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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-6,043
-4,312
-7,682
-7,309
Return on Equity
-23,450.37
-24,863.452
-17,753.446
-19,938.624
Net Profit Margin
-
-
2,905.6
-
Debt to Asset Ratio
17.463
16.152
10.891
13.067
Cash Ratio
530.527
586.417
952.859
809.475
Quick Ratio
588.357
648.114
1,046.49
871.127
Current Ratio
588.357
648.114
1,046.49
871.127
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Mereo BioPharma Group plc (MREO)
Mereo BioPharma Group plc (MREO)