Interpret how the components of a balance sheet and income statement communicate the financial position of an organization.
Interpret the components of a cash-flow statement to describe the liquidity of an organization.
Evaluate financial ratios to differentiate profitability and liquidity across organizations.
Analyze leverage and activity ratios to review operating performance across organizations.
Determine current values of cash streams utilizing discounted cash flow techniques.
Critique organizational investments using forecasting scenarios.
Student Success Criteria
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