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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-828,172
548,652
-42,828
85,165
Return on Equity
1.49
0.675
-8.35
-2.221
Net Profit Margin
1.183
0.481
-6.724
-1.96
Debt to Asset Ratio
84.819
84.903
86.721
81.199
Cash Ratio
6.293
7.865
6.52
9.922
Quick Ratio
109.169
108.781
107.834
112.371
Current Ratio
109.555
109.181
108.239
112.804
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Usio, Inc. (USIO)
Usio, Inc. (USIO)