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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
181,339
210,822
234,890
329,052
P/E Ratio
42.539
38.685
28.339
22.215
Return on Equity
1.672
2.166
1.709
2.962
Net Profit Margin
7.221
9.903
7.77
13.291
Debt to Asset Ratio
68.497
57.849
56.642
56.32
Cash Ratio
52.099
60.088
96.146
97.645
Quick Ratio
163.665
205.701
236.345
228.054
Current Ratio
163.665
205.701
236.345
228.054
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