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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
2,265,438
-1,316,845
892,880
244,506
Return on Equity
-184.651
36.144
-125.918
-16.268
Net Profit Margin
-
17.358
-34.742
-10.257
Debt to Asset Ratio
94.183
84.939
90.522
80.359
Quick Ratio
78.545
99.692
82.896
98.754
Current Ratio
100.068
122.35
103.839
130.334
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Guerrilla RF, Inc. (GUER)
Guerrilla RF, Inc. (GUER)