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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-182,487
-
1,055,923
-
Return on Equity
5.159
0.384
25.8
5.327
Net Profit Margin
-575.844
-18.513
-5,611.907
-182.684
Debt to Asset Ratio
547.342
559.977
529.638
293.827
Quick Ratio
0.082
0.085
0.621
2.131
Current Ratio
4.093
2.952
4.151
5.164
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CANNAPHARMARX, INC. (CPMD)
CANNAPHARMARX, INC. (CPMD)