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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
68,384
6,929
31,125
88,016
P/E Ratio
-
38.503
19.116
14.359
Return on Equity
3.807
1.777
-89.439
-227.486
Net Profit Margin
12.603
6.115
10.586
68.967
Debt to Asset Ratio
70.198
65.477
101.561
104.034
Cash Ratio
98.829
114.59
41.08
72.788
Quick Ratio
131.116
145.956
68.927
113.116
Current Ratio
131.116
145.956
68.927
113.116
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