This research service examines the financial performance of 228 materials companies across 2 broad parameters- financial management and risk management. The companies are analyzed using 39 financial ratios representative of these two parameters. Each ratio has a weight assigned, and a weighted average score is calculated to obtain the final company ranking. The ratios are then grouped into financial and risk management and a comprehensive ranking was given based on the scores under both the categories. In addition to the ratio analysis, the companies have been ranked by geography The conclusion to this study consists of opinions and recommendations to fund managers, retail investors, and other members of the investing community.
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