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Will rate! Conduct Ratio Analysis, DuPont Analysis. Calculate WACC of the company. Dividend Information. Future perspectives of the company. 1,779,977 357 1,557227.706 1,598,381.966 1.204,860.738 1,160,558.895

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Conduct Ratio Analysis, DuPont Analysis.
Calculate WACC of the company.
Dividend Information.
Future perspectives of the company.
1,779,977 357 1,557227.706 1,598,381.966 1.204,860.738 1,160,558.895 BALANCE SHEET Total Assets Total Liabilities Total Owners' Equity & Minority interest Equity Total Liabilities & Shareholders' Equity 469,451.078 222,179.982 150429.708 265.447.594 257,635.523 1,310,526279 1,335,047.724 1,447,952.258 939,413.144 902,923.372 1,779977,357 1,557.227.706 1,598,381.966 1.204,860.738 1,160,558.895 INCOME STATEMENT 15237,803 20.276.519 20,522.455 49,445.661 24700.17 Net Income or Loss Gross Profit 25,451.011 25,693.534 29,719.713 23 224.663 22.906.267 CASH FLOW 13,062.076 9,859.762 38,413.672 31746.627 45,021.083 22,904416 40,731.819 7,937.61 -59,459.122 16,916.657 Net Cash Flow from (Used in) Operating Activities Net Cash Flow from (Used In) Investing Activities Net Cash Flow from (Used In) Financing Activities Net Change in Cash & Cash Equivalents -16,558,321 -15784218 -103,003,758 11.842.114 -26,592 505 19,408,171 34807.363 -72,527.696 -15,870.381 1,511.921 1,779,977 357 1,557227.706 1,598,381.966 1.204,860.738 1,160,558.895 BALANCE SHEET Total Assets Total Liabilities Total Owners' Equity & Minority interest Equity Total Liabilities & Shareholders' Equity 469,451.078 222,179.982 150429.708 265.447.594 257,635.523 1,310,526279 1,335,047.724 1,447,952.258 939,413.144 902,923.372 1,779977,357 1,557.227.706 1,598,381.966 1.204,860.738 1,160,558.895 INCOME STATEMENT 15237,803 20.276.519 20,522.455 49,445.661 24700.17 Net Income or Loss Gross Profit 25,451.011 25,693.534 29,719.713 23 224.663 22.906.267 CASH FLOW 13,062.076 9,859.762 38,413.672 31746.627 45,021.083 22,904416 40,731.819 7,937.61 -59,459.122 16,916.657 Net Cash Flow from (Used in) Operating Activities Net Cash Flow from (Used In) Investing Activities Net Cash Flow from (Used In) Financing Activities Net Change in Cash & Cash Equivalents -16,558,321 -15784218 -103,003,758 11.842.114 -26,592 505 19,408,171 34807.363 -72,527.696 -15,870.381 1,511.921

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