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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
29,796
4,703
-14,615
-
Return on Equity
5.965
1.967
1.104
10.077
Net Profit Margin
2.937
1.053
0.569
4.333
Debt to Asset Ratio
82.685
80.055
83.595
84.889
Cash Ratio
25.546
8.227
5.25
-
Quick Ratio
74.413
66.017
70.95
70.134
Current Ratio
78.965
69.671
74.175
73.62
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JANEL CORP (JANL)
JANEL CORP (JANL)