Q1. Evaluate Britannia's Financial position (Long term and Short term) for 2021-22 relative to 2020-21 by...
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Q1. Evaluate Britannia's Financial position (Long term and Short term) for 2021-22 relative to 2020-21 by analyzing the appropriate ratios from the following and give decision that whether being a manager of a bank, will you extend short and/or long term credit to the company: Operating Profit Margin(%) Gross Profit Margin(%) Net Profit Margin(%) Return On Capital Employed (%) Return On Net Worth (%) Current Ratio Quick Ratio Debt Equity Ratio Long Term Debt Equity Ratio Interest Cover Total Debt to Owners Fund Inventory Turnover Ratio Debtors Turnover Ratio Fixed Assets Turnover Ratio Dividend Payout Ratio Net Profit Mar '22 15.57 14.15 10.78 44.12 59.6 0.82 0.83 0.97 0.28 15.41 0.96 10:34 47.98 6.58 117.68 Mar '21 19.1 17.59 14.18 46.8 52.95 0.9 0.95 0.59 0.21 23.66 0.59 12.04 45.48 5.08 152.35 [10 Marks] [CO6, L5] Q1. Evaluate Britannia's Financial position (Long term and Short term) for 2021-22 relative to 2020-21 by analyzing the appropriate ratios from the following and give decision that whether being a manager of a bank, will you extend short and/or long term credit to the company: Operating Profit Margin(%) Gross Profit Margin(%) Net Profit Margin(%) Return On Capital Employed (%) Return On Net Worth (%) Current Ratio Quick Ratio Debt Equity Ratio Long Term Debt Equity Ratio Interest Cover Total Debt to Owners Fund Inventory Turnover Ratio Debtors Turnover Ratio Fixed Assets Turnover Ratio Dividend Payout Ratio Net Profit Mar '22 15.57 14.15 10.78 44.12 59.6 0.82 0.83 0.97 0.28 15.41 0.96 10:34 47.98 6.58 117.68 Mar '21 19.1 17.59 14.18 46.8 52.95 0.9 0.95 0.59 0.21 23.66 0.59 12.04 45.48 5.08 152.35 [10 Marks] [CO6, L5]
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Related Book For
Applied Regression Analysis and Other Multivariable Methods
ISBN: 978-1285051086
5th edition
Authors: David G. Kleinbaum, Lawrence L. Kupper, Azhar Nizam, Eli S. Rosenberg
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