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Financial Ratios
2025-11-23
2025-08-31
2025-05-11
2025-02-16
Free Cash flow
3,162
1,901
2,329
1,611
P/E Ratio
48.775
49.94
59.329
62.712
Return on Equity
6.603
8.949
7.016
6.991
Net Profit Margin
2.973
3.029
3.011
2.806
Debt to Asset Ratio
63.398
62.173
64.064
65.07
Cash Ratio
38.792
38.162
36.818
33.395
Quick Ratio
53.271
54.608
52.01
49.036
Current Ratio
103.842
103.428
101.522
99.724
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