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Financial Ratios
2026-06-30
2026-03-31
2025-09-30
2025-06-30
Free Cash flow
-14,577
36,723
-19,819
-36,583
Return on Equity
-25.389
-20.618
-17.346
-15.13
Debt to Asset Ratio
12.877
8.901
9.597
8.014
Cash Ratio
117.988
455.265
295.327
380.176
Quick Ratio
770.335
1,114.369
1,076.471
1,251.926
Current Ratio
770.335
1,114.369
1,076.471
1,251.926
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PMV Pharmaceuticals, Inc. (PMVP)
PMV Pharmaceuticals, Inc. (PMVP)