Relevant data provided by a bank of your choice.
2. The 2014 and 2015 annual reports of two listed companies of your choice. Conduct a financial analysis of both listed companies. You should evaluate these entities’ profitability, liquidity, financial stability and attractiveness as an investment. Appropriate ratios (rounded to four decimal places) should be calculated to enable a complete assessment of the companies (use Excel tables!!!). The report should contain a discussion and analysis of the ratios calculated. The workings and calculations for all the ratios must be included in the report and should be presented in an appendix.