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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
1,401
1,010
1,702
1,460
P/E Ratio
25.272
26.909
35.671
35.042
Return on Equity
3.322
3.853
3.134
3.12
Net Profit Margin
29.354
33.445
28.933
30.247
Debt to Asset Ratio
41.754
40.444
40.928
36.906
Cash Ratio
45.304
19.389
22.849
28.813
Quick Ratio
95.441
67.702
82.441
97.432
Current Ratio
95.441
67.702
82.441
97.432
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