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Financial Ratios
2026-05-31
2026-02-28
2025-08-31
2025-05-31
Free Cash flow
-6,442
108,874
23,036
-
Return on Equity
4.24
31.157
-33.321
-
Net Profit Margin
8.893
34.895
-71.481
-
Debt to Asset Ratio
59.447
62.27
61.526
-
Cash Ratio
4.515
3.74
4.068
-
Quick Ratio
80.98
81.136
74.413
-
Current Ratio
178.316
171.402
170.584
-
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Time Plot
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HELEN OF TROY LTD (HELE)
HELEN OF TROY LTD (HELE)