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This section provides various financial ratios derived from the company's financial statements to help assess its performance and financial health. Below are Return on Equity, Net Profit Margin, Debt to Asset Ratio, Cash Ratio, Current Ratio for HFUS as of 2025-10-31.

Financial Ratios
2025-10-31
2025-07-31
2025-04-30
2025-01-31
Current Ratio
98.224 98.401 40.228 35.246
Cash Ratio
2.096 0.863 0.945 0.706
Debt to Asset Ratio
89.646 95.672 225.951 253.349
Net Profit Margin
9.27 78.448 17.275 23.145
Return on Equity
14.502 246.29 -3.12 -4.727

Time Plot

Show the time plot by selecting a row from the table.

Hartford Creative Group, Inc. (HFUS)

Hartford Creative Group, Inc. (HFUS)