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Financial Ratios
2026-06-26
2026-03-31
2025-12-31
2025-09-26
Free Cash flow
40
211
272
303
P/E Ratio
59.409
29.33
27.05
25.346
Return on Equity
5.182
4.86
4.667
3.952
Net Profit Margin
3.595
3.344
3.386
2.925
Debt to Asset Ratio
78.173
76.682
75.403
74.24
Cash Ratio
21.483
19.882
28.16
21.679
Quick Ratio
89.138
87.275
88.458
82.63
Current Ratio
137.95
135.919
139.573
133.43
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