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Financial Ratios
2026-01-25
2025-10-26
2025-07-27
2025-04-27
Free Cash flow
1,040
2,043
2,050
1,061
P/E Ratio
35.609
26.874
22.791
18.343
Return on Equity
9.329
9.292
9.121
11.271
Net Profit Margin
28.893
27.897
24.363
30.099
Debt to Asset Ratio
42.31
43.759
42.989
43.622
Cash Ratio
93.099
90.524
68.299
77.151
Quick Ratio
194.144
187.098
176.468
175.738
Current Ratio
271.495
261.045
250.133
246.473
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Applied_Materials_Inc
APPLIED MATERIALS INC DE (AMAT)
Applied_Materials_Inc
APPLIED MATERIALS INC DE (AMAT)