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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-
-
-1,627,441
-2,055,495
Return on Equity
940.883
-86.867
-58.677
-36.641
Net Profit Margin
-10,530.284
-2,902.318
-2,098.988
-2,008.048
Debt to Asset Ratio
154.156
30.275
25.615
17.003
Quick Ratio
55.624
205.28
299.783
415.253
Current Ratio
55.624
217.689
308.422
426.887
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SOBR Safe, Inc. (SOBR)
SOBR Safe, Inc. (SOBR)