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Markets
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Stocks
/
nasdaq-pl
/
Planet Labs PBC
PL
12.790
USD
+0.590
+4.84%
Close 09/29, 16:00(ET)
Quotes delayed by 15 min
0.000
USD
0.000
After-hours 09/30, 20:00 (ET)
3.94B
Market Cap
Loss
P/E TTM
Planet Labs PBC
12.790
+0.590
+4.84%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
Total equity
Cash, cash equivalents and short-term investments
8.88%
271.54M
-17.96%
226.09M
-25.70%
222.07M
-23.08%
242.22M
-32.19%
249.39M
-26.74%
275.58M
-26.87%
298.91M
-25.96%
314.89M
-19.64%
367.79M
-22.36%
376.18M
-16.71%
408.76M
620.96%
425.29M
--
457.69M
--
484.49M
--
490.76M
--
58.99M
- Cash and cash equivalents
22.12%
181.09M
24.31%
133.47M
40.76%
118.05M
36.85%
138.97M
24.81%
148.29M
-23.72%
107.37M
-53.89%
83.87M
-49.00%
101.55M
-54.66%
118.81M
-70.95%
140.76M
-62.94%
181.89M
237.56%
199.12M
--
262.06M
--
484.49M
--
490.76M
--
58.99M
-Short-term investments
-10.54%
90.45M
-44.94%
92.62M
-51.62%
104.03M
-51.60%
103.25M
-59.39%
101.10M
-28.54%
168.22M
-5.21%
215.04M
-5.67%
213.35M
27.27%
248.98M
--
235.41M
--
226.87M
--
226.16M
--
195.63M
--
--
--
--
--
--
Receivables
17.55%
51.63M
93.79%
74.66M
28.89%
55.83M
-13.94%
38.85M
8.87%
43.93M
-1.39%
38.53M
11.21%
43.32M
55.62%
45.15M
54.50%
40.35M
58.95%
39.07M
-12.22%
38.95M
91.14%
29.01M
--
26.12M
--
24.58M
--
44.37M
--
15.18M
-Accounts and notes receivable
17.55%
51.63M
93.79%
74.66M
28.89%
55.83M
-13.94%
38.85M
8.87%
43.93M
-1.39%
38.53M
11.21%
43.32M
55.62%
45.15M
54.50%
40.35M
58.95%
39.07M
-12.22%
38.95M
91.14%
29.01M
--
26.12M
--
24.58M
--
44.37M
--
15.18M
Prepaid expenses
5.48%
25.98M
-24.29%
17.45M
-9.43%
17.72M
-28.67%
13.99M
24.86%
24.63M
19.85%
23.04M
-29.99%
19.56M
-25.55%
19.62M
-2.82%
19.73M
5.69%
19.23M
70.54%
27.94M
38.17%
26.35M
--
20.30M
--
18.19M
--
16.39M
--
19.07M
Other current assets
-28.24%
6.32M
-24.94%
6.61M
-21.08%
6.60M
-17.20%
6.53M
--
8.80M
18627.66%
8.80M
--
8.36M
--
7.88M
--
0.00
--
47.00K
--
--
--
--
--
--
--
--
--
--
--
--
Total current assets
8.79%
355.46M
-6.11%
324.81M
-18.35%
302.23M
-22.18%
301.59M
-23.63%
326.75M
-20.38%
345.96M
-22.18%
370.15M
-19.37%
387.54M
-15.12%
427.86M
-17.59%
434.52M
-13.76%
475.65M
415.52%
480.64M
--
504.11M
--
527.26M
--
551.52M
--
93.23M
Non-current assets
Net Fixed Assets
9.23%
147.39M
6.12%
140.40M
4.22%
141.50M
1.18%
137.75M
-6.09%
134.93M
-6.76%
132.30M
5.66%
135.77M
3.78%
136.15M
13.52%
143.68M
7.20%
141.89M
-3.59%
128.49M
-4.94%
131.19M
--
126.57M
--
132.36M
--
133.28M
--
138.01M
-Fixed Assets
1.15%
405.70M
0.15%
393.90M
-4.98%
388.34M
-6.43%
378.29M
-0.56%
401.10M
0.39%
393.30M
9.55%
408.69M
7.94%
404.26M
11.53%
403.35M
8.79%
391.77M
5.82%
373.05M
7.54%
