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Financial Ratios
2026-06-30
2026-03-31
Free Cash flow
-7,084,048
-4,401,379
Return on Equity
-23.47
-18.957
Net Profit Margin
-3,384.75
-21,937.688
Debt to Asset Ratio
8.03
5.643
Cash Ratio
941.401
1,740.097
Quick Ratio
1,228.156
1,799.057
Current Ratio
1,228.156
1,799.057
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Swarmer, Inc (SWMR)
Swarmer, Inc (SWMR)