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Financial Ratios
2026-01-31
2025-10-31
2025-07-31
2025-04-30
Free Cash flow
-951
1,889
47,483
9,227
Return on Equity
-80.908
-16.931
-5.185
-2.839
Net Profit Margin
-175.595
-72.839
-30.785
-19.057
Debt to Asset Ratio
83.553
68.396
37.439
32.441
Cash Ratio
48.874
235.087
88.99
86.359
Quick Ratio
163.859
-
-
-
Current Ratio
165.162
399.887
174.682
210.161
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