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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
-2,706
-1,607
2,399
3,077
Return on Equity
-30.157
-25.028
-41.877
6.835
Net Profit Margin
-145.422
-44.125
-186.82
12.867
Debt to Asset Ratio
58.02
63.633
61.422
57.919
Cash Ratio
58.877
41.151
59.346
54.183
Quick Ratio
95.347
90.248
105.317
143.69
Current Ratio
200.036
189.12
210.825
240.855
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Xos, Inc. (XOS)
Xos, Inc. (XOS)