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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-2,937,933
-1,226,177
-2,689,542
-1,602,097
Return on Equity
-26.472
-18.118
-19.376
-59.369
Net Profit Margin
-237.889
-228.95
-1,507.591
-4,940.11
Debt to Asset Ratio
11.521
7.879
7.313
12.955
Quick Ratio
822.615
1,288.81
1,384.139
715.392
Current Ratio
876.233
1,327.511
1,433.308
759.923
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Safe Pro Group Inc. (SPAI)
Safe Pro Group Inc. (SPAI)