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INTERFACE INC (TILE)
INTERFACE INC (TILE)
Income Statement
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Cash Flow
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Balance Sheet
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Ratios
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Financial Ratios
2026-07-05
2025-12-28
2025-09-28
2025-06-29
Free Cash flow
29,361
28,595
66,073
27,046
P/E Ratio
-
14.601
14.153
12.84
Return on Equity
7.578
3.807
7.432
5.663
Net Profit Margin
12.991
6.98
12.659
8.671
Debt to Asset Ratio
46.596
46.899
53.33
55.014
Cash Ratio
32.938
30.086
77.997
54.441
Quick Ratio
134.93
118.039
169.968
158.767
Current Ratio
252.738
234.047
289.37
287.672
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