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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
483
363
1,323
1,079
P/E Ratio
18.94
17.637
20.733
28.853
Return on Equity
5.675
12.144
17.731
5.586
Net Profit Margin
12.977
24.076
39.372
11.459
Debt to Asset Ratio
81.798
80.595
81.199
84.122
Cash Ratio
3.901
4.801
5.145
4.362
Quick Ratio
103.262
106.627
110.97
105.84
Current Ratio
103.262
106.627
110.97
105.84
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