Over the past year,
good old SVF has realized an increase in our current ratio and a drop in total
assets turnover ratio. Conversely, SVFâ€™s sales, quick ratio, and fixed assets
turnover ratio have remained constant. We are arguing about what could cause
this. What do you think?
second part of the question is this: We will obviously want to know how to
correct these downturns. How do we do it?