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Financial Ratios
2026-06-30
2026-03-31
2025-09-30
2025-06-30
Free Cash flow
4,694
-22,194
9,464
11,217
Return on Equity
3.086
2.36
3.501
3.413
Net Profit Margin
4.515
3.633
5.316
5.217
Debt to Asset Ratio
53.162
53.552
55.598
53.109
Cash Ratio
73.452
69.132
67.593
67.289
Quick Ratio
281.256
265.238
221.646
242.539
Current Ratio
281.256
265.238
221.646
242.539
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Information Services Group Inc. (III)
Information Services Group Inc. (III)