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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
481
252
171
272
P/E Ratio
25.877
20.929
28.292
20.246
Return on Equity
4.401
5.551
3.059
3.944
Net Profit Margin
10.642
14.132
8.367
15.335
Debt to Asset Ratio
28.148
26.62
26.417
19.581
Cash Ratio
81.485
71.299
69.466
203.125
Quick Ratio
227.879
236.271
239.804
364.303
Current Ratio
227.879
236.271
239.804
364.303
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