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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
249,349
318,247
267,404
100,484
P/E Ratio
11.649
13.671
25.647
33.377
Return on Equity
3.423
15.304
4.334
9.09
Net Profit Margin
19.795
76.291
24.28
38.912
Debt to Asset Ratio
46.731
40.956
40.217
42.177
Cash Ratio
26.265
36.03
18.435
14.903
Quick Ratio
102.523
123.416
121.948
111.796
Current Ratio
102.523
123.416
121.948
111.796
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PTC INC. (PTC)
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PTC INC. (PTC)