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Financial Ratios
2025-12-31
2025-09-30
2025-06-30
2025-03-31
Free Cash flow
-5,103
-4,159
-999
-2,993
Return on Equity
64,071.778
114,825.321
96,195.631
359,843.807
Net Profit Margin
-594.225
-436.658
-427.598
-173.403
Debt to Asset Ratio
135.463
117.589
121.198
104.272
Cash Ratio
7.646
0.184
1.247
0.499
Quick Ratio
14.547
12.299
18.566
27.063
Current Ratio
15.254
16.223
24.937
37.621
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Celularity Inc (CELU)
Celularity Inc (CELU)