Waiting for answer This question has not been answered yet. You can hire a professional tutor to get the answer.

QUESTION

Cash Flow

THIS IS 3 SEPARATE ASSIGNMENTS, PLEASE DO NOT COMBINE THEM!!!

#1

Referencing this week’s readings and lecture, describe the following terms as they relate to the statement of cash flows: cash, operating activities, investing activities, and financing activities. What can creditors, investors, and other users glean from an analysis of the statement of cash flows?

PLEASE FIND LECTURE ATTACHED

#2

Using the table below, explain the difference between net income and cash flow from operating activities for Techno in 2009 and analyze their cash flows for 2008 and 2009.

Respond to at least two of your classmates’ posts.

#3

Cash Flow Statement – Ford Motor Company

In a two- to three-page paper (not including the title and reference pages), explain the purpose of a cash flow statement and how it reflects the firm’s financial status. Include important points that an analyst would use in assessing the financial condition of the company. Also, analyze Ford Motor Company’s cash flow from its 2012 Annual Report.

Your paper must be formatted according to APA style as outlined in the Ashford Writing Center, and it must include citations and references for the text and at least two scholarly sources

LINK- http://corporate.ford.com/content/dam/corporate/en/investors/reports-and-filings/Annual%20Reports/2012-annual-report.pdf

Show more
LEARN MORE EFFECTIVELY AND GET BETTER GRADES!
Ask a Question