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Financial Ratios
2025-09-30
2025-06-30
Free Cash flow
-9,064
-15,437
Return on Equity
304.669
84.264
Net Profit Margin
-7,288.199
4,038.657
Debt to Asset Ratio
125.004
54.123
Cash Ratio
1,245.941
1,573.916
Quick Ratio
1,315.257
1,640.867
Current Ratio
1,315.257
1,640.867
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Surrozen, Inc. DE (SRZNW)
Surrozen, Inc. DE (SRZNW)