Go to the company`s website and view the annual reports of the last 3 years (under the Investor Relations or Company Information section of the website). From the annual reports, you will be able to pull the Balance sheet, Income statement and Statement of Cash flows for the last 3 years. In the paper: 1) Introduce the company, it`s products and services. 2) Calculate all liquidity, efficiency, profitability, capital structure and market value ratios for the past 3 years. 3) Analyze the financial position of the company and it`s financial position over the last 3 years. 4)Did the company improve? Or regress financially? Share your analysis and support it with numbers/calculations that you have. Include all supporting tables, formulas calculations and references. Be sure to provide copies of the data you used in the appendix of your paper.