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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-11,225
-12,531
-9,743
-8,962
Return on Equity
-45.457
-31.385
-21.306
-19.821
Net Profit Margin
-808.809
-402.855
-373.484
-503.686
Debt to Asset Ratio
29.412
22.762
20.464
18.297
Cash Ratio
157.05
120.322
83.448
586.196
Quick Ratio
351.721
482.453
542.149
617.456
Current Ratio
379.722
514.603
573.852
650.804
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InspireMD, Inc. (NSPR)
InspireMD, Inc. (NSPR)