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Certara, Inc. (CERT)
Certara, Inc. (CERT)
Income Statement
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Cash Flow
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Balance Sheet
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Ratios
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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
9,417
11,063
27,814
32,093
Return on Equity
-5.718
-1.246
-0.546
-0.139
Net Profit Margin
-59.257
-11.852
-5.598
-1.412
Debt to Asset Ratio
30.953
32.214
31.723
30.67
Cash Ratio
150.441
103.72
123.475
127.443
Quick Ratio
255.056
187.729
205.443
209.049
Current Ratio
255.056
187.729
205.443
209.049
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