374.51M
--
361.65M
--
360.11M
--
352.53M
--
348.26M
-Accumulated depreciation
-2.95%
258.31M
-2.87%
253.50M
-9.56%
246.84M
-10.29%
240.54M
2.50%
266.17M
4.45%
260.99M
11.60%
272.92M
10.19%
268.11M
10.46%
259.68M
9.72%
249.88M
11.54%
244.56M
15.73%
243.32M
--
235.08M
--
227.75M
--
219.25M
--
210.25M
Goodwill and other intangible assets
0.42%
185.84M
0.79%
186.04M
-0.49%
182.78M
4.36%
184.90M
31.61%
185.05M
33.15%
184.58M
32.15%
183.68M
39.71%
177.18M
10.27%
140.61M
8.36%
138.63M
8.43%
139.00M
22.30%
126.82M
--
127.51M
--
127.93M
--
128.18M
--
103.70M
Other non-current assets
-33.41%
7.74M
-39.29%
7.14M
-41.17%
7.29M
-48.49%
6.52M
40.56%
11.62M
39.75%
11.76M
29.47%
12.40M
47.62%
12.66M
-14.82%
8.27M
-0.27%
8.42M
13.26%
9.58M
-41.77%
8.57M
--
9.71M
--
8.44M
--
8.46M
--
14.73M
Total non-current assets
2.82%
340.96M
1.50%
333.58M
-0.08%
331.57M
0.98%
329.17M
13.35%
331.61M
13.75%
328.65M
19.77%
331.85M
22.28%
325.99M
10.91%
292.56M
7.52%
288.93M
2.65%
277.07M
3.96%
266.58M
--
263.79M
--
268.73M
--
269.92M
--
256.44M
Total assets
5.78%
696.42M
-2.40%
658.39M
-9.72%
633.80M
-11.60%
630.76M
-8.62%
658.35M
-6.75%
674.60M
-6.74%
702.00M
-4.51%
713.52M
-6.18%
720.42M
-9.11%
723.46M
-8.37%
752.72M
113.70%
747.23M
--
767.89M
--
795.99M
--
821.44M
--
349.67M
Liabilities
Current liabilities
-Other payables
-76.81%
4.23M
-74.77%
4.48M
-37.05%
10.05M
8.38%
10.69M
69.42%
18.23M
52.43%
17.76M
27.25%
15.97M
-26.67%
9.86M
-25.00%
10.76M
-23.53%
11.65M
-22.22%
12.55M
-56.74%
13.45M
--
14.34M
--
15.24M
--
16.14M
--
31.08M
Accrued expenses
-32.10%
29.58M
-17.28%
26.28M
1.48%
35.13M
-3.87%
37.70M
22.56%
43.56M
-0.07%
31.77M
-20.87%
34.62M
-3.94%
39.22M
-18.84%
35.54M
-18.78%
31.79M
-10.39%
43.75M
42.54%
40.83M
--
43.80M
--
39.14M
--
48.82M
--
28.64M
Short-term debt and lease liabilities
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
0.00
-100.00%
0.00
--
0.00
--
0.00
--
0.00
--
174.93M
Deferred liabilities
129.38%
148.01M
70.22%
108.34M
13.75%
82.28M
-1.14%
66.46M
14.05%
64.52M
42.64%
63.65M
39.36%
72.33M
40.95%
67.23M
8.62%
56.58M
-26.46%
44.62M
-19.20%
51.90M
1.46%
47.70M
--
52.08M
--
60.67M
--
64.23M
--
47.01M
Other current liabilities
83.97%
152.23M
38.58%
112.82M
4.57%
92.33M
0.08%
77.15M
22.90%
82.75M
44.67%
81.41M
37.00%
88.30M
26.08%
77.09M
1.37%
67.33M
-25.87%
56.27M
-19.81%
64.45M
-21.70%
61.14M
--
66.42M
--
75.91M
--
80.37M
--
78.09M
Total current liabilities
45.68%
203.49M
22.29%
154.55M
3.97%
142.08M
-1.57%
129.08M
20.15%
139.68M
13.16%
126.38M
11.77%
136.65M
19.36%
131.14M
-4.92%
116.26M
-13.73%
111.68M
-7.41%
122.26M
-61.95%
109.87M
--
122.28M
--
129.45M
--
132.04M
--
288.72M
Non-current liabilities
Long-term debt and lease liabilities
-39.95%
9.14M
-28.94%
10.81M
-26.90%
