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Financial Ratios
2026-07-03
2026-04-03
2026-01-02
2025-10-03
Free Cash flow
233,200
268,600
154,700
116,600
P/E Ratio
-
37.459
46.259
55.153
Return on Equity
-9.229
1.754
2.683
1.926
Net Profit Margin
-48.529
10.522
16.148
12.372
Debt to Asset Ratio
40.16
37.302
37.326
35.806
Cash Ratio
15.204
17.042
16.855
18.563
Quick Ratio
82.229
87.697
96.155
86.463
Current Ratio
95.369
101.383
108.547
100.399
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TRIMBLE INC. (TRMB)
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TRIMBLE INC. (TRMB)