PLAID, Inc.JP:4165Cash flow

Market cap
¥35.5B
P/E ratio
29.9x
2018/092019/092020/092021/092022/092023/092024/092025/09
Depreciation & amortization2452262336424348
Cash from operations -81-623-1,013411-809-3259001,377
Capital expenditures-167-16-63-20-74-47-58-47
Cash from investing -49020-167-1,330-135-89-50-385
Repurchases of common stock----0-0-0-0-0
Proceeds from issuance of term debt, net580-3001981,5501,0814001,300
Repayments of term debt--111-111-318-627-1,489-554-700
Cash from financing 2,499-1841,8973,0001,013167865
Free cash flow
FCF margin (%)