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Financial Ratios
2026-05-31
2026-02-28
2025-11-30
2025-08-31
Free Cash flow
8,616
6,366
4,234
5,323
Return on Equity
2.573
3.394
0.527
-0.543
Net Profit Margin
16.344
18.69
3.637
-3.883
Debt to Asset Ratio
9.113
8.679
7.776
5.408
Cash Ratio
260.386
208.434
291.963
458.781
Quick Ratio
553.774
547.355
562.282
766.528
Current Ratio
553.774
547.355
562.282
766.528
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