Corporate Finance

1. Pick 2 companies with similar asset sizes(a competitor company)
2. Get a financial statement of these government companies
3. Look at a trend Analysis of 5years period.
4. Look at before and after Covid. (NB 2020 should be the reference/reflective period. 2018, 2019, 2021 & 2022). (Do ratio & trend analysis). Source main Data (Income Statement & Balanced Sheet) from the cash flow. Is there any statistical difference from each other. Eg. Return on Equity. Eg. We have to translate in year 2018 (R.O.E) increased and in year 2019, it decreased.
5. We should also go further to the average and structure the assignment under Liquidity, Asset Management, Debt Management, Probability, Market Value etc.


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