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Financial Ratios
2026-03-31
2025-09-30
2025-06-30
Free Cash flow
17,008,939
-11,984,490
-23,537,823
Return on Equity
-6.674
-6.564
-49.882
Debt to Asset Ratio
3.86
5.426
27.762
Cash Ratio
951.331
2,384.041
352.025
Quick Ratio
3,244.894
2,400.162
370.323
Current Ratio
3,244.894
2,400.162
370.323
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Immuneering Corp (IMRX)
Immuneering Corp (IMRX)