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Financial Ratios
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Free Cash flow
33,245
6,278
-27,910
109,786
Return on Equity
0.599
-0.65
-2.688
-13.425
Net Profit Margin
0.404
-0.425
-1.729
-9.963
Debt to Asset Ratio
77.387
78.843
77.22
76.224
Cash Ratio
50.635
40.183
43.366
51.479
Quick Ratio
88.229
89.5
91.291
94.84
Current Ratio
89.534
90.886
92.549
96.195
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MATRIX SERVICE CO (MTRX)
MATRIX SERVICE CO (MTRX)