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Financial Ratios
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Free Cash flow
-
-
-8,829,651
-6,315,688
Return on Equity
-48.237
-49.112
-24.314
24.48
Net Profit Margin
-44,734.533
50,839.147
-125,963.614
1,598.094
Debt to Asset Ratio
1.226
1.745
2.42
14.899
Cash Ratio
555.175
221.143
99.132
344.815
Quick Ratio
807.602
388.437
366.63
367.228
Current Ratio
828.227
402.181
373.651
434.838
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Sharps Technology Inc. (STSSW)
Sharps Technology Inc. (STSSW)