Which of the following statement(s) describe the principal reason(s) why investors and creditors use financial statement analysis?
1. To assess the risks associated with expected returns
2. To evaluate top and middle level management
3. To predict the amount of expected returns
4. To establish recommended dividend and interest payments
A) 1 and 2
B) 1, 2, and 3
C) 1 and 3
D) 1 and 4
E) 2, 3, and 4
C
Business
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Gross impressions are the number of times an individual is exposed to an advertisement
Indicate whether the statement is true or false
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The ________ is the ratio of the standard deviation to the mean, expressed as a percentage, and it is a unitless measure of relative variability
A) standard deviation B) coefficient of variation C) variance D) interquartile range
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