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Financial Ratios
2026-05-02
2026-01-31
2025-11-01
2025-08-02
Free Cash flow
190,035
400,114
-133,157
144,730
Return on Equity
5.321
10.862
1.872
2.242
Net Profit Margin
9.572
13.782
3.516
4.164
Debt to Asset Ratio
54.254
55.575
59.279
58.597
Cash Ratio
65.013
75.859
31.997
60.862
Quick Ratio
127.062
112.171
59.061
84.934
Current Ratio
209.822
200.913
160.458
171.412
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FIVE BELOW, INC (FIVE)
FIVE BELOW, INC (FIVE)