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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
19,639
15,803
5,882
25,663
P/E Ratio
21.4
21.986
30.245
36.964
Return on Equity
8.085
7.669
9.839
7.642
Net Profit Margin
39.737
38.339
47.32
35.723
Debt to Asset Ratio
41.667
40.313
41.248
42.944
Cash Ratio
12.4
23.492
18.689
21.37
Quick Ratio
122.205
127.403
137.788
139.216
Current Ratio
123.033
128.295
138.602
140.053
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