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This section provides various financial ratios derived from the company's financial statements to help assess its performance and financial health. Below are Current Ratio, Quick Ratio, Cash Ratio, Debt to Asset Ratio, Net Profit Margin, Return on Equity for CATX as of 2025-12-31.

Financial Ratios
2025-12-31
2025-09-30
2025-06-30
2025-03-31
Return on Equity
-18.108 -10.721 -8.086 -
Net Profit Margin
-87,186.047 -12,425.359 -7,408.621 -5,314.912
Debt to Asset Ratio
22.452 17.844 14.493 -
Cash Ratio
106.799 129.799 222.155 -
Quick Ratio
517.413 865.748 1,508.994 -
Current Ratio
517.413 865.748 1,508.994 -

Time Plot

Show the time plot by selecting a row from the table.

Perspective Therapeutics, Inc. (CATX)

Perspective Therapeutics, Inc. (CATX)