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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
297,900
326,400
276,100
336,100
P/E Ratio
28.232
27.94
34.48
38.065
Return on Equity
-19.226
-20.07
63.654
59.735
Net Profit Margin
28.352
29.926
25.321
29.351
Debt to Asset Ratio
126.446
125.376
95
93.952
Cash Ratio
49.395
44.423
94.692
93.311
Quick Ratio
100.546
101.796
120.219
119.305
Current Ratio
100.546
101.796
120.219
119.305
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