In an Excel document use formulas to calculate the following financial indicators for each year of data:
o Current ratio
o Debt/equity ratio
o Free cash flow
o Earnings per share
o Price/earnings ratio
o Return on equity
o Net profit margin
Describe how and why each of the ratios has changed over the three-year period. For example, did the current ratio increase or decrease? Why?
Describe how three of the ratios you calculated for your company compare to the general industry.
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