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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
293,295
-581,893
-166,051
-
Return on Equity
904.88
-18.023
-168.754
-70.973
Net Profit Margin
175.26
-33.606
-421.841
-402.742
Debt to Asset Ratio
98.01
78.954
75.153
61.348
Cash Ratio
0.144
0.209
0.724
2.194
Quick Ratio
11.329
13.621
10.22
14.515
Current Ratio
11.724
14.219
10.86
14.542
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FOXO TECHNOLOGIES INC. (FOXO)
FOXO TECHNOLOGIES INC. (FOXO)