Short-term liquiditycash forecasting and pro forma analysis

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Reference no: EM13392620

You are required to obtain complete financial statements Apple Inc for the last 5 years.
You will prepare a Financial Statement Analysis Report based on these financial statements and other information.

a. Executive summary of the company and its industry.
b. Detailed evaluation of:

(1) Short-term liquidity (current  debt-paying ability).
(2) Cash forecasting and pro forma analysis for 5 Years. Note: You are expected to use a variety of assumptions for each year…
(3) Capital structure and solvency financial analysis tools in answering (b).
(4) Return on invested capital. Your analysis should yield inferences for each
(5) Asset turnover (utilization).
(6) Profitability and equity analysis.

The final analysis should be set up as a research paper with the following sequence:

• A brief statement that you produced the paper, and a citation for each reference mentioned in your statement.
• Executive Summary (max. ¾ page in Bold)
• Table of Contents
• Introduction
• Body (8 – 12 pages)
• Conclusion and Recommendation(s)
• References

Reference no: EM13392620

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