Cash Flow and Strategy
Read and complete case study 7.2, “Oracle Corporation” in your text. Address the following elements, which are also required elements at the end of the case study:
- Comment on the difference between net cash provided by operating activities and net income. Speculate on which number is likely to be the better indicator of long-term profitability.
- Provide explanations for items “A” through “D” of the case.
- Do any of these firms appear to have a cash flow problem?
Your submitted paper should be at least 2-3 pages long