submit. Click Save All Angers to so alles Save All Answers Close Win MacBook Air