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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
923,500
1,238,100
1,101,400
949,700
P/E Ratio
19.521
25.242
24.374
26.428
Return on Equity
3.928
4.337
4.118
3.221
Net Profit Margin
61.06
61.396
71.747
59.053
Debt to Asset Ratio
86.377
86.822
85.522
84.937
Cash Ratio
1.351
1.441
2.755
1.636
Quick Ratio
101.836
101.809
103.158
102.148
Current Ratio
101.836
101.809
103.158
102.148
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CME GROUP INC. (CME)
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CME GROUP INC. (CME)