12.39M
-20.22%
13.82M
-20.49%
15.22M
-23.63%
15.21M
-1.13%
16.95M
23.51%
17.32M
1046.05%
19.14M
776.79%
19.91M
--
17.14M
--
14.02M
--
1.67M
--
2.27M
--
0.00
--
0.00
-Long-term debt
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
0.00
--
0.00
--
0.00
--
0.00
--
0.00
--
0.00
-Long-term lease liabilities
-39.95%
9.14M
-28.94%
10.81M
-26.90%
12.39M
-20.22%
13.82M
-20.49%
15.22M
-23.63%
15.21M
-1.13%
16.95M
23.51%
17.32M
1046.05%
19.14M
776.79%
19.91M
--
17.14M
--
14.02M
--
1.67M
--
2.27M
--
--
--
--
Deferred liabilities
108.98%
25.01M
124.02%
29.68M
111.26%
11.18M
44.66%
11.23M
-34.19%
11.97M
435.45%
13.25M
83.66%
5.29M
--
7.76M
--
18.19M
--
2.47M
-19.47%
2.88M
-100.00%
0.00
--
0.00
--
0.00
--
3.58M
--
7.98M
Other non-current liabilities
59.26%
48.11M
47.53%
48.23M
25.22%
38.04M
-26.08%
23.26M
-33.54%
30.21M
0.54%
32.69M
-18.38%
30.38M
7.86%
31.46M
50.00%
45.45M
-3.13%
32.51M
-9.57%
37.22M
22.78%
29.17M
--
30.30M
--
33.57M
--
41.16M
--
23.76M
Total non-current liabilities
26.02%
57.24M
23.25%
59.03M
6.55%
50.43M
-24.00%
37.08M
-29.67%
45.42M
-8.64%
47.90M
-12.94%
47.33M
12.94%
48.78M
102.03%
64.59M
46.29%
52.43M
32.09%
54.36M
81.80%
43.19M
--
31.97M
--
35.84M
--
41.16M
--
23.76M
Total liabilities
40.86%
260.74M
22.56%
213.59M
4.64%
192.51M
-7.65%
166.16M
2.35%
185.10M
6.20%
174.28M
4.17%
183.98M
17.55%
179.92M
17.24%
180.85M
-0.71%
164.11M
1.98%
176.62M
-51.02%
153.06M
--
154.25M
--
165.29M
--
173.20M
--
312.48M
Shareholders' equity
Common equity
3.10%
1.67B
2.97%
1.66B
3.08%
1.65B
3.00%
1.63B
4.50%
1.62B
5.06%
1.61B
5.49%
1.60B
5.95%
1.58B
5.28%
1.55B
5.61%
1.53B
6.32%
1.51B
95.09%
1.49B
--
1.47B
--
1.45B
--
1.42B
--
766.15M
Retained earnings
-7.88%
-1.24B
-9.61%
-1.22B
-11.41%
-1.20B
-11.25%
-1.17B
-13.45%
-1.15B
-13.90%
-1.11B
-14.96%
-1.08B
-16.45%
-1.05B
-17.47%
-1.01B
-18.50%
-973.74M
-20.88%
-939.30M
-23.31%
-901.46M
--
-861.22M
--
-821.69M
--
-777.03M
--
-731.06M
Capital reserves
3.10%
1.67B
2.97%
1.66B
3.08%
1.65B
3.00%
1.63B
4.50%
1.62B
5.06%
1.61B
5.49%
1.60B
5.95%
1.58B
5.28%
1.55B
5.61%
1.53B
6.32%
1.51B
95.09%
1.49B
--
1.47B
--
1.45B
--
1.42B
--
766.15M
Gains losses not affecting retained earnings
208.90%
3.85M
574.09%
3.69M
-168.82%
-1.10M
656.61%
1.35M
-6.66%
1.25M
-67.42%
548.00K
-29.81%
1.59M
-125.66%
-242.00K
-50.81%
1.34M
-25.94%
1.68M
8.35%
2.27M
-55.18%
943.00K
--
2.72M
--
2.27M
--
2.10M
--
2.10M
Total equity
-7.94%
435.69M
-11.10%
444.80M
-14.81%
441.29M
-12.93%
464.61M
-12.29%
473.25M
-10.55%
500.32M
-10.08%
518.02M
-10.19%
533.60M
-12.07%
539.57M
-11.31%
559.35M
-11.13%
576.10M
1497.52%
594.17M
--
613.64M
--
630.71M
--
648.25M
--
37.19M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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