Financial Performance Analysis of General Motors
Analysis of the financial performance of a public traded company The term paper consists of the analysis of the financial environment of a firm of your choice, including the major financial risk exposures and the firm’s risk management programs. You need to analyze the firm’s financial performance and determine the risk exposure, how and whether the firm’s stock price will be affected, and how effective this risk management program is. Write the paper in groups of up to three students. The paper must be in quantitative analysis and must be concrete and persuasive. Specific steps:
Q 1 ) Define the value of accurately forecasting the financial statement of General motors?
Q 2) Forecast the stock price trend of the company and recommend an investment strategy of General motors?
include the latest values and figures.