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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-5,906
13,037
-22,213
-11,107
Return on Equity
-19.018
-27.987
-24.365
4.551
Net Profit Margin
-7,044.561
-10,275.299
-10,112.086
2,055.409
Debt to Asset Ratio
13.766
15.907
17.193
21.057
Cash Ratio
345.751
558.709
504.164
16.75
Quick Ratio
539.001
605.286
561.705
66.016
Current Ratio
539.001
605.286
561.705
66.016
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Strategy Inc (STRK)
Strategy Inc (STRK)