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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-44,207
-45,469
-38,265
-31,793
Return on Equity
-20.838
-16.199
1.271
-11.259
Net Profit Margin
-30,957.333
-18,858.85
1,619.492
-16,517.512
Debt to Asset Ratio
10.513
10.137
10.365
9.462
Cash Ratio
329.67
392.947
353.058
327.987
Quick Ratio
835.614
905.873
913.015
1,032.202
Current Ratio
835.614
905.873
913.015
1,032.202
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PROKIDNEY CORP. (PROK)
PROKIDNEY CORP. (PROK)