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CapsoVision, Inc (CV)
CapsoVision, Inc (CV)
Income Statement
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Cash Flow
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Balance Sheet
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Ratios
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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-8,403
-6,114
-7,694
-5,678
Return on Equity
-56.821
-34.782
-48.989
-38.749
Net Profit Margin
-205.353
-251.898
-198.351
-223.884
Debt to Asset Ratio
29.097
22.066
26.998
20.338
Quick Ratio
243.815
391.74
309.058
450.011
Current Ratio
335.014
456.834
376.53
518.77
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