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Financial Ratios
2026-06-30
2026-03-31
2025-09-30
2025-06-30
Free Cash flow
-2,676
1,030
-899
-2,773
Return on Equity
-28.378
-27.965
-24.539
-42.357
Net Profit Margin
-16,603.03
-31,763.636
-126,560
-221,800
Debt to Asset Ratio
51.989
44.983
32.262
28.419
Cash Ratio
92.564
176.31
-
-
Quick Ratio
118.836
202.347
40.071
52.237
Current Ratio
118.836
202.347
40.071
52.237
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PAVmed Inc. (PAVM)
PAVmed Inc. (PAVM)