This report provides a comprehensive financial analysis of a selected company's performance over the past five years, encompassing both qualitative and quantitative aspects. The qualitative component includes background information on the company's industry positioning and recent stock price movements. The quantitative analysis involves examining trends in profit and loss statements and balance sheets, alongside detailed analysis of key financial ratios, including liquidity, profitability, and capital structure ratios. The report compares these ratios with industry averages to provide context and assesses the company's performance using theoretical concepts. Furthermore, the report calculates the value of the company's stock using the Constant Dividend Growth Rate model, compares this value to the current market price, and explains any discrepancies. Finally, the report concludes with a recommendation on whether to invest in the company, supported by the findings of the financial analysis.