What You'll Learn
- Understanding the Basics of Financial Statements
- Introduction to Financial Statements
- Key Components of Financial Statements
- Understanding Income Statement, Balance Sheet, and Cash Flow Statement
- The Role of Notes and Supplementary Information
- Evaluating Financial Health through Statements
- Legal and Ethical Aspects in Financial Reporting
- Analysis and Interpretation of Income Statement
- Basics of Income Statement Analysis
- Revenue Recognition and Analysis
- Cost of Goods Sold and Gross Profit Analysis
- Operating Expenses and Profit Analysis
- Non-operating Income and Expenses Analysis
- Earnings per Share and Dividend Distribution Analysis
- Exploring the Balance Sheet in Depth
- Introduction to Balance Sheet
- Understanding Assets: Current and Non-current
- Demystifying Liabilities: Short-term and Long-term
- Equity Analysis: Share Capital, Retained Earnings and Reserves
- Interpreting Shareholder Equity
- In-depth Liquidity and Financial Stability Analysis
- Mastering the Cash Flow Statement
- Decoding Cash Flows: Operations, Investing, and Financing
- Analyzing Cash Flow from Operating Activities
- Evaluating Cash Flow from Investing Activities
- Understanding Cash Flow from Financing Activities
- Identifying Cash Flow Patterns and Trends
- Free Cash Flow: Calculation and Interpretation
- Broadening Perspectives: Comprehensive Financial Statement Analysis
- Ratio Analysis and Key Financial Metrics
- Horizontal and Vertical Analysis Techniques
- Cash Conversion Cycle and Working Capital Analysis
- Solvency, Liquidity, and Credit Analysis
- Using Analysis in Forecasting and Valuation
- Integrated Case Study: Real-World Financial Analysis