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Financial Ratios
2025-09-30
2025-06-30
2025-03-31
2024-12-31
Free Cash flow
-112,712
-87,279
-129,021
-14,953
Return on Equity
13.002
87.989
-319.929
32.376
Net Profit Margin
-180.832
-1,191.432
730.202
-279.738
Debt to Asset Ratio
149.128
153.824
111.167
151.299
Cash Ratio
67.692
103.309
356.985
621.421
Quick Ratio
158.396
178.554
426.156
671.781
Current Ratio
158.396
178.554
426.156
671.781
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Core Scientific, Inc. tx (CORZW)
Core Scientific, Inc. tx (CORZW)