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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-3,236
-2,238
-2,271
-2,378
Return on Equity
57.033
544.95
-60.594
-36.023
Net Profit Margin
-7,433.333
-11,978
-10,350
-9,089.286
Debt to Asset Ratio
160.983
114.88
36.193
27.06
Cash Ratio
88.22
180.395
173.253
272.642
Quick Ratio
170.417
237.953
244.081
309.963
Current Ratio
170.417
237.953
244.081
309.963
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VivoSim Labs, INC. (VIVS)
VivoSim Labs, INC. (VIVS)