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123
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Financial Ratios
2025-12-31
2025-09-30
2025-06-30
2025-03-31
Free Cash flow
269
57
219
233
P/E Ratio
16.467
19.25
18.939
26.61
Return on Equity
448.571
57.971
68.88
97.895
Net Profit Margin
9.384
5.598
16.7
11.151
Debt to Asset Ratio
99.376
97.504
91.332
96.553
Cash Ratio
9.672
7.431
8.702
10.487
Quick Ratio
47.72
50.045
56.54
44.316
Current Ratio
73.626
75.873
83.794
73.782
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The_Clorox_Company_logo,_2021-svg
CLOROX CO DE (CLX)
The_Clorox_Company_logo,_2021-svg
CLOROX CO DE (CLX)