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Financial Ratios
2026-07-05
2026-04-05
2025-12-28
2025-09-28
Free Cash flow
180,870
95,455
161,789
119,999
P/E Ratio
53.802
42.271
42.444
38.126
Return on Equity
0.717
0.567
1.357
0.632
Net Profit Margin
7.102
5.726
12.741
6.675
Debt to Asset Ratio
39.99
40.127
40.417
39.238
Cash Ratio
80.146
69.457
69.098
76.172
Quick Ratio
150.367
140.542
139.738
144.255
Current Ratio
180.022
171.826
168.244
175.326
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REVVITY, INC. (RVTY)
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REVVITY, INC. (RVTY)