This is a group project. One person submits a narrated PowerPoint on behalf of the team to this submission area.
Follow the format in the Sample Analysis Presentation found at the link below:
I would appreciate the presentation given in MS PowerPoint. It must be narrated. Each person on the team should contribute to the creation and narration of the PowerPoint.
Please abide by the principles shared in the Analysis Presentation video you watched as part of the Week 3 Quiz on Analysis Presentation Concepts. The video is reposted here for your convenience.
Please be do the following
1. Pronounce figures properly — $45, 234 is pronounced 45 point 2 million dollars when the figure is given in thousands as it is in many places in Capsim. Don't pronounce it forty-five, two hundred and thirty-four thousand dollars or "Forty-five two three four".
2. Don't fall into the trap of thinking negative figures on the cash flow from investing and financing slides mean something bad happened. While negative cash flow on the cash from operating activities slide is ALWAYS bad, not so with these other two cash flow statements. The video should explain this in more detail.
3. Review the
This document tells you what makes cash flow go up or down on each of the 3 cash flow statements you'll create as part of the analysis presentation.
4. You will need to save a screen shot of your Round 3 Pro Forma Income Statement for the Forecast Versus Actual slide one of the slides in the presentation. Therefore, on Tuesday evening of Week 4, before 11:00 pm EST, go into your Capsim decision area, Pro Formas, and the income statement. Take a screenshot of your entire income statement so you can present some of its elements in this analysis presentation. The pro-formas disappear after the round processes, so you need to screenshot them before Round 3 processes so you have them available for your presentation.
5. For the Strategic Overview slide, DO NOT simply paste the perceptual map from the Courier into the perceptual map section of the slide. This is far too cluttered to show how your products are positioned. It's better to draw the perceptual map using the Insert-Shapes menu in PowerPoint.
6. In all analysis presentations, on the cash flow and stock price performance slides, you give ALL data from all rounds since the start of the presentation, but you present/talk about only the last two rounds.
7. Your analysis presentation for this week will display all data from rounds 0 to 3. Talk about what happened in rounds 2 and 3. You do not present or talk about Round 4 results as there isn't sufficient time after the Saturday deadline when Round 4 processes to include them in this week's presentation.
8. Below are videos on how to create the various financial statements needed in the presentation:
Comparative Industry Analysis Slide
Forecast Versus Actual Slide
Cash Flow and Ending Cash Balance Slide
Stock Price Analysis Slide
As always, I'm available for group or individual Help, either by email or by a personal WebEx meeting.