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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-3,685,566
-6,001,453
-4,279,143
-5,076,630
Return on Equity
98.42
411.013
-239.612
234.939
Net Profit Margin
-582.737
-418.788
-314.493
-281.946
Debt to Asset Ratio
159.661
110.162
85.451
111.45
Cash Ratio
3.395
16.141
55.885
7.258
Quick Ratio
35.925
66.123
104.607
40.931
Current Ratio
39.802
73.472
112.793
73.808
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Nuvve Holding Corp. (NVVE)
Nuvve Holding Corp. (NVVE)