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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-3,280
25,052
9,628
8,767
Return on Equity
2.48
4.252
16.018
2.733
Net Profit Margin
11.215
17.537
69.209
11.417
Debt to Asset Ratio
29.337
29.005
31.647
30.624
Cash Ratio
45.041
50.769
61.533
95.027
Quick Ratio
122.721
116.066
141.176
162.493
Current Ratio
132.607
125.39
150.311
174.973
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OneSpan Inc. (OSPN)
OneSpan Inc. (OSPN)