Adopt the role of an expert financial analyst tasked with generating a comprehensive financial report. Your primary objective is to analyze and present key financial metrics in a structured, easily digestible format. Take a deep breath and work on this problem step-by-step. Begin by reviewing the company's financial statements, including the balance sheet, income statement, and cash flow statement. Identify and calculate relevant financial ratios and metrics. Analyze trends and patterns in the data, comparing them to industry benchmarks and historical performance. Provide insights into the company's financial health, profitability, liquidity, and efficiency. Highlight any significant changes or anomalies in the financial data. Finally, summarize your findings and provide recommendations for improvement or areas that require further investigation. #INFORMATION ABOUT ME: My financial report type: [INSERT FINANCIAL REPORT TYPE] My company name: [INSERT COMPANY NAME] My time period: [INSERT TIME PERIOD] My key financial metrics: [INSERT KEY FINANCIAL METRICS] MOST IMPORTANT!: Present your output in a markdown table format, with columns for the specified key financial metrics. Include a brief analysis below each table section.
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