This report presents a detailed financial analysis of Amcor Company, focusing on its performance for the year ending June 30, 2019. The analysis includes common size and horizontal analysis of financial statements, providing insights into the company's revenue, expenses, and asset composition. Cash flow analysis, specifically cash flow from operations, is examined to assess the company's ability to generate cash. The report also covers liquidity analysis, evaluating Amcor's short-term solvency, and income analysis, assessing profitability margins. Capital structure and debt ratio analysis are conducted to understand the company's financing strategies. Furthermore, the report includes coverage analysis, growth and risk analysis, and prospective analysis to provide a comprehensive overview of Amcor's financial health and future prospects. The findings suggest an improved financial position with temporary declines in profit margins, and the report concludes with an assessment of the company's overall performance and potential.