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Financial Ratios
2026-07-03
2026-04-03
2025-12-31
2025-09-26
Free Cash flow
94,900
24,800
174,800
90,300
P/E Ratio
-
-
10.778
16.73
Return on Equity
4.985
7.033
15.066
7.481
Net Profit Margin
7.903
11.857
23.485
12.319
Debt to Asset Ratio
70.243
69.368
71.361
71.71
Cash Ratio
26.013
22.677
38.199
33.607
Quick Ratio
93.629
89.738
90.438
90.355
Current Ratio
125.24
122.861
115.778
118.152
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Vontier Corp (VNT)
Vontier Corp (VNT)