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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
320,251
218,813
395,296
675,444
P/E Ratio
18.656
13.943
11.461
13.678
Return on Equity
24.587
18.845
20.218
11.213
Net Profit Margin
7.467
5.783
6.47
4.395
Debt to Asset Ratio
93.905
94.01
93.373
92.363
Cash Ratio
23.428
22.467
21.531
23.398
Quick Ratio
141.418
136.744
124.056
131.673
Current Ratio
146.725
141.682
129.169
136.283
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DAVITA INC. (DVA)
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DAVITA INC. (DVA)