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Financial Ratios
2026-04-30
2026-01-31
2025-10-31
2025-07-31
Free Cash flow
6,556
5,323
2,177
605
P/E Ratio
21.283
27.003
34.743
36.416
Return on Equity
6.155
3.285
3.475
3.077
Net Profit Margin
18.926
17.347
20.333
18.435
Debt to Asset Ratio
67.909
47.338
36.916
37.147
Cash Ratio
32.489
19.74
41.934
46.001
Quick Ratio
78.587
76.033
98.379
112.422
Current Ratio
78.587
76.033
98.379
112.422
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