I need help analyzing the Kellogg’s Corporation Financial statements for the last five years (2011-2015).
Specifically I am looking for:
-The calculation of at least five significant long-term debt-paying ratios for each of the five years analyzed.
-Calculation of at least five significant investor ratios for each of the five years analyzed.
Observation/analysis of what you found in the excel spread sheet that you compiled. The analysis should reference significant items found in the ratio analysis.
Please Compare the Ratios to 2-3 years of competing companies General Mills and HeinzKraft.
The better it looks the more money that I will pay.