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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-9,580
-15,705
-11,099
-7,849
Return on Equity
-7.609
-7.189
-6.157
-6.663
Net Profit Margin
-553.546
-621.554
-380.052
-439.456
Debt to Asset Ratio
12.063
11.264
12.421
11.923
Cash Ratio
231.428
461.955
301.351
298.983
Quick Ratio
1,406.186
1,693.976
1,234.714
1,371.074
Current Ratio
1,474.199
1,772.85
1,284.392
1,425.096
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Seer, Inc. (SEER)
Seer, Inc. (SEER)