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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
489,400
97,400
758,000
529,700
P/E Ratio
37.394
35.994
36.057
38.775
Return on Equity
5.304
4.312
5.751
5.998
Net Profit Margin
12.114
10.639
13.439
14.046
Debt to Asset Ratio
66.303
59.937
60.3
59.185
Cash Ratio
85.78
8.527
11.675
46.698
Quick Ratio
156.615
73.342
80.676
133.036
Current Ratio
184.074
99.131
107.605
169.684
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