My finance course provided us with an opportunity to select a publicly-traded company of our choice and present an analysis of its financial ratios and market value, concluding with a decision on whether it would be a good company to invest in or not. My group selected Coca-Cola Co. and immediately jumped into the assignment. Using sources suggested by our professor, we found its financial statements; we then used the raw numbers to complete our ratios, as seen here.
The final report included multiple sections: current events, financial ratios, market analysis, and recommendations make up the most important aspects. We divided the work that could be, leaving one group member in charge of each important section, only leaving the conclusions and recommendations for the end. We collaborated to get the final parts written and submitted on the official due date, despite the extended deadline. The final report can be viewed here.