1. Collect three years of recent, financial data (2007 - current), including the Balance Sheet, Income Statement, and Statement of Cash Flow.
a. REQUIRED - paper copies of financial data. I will verify that the data is correct using the URL you provide.
2. Perform a Financial Analysis of the company
a. REQUIRED - Vertical Analysis for all three years.
b. REQUIRED - Horizontal Analysis showing the percent change between all three years.
c. REQUIRED - Trend Analysis using your oldest year's data as the base year.
d. REQUIRED - Ratio Analysis including five liquidity measures, three profitability measures, one long-term solvency measure, the free cash flow, and the P/E ratio.
3. Summarize the overall financial health of the company using your analysis. You may research industry averages, etc. to strengthen your conclusions about the company. The entire project must be typed and professional in appearance. For example, excel spreadsheets should not be split in the middle of like data. Change the page orientation, font size, margins, or go to two pages if you need to.