Filings/4165/INTERIM

PLAID,Inc. INTERIM

Period 2026-09-30 · filed 2026-05-14

Source document

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KPIsSections22
Headline metrics
RevenueGREEN¥7.77B
Gross marginGREEN74.4%
Net incomeGREEN¥310.7M
Net marginGREEN4.0%
Operating marginGREEN7.9%
Red flags1 red
Liquidity1
RED
Negative operating cash flowoperating_cf_burn
The company is burning cash from operations — sustainability depends on financing.
Income Statement
Income Statement
MetricValueFlag
Operating Income¥611.4MGREEN
Ordinary Income¥523.1MGREEN
Net Income¥310.7MGREEN
Revenue¥7.77BGREEN
Gross Margin74.4%GREEN
Operating Margin7.9%GREEN
Net Margin4.0%GREEN
Gross Profit¥5.78BGREEN
EBITDA¥638.7MGREEN
Income Tax Expense¥217.5MGREEN
EPS Diluted¥7.57GREEN
Interest Expense¥41.5MGREEN
Non-Operating Income¥9.7MGREEN
Non-Operating Expenses¥98.0MGREEN
Equity Ratio (Official)¥0.42GREEN
Cost Of Revenue¥1.99BGREEN
Selling General & Admin Exp¥5.17BGREEN
Interest and Investment Income¥7.4MGREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total Assets¥12.36BGREEN
Current Assets¥9.96BGREEN
Current Liabilities¥3.77BGREEN
Total Liabilities¥7.16BGREEN
Total Equity¥5.20BGREEN
Retained Earnings-¥3.70BGREEN
Cash & Equivalents¥8.01BGREEN
Long-term Debt¥3.39BGREEN
Short-term Debt¥200.0MGREEN
Accumulated Deficit-¥3.70BGREEN
Interest-Bearing Debt (Current)¥200.0MGREEN
Interest-Bearing Debt (Non-Current)¥3.39BGREEN
Non-Current Assets¥2.39BGREEN
Investment Securities¥519.9MGREEN
Investments and Other Assets¥1.48BGREEN
Contract Liabilities¥473.6MGREEN
Machinery and Equipment (Net)¥0GREEN
Accounts Payable — Other¥1.07BGREEN
Allowance for Doubtful Accounts-¥9.2MGREEN
Net Property, Plant & Equipment¥123.8MGREEN
Goodwill¥735.7MGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash Flow-¥111.0MGREEN
Capital Expenditures¥87.8MGREEN
Investing Cash Flow-¥1.29BGREEN
Depreciation & Amortization¥27.3MGREEN
Free Cash Flow-¥198.8MGREEN
Financing Cash Flow¥2.81BGREEN

Sections in this filing

BusinessResultsOfGroupTextBlock

回次第14期中間連結会計期間第15期中間連結会計期間第14期会計期間自 2024年10月1日至 2025年3月31日自 2025年10月1日至 2026年3月31日自 2024年10月1日至 2025年9月30日売上高(千円)6,547,2477,766,66713,396,474経常利益(千円)844,431523,1151,380,506親会社株主に帰属する中間(当期)純利益(千円)641,109310,7261,099,057中間包括利益又は包括利益(千円)681,600297,9941,155,847純資産額(千円)3,973,8565,199,6324,812,355総資産額(千円)7,049,77912,355,1309,648,9731株当たり中間(当期)純利益金額(円)15.797.5726.99潜在株式調整後1株当たり中間(当期)純利益(円)15.577.5226.63自己資本比率(%)55.241.649.3営業活動によるキャッシュ・フロー(千円)△28,482△111,0411,376,503投資活動によるキャッシュ・フロー(千円)△56,460△1,293,847△384,700財務活動によるキャッシュ・フロー(千円)△239,1062,810,344865,251現金及び現金同等物の中間期末(期末)残高(千円)4,420,8758,007,4346,601,979 (注) 1.当社は中間連結財務諸表を作成しておりますので、提出会社の主要な経営指標等の推移については記載しておりません。2.第15期は決算期の変更に伴い、2025年10月1日から2026年12月31日までの15ヶ月決算となっております。