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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
446
-163
586
538
P/E Ratio
17.562
15.185
14.76
23.621
Return on Equity
5.087
4.628
3.705
5.694
Net Profit Margin
9.722
9.72
7.665
11.098
Debt to Asset Ratio
61.88
62.736
63.359
64.072
Cash Ratio
29.069
31.759
44.143
32.644
Quick Ratio
115.414
117.262
121.694
107.644
Current Ratio
157.984
160.913
162.429
146.525
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