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Financial Ratios
2026-04-30
2026-01-31
2025-10-31
2025-07-31
Free Cash flow
-2,597,876
1,029,116
718,841
399,697
Return on Equity
4.743
-1.883
0.225
1.409
Net Profit Margin
4.749
-2.419
0.245
1.516
Debt to Asset Ratio
47.568
45.561
46.146
46.644
Cash Ratio
0.919
0.777
1.409
2.485
Quick Ratio
73.688
54.042
64.996
70.705
Current Ratio
207.903
183.102
182.491
180.959
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OPTICAL CABLE CORP (OCC)
OPTICAL CABLE CORP (OCC)