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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
260,742
311,163
263,643
183,101
P/E Ratio
46.121
39.044
88.144
108.44
Return on Equity
7.695
6.415
8.59
6.231
Net Profit Margin
31.413
30.747
34.675
27.81
Debt to Asset Ratio
9.649
8.741
9.575
9.238
Cash Ratio
440.22
516.9
351.503
399.279
Quick Ratio
1,048.609
1,273.468
1,155.983
1,212.999
Current Ratio
1,048.609
1,273.468
1,155.983
1,212.999
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