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Financial Ratios
2026-02-28
2025-11-30
2025-08-31
2025-05-31
Free Cash flow
-1,200,449
-
-
-6,501,486
Return on Equity
75.295
61.59
181.929
240.087
Net Profit Margin
-121.569
-7.001
-6.865
-125.434
Debt to Asset Ratio
133.814
112.848
118.081
120.193
Quick Ratio
74.72
104.856
67.78
73.959
Current Ratio
82.105
114.613
77.913
75.255
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Karbon-X Corp. (KARX)
Karbon-X Corp. (KARX)