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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-
-
-
-
P/E Ratio
36.702
33.104
29.977
32.73
Return on Equity
10.708
6.785
6.875
10.155
Net Profit Margin
14.57
11.76
11.494
14.76
Debt to Asset Ratio
63.867
62.151
59.848
60.951
Cash Ratio
-
-
28.048
-
Quick Ratio
76.153
76.682
91.612
84.378
Current Ratio
107.34
109.517
125.074
120.483
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Trane Technologies plc (TT)
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Trane Technologies plc (TT)