Pop Mart International Group Ltd's Fiscal Year is From January To December.
The item "Price-To-Cashflow-Ratio" stands at 37.86 as of 06/30/2025.
As of the end of Pop Mart International Group Ltd's second quarter, the item "Price To Cashflow Ratio" stands at 37.86. This represents a decrease of -10.15 percent compared to it's value at the end of it's first quarter .
Regarding the One-Year-Change of the series, the current value constitutes an increase of 96.72 percent compared to the value the year prior.
The 1 year change in percent is 96.72.
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|---|---|---|
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