This comprehensive resource provides detailed guidance on how to analyze the income statement, balance sheet, and cash flow statement. With added chapters and updates to stay current with the ever-changing and complex rules, this guide will help you:
- Understand the content and purpose of financial statements and the rules by which they are prepared
- Identify and avert securities fraud by knowing how to analyze revenues
- Learn the warning signs in gross margins, operating margins, and net margins
- Recognize the degree of liquidity or illiquidity the balance sheet indicates
- Assess a company's financial leverage
- Learn how to monitor a company's operating, investing, and financing activities
- Identify whether a company is an absorber or generator of cash
- Explore the M&A process
- And much more!
A detailed index and glossary of common terms and abbreviations and terms are also included.
Dieser Download kann aus rechtlichen Gründen nur mit Rechnungsadresse in A, D ausgeliefert werden.