Question Description
I’m working on a finance report and need a sample draft to help me understand better.
Analyze the consolidated financial statements for the years 2019 and 2018 considering thefollowing aspects:
- Operating leverage
- Financial leverage
- Combined leverage
- Relationship between ROA, ROE and WACC in the company
- Liquidity and solvency ratios
- Companys dividend policy & strategy (last 10 years)
- Stock price development (last 10 years)
- Credit risk, Market risk, Operational risk and Liquidity risk (only for FinancialInstitutions Allianz, Deutsche Bank, Commerzbank etc.)
- Impact of IFRS 16 in the company (optional)
Evaluate your findings and decide what you would do next. – 3000 words – reference and cite APA style – Some sources are attached to help 🙂