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Financial Ratios
2026-05-29
2026-02-27
2025-11-28
2025-08-29
Free Cash flow
2,107
2,921
3,126
2,126
P/E Ratio
15.126
15.392
19.527
22.517
Return on Equity
14.864
16.522
15.968
15.055
Net Profit Margin
25.869
29.525
29.964
29.593
Debt to Asset Ratio
61.521
61.51
60.595
59.067
Cash Ratio
40.727
55.593
53.245
53.924
Quick Ratio
75.079
91.185
99.637
101.872
Current Ratio
75.079
91.185
99.637
101.872
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ADOBE INC. (ADBE)
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ADOBE INC. (ADBE)