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Financial Ratios
2026-05-02
2026-01-31
2025-11-01
2025-08-02
Free Cash flow
73,177
61,715
55,845
44,192
Return on Equity
2.751
1.661
0.64
-1.255
Net Profit Margin
8.663
5.311
2.005
-3.895
Debt to Asset Ratio
42.328
44.092
43.668
44.961
Cash Ratio
24.008
34.763
34.116
32.652
Quick Ratio
156.345
159.091
149.186
143.809
Current Ratio
162.071
164.346
156.001
149.819
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