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Financial Ratios
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Free Cash flow
-526,911
-3,302,951
-2,406,149
-9,496,317
Return on Equity
-15.309
-17.069
-17.69
-54.656
Net Profit Margin
-159.293
-283.52
-1,160.329
-1,007.847
Debt to Asset Ratio
27.664
25.893
27.852
27.764
Quick Ratio
356.551
434.936
122.101
150.201
Current Ratio
356.935
438.455
122.701
150.56
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TREASURE GLOBAL INC (TGL)
TREASURE GLOBAL INC (TGL)