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Financial Ratios
2026-06-30
2026-03-31
2025-09-30
2025-06-30
Free Cash flow
22,424,914
37,005,853
-20,927,311
-6,971,599
Return on Equity
3.82
4.182
5.17
1.005
Net Profit Margin
21.739
26.261
29.582
5.67
Debt to Asset Ratio
31.167
30.317
22.81
22.406
Cash Ratio
234.911
267.399
285.818
251.709
Quick Ratio
326.801
377.921
505.835
394.908
Current Ratio
330.599
381.635
509.598
397.719
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SBC Medical Group Holdings Inc (SBC)
SBC Medical Group Holdings Inc (SBC)