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Sweetgreen, Inc. (SG)
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Sweetgreen, Inc. (SG)
Income Statement
|
Cash Flow
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Balance Sheet
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Ratios
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Financial Ratios
2026-06-28
2026-03-29
2025-12-28
2025-09-28
Free Cash flow
-10,569
-29,558
-38,997
-37,193
Return on Equity
-5.618
25.731
-13.962
-9.191
Net Profit Margin
-13.635
77.89
-32.039
-20.967
Debt to Asset Ratio
47.79
46.43
54.812
52.314
Cash Ratio
124.748
143.685
75.158
112.094
Quick Ratio
140.872
158.281
107.266
126.994
Current Ratio
143.385
160.65
109.275
129.094
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