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Financial Ratios
2025-09-30
2025-06-30
2025-03-31
2024-12-31
Free Cash flow
15,100
-15,400
-46,900
-
Return on Equity
-69.691
19.356
26.269
-
Net Profit Margin
29.072
-14.407
-16.299
9.16
Debt to Asset Ratio
116.449
127.521
121.841
-
Cash Ratio
12.186
9.405
14.199
-
Quick Ratio
61.832
44.668
60.81
-
Current Ratio
113.371
76.173
105.615
-
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Calumet, Inc. DE (CLMT)
Calumet, Inc. DE (CLMT)