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Financial Ratios
2026-05-03
2026-02-01
2025-11-02
2025-08-03
Free Cash flow
68
253
263
24
Return on Equity
5.109
3.375
6.667
6.83
Net Profit Margin
5.654
4.428
6.644
6.402
Debt to Asset Ratio
66.572
65.916
67.381
68.887
Cash Ratio
13.562
25.172
8.04
2.238
Quick Ratio
131.465
150.572
134.688
130.17
Current Ratio
231.193
263.387
226.468
224.709
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Core & Main, Inc. (CNM)