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Financial Ratios
2026-06-27
2026-03-28
2025-12-27
2025-09-27
Free Cash flow
31,914
26,731
51,552
26,486
P/E Ratio
34.232
31.084
33.198
37.706
Return on Equity
27.706
27.775
47.734
37.251
Net Profit Margin
27.225
26.603
29.284
26.805
Debt to Asset Ratio
71.946
71.303
76.749
79.475
Cash Ratio
26.482
33.847
27.91
21.695
Quick Ratio
92.901
102.025
93.756
85.877
Current Ratio
100.329
107.036
97.374
89.329
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