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Financial Ratios
2026-06-28
2026-03-29
2025-12-28
2025-09-28
Free Cash flow
1,350,500
91,800
1,274,000
925,800
P/E Ratio
58.417
65.433
56.395
43.943
Return on Equity
-13.634
-6.041
-3.499
-1.645
Net Profit Margin
11.212
5.36
2.958
1.391
Debt to Asset Ratio
127.097
127.678
126.006
125.263
Cash Ratio
-
-
-
-
Quick Ratio
53.699
73.379
86.259
50.896
Current Ratio
75.973
92.225
104.666
72.302
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