Interpreting financial data from an Excel sheet

The purpose of this assessment is to first, use the data to determine the firm’s optimal capital structure and the WACC at the optimal structure. What does the data tell you about management’s decision to increase the debt component from 16.2% in 2018 to 26.3% in 2019? This question should be answered in the next step which is conducting an analysis. The analysis should apply relevant quantitative and qualitative data gathered about Flagstaff Inc. to recommend the best capital structure strategy in the short-run and long-run, which often differs. The analysis should include conclusions that you have already surmised about the company, the recommendations that you proposed while assessing the operating plan, a discussion of the difference between business risk and financial risk and the implications for the business, and an analysis of the new data, while considering the potential risks and rewards for creditors, shareholders, and the company.

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