UiPath, Inc. (PATH) Financial Statements (2026 and earlier)

Company Profile

Business Address ONE VANDERBILT AVENUE
NEW YORK, NY 10017
State of Incorp. DE
Fiscal Year End January 31
Industry (SIC) 7372 - Prepackaged Software (benchmarking)
More info Complete Financial Analysis Financial Benchmarking

Balance Sheet (Statement of Financial Position) ($ in thousands)

10/31/2025
MRQ
1/31/2025
1/31/2024
1/31/2023
1/31/2022
ASSETS
Current Assets
Cash, cash equivalents, and short-term investments1,629,5181,879,8231,756,8931,865,140
Cash and cash equivalent879,1961,061,6781,402,1191,768,723
Short-term investments750,322818,145354,77496,417
Restricted cash and investments438438  
Receivables451,131436,296374,217258,750
Prepaid expense   67,79429,451
Contract with customer, asset, after allowance for credit loss88,73584,19769,26074,831
Capitalized contract cost82,46174,67849,88729,926
Advances on inventory purchases    15,890
Other current assets20,94217,19926,356 
Other undisclosed current assets65,33487,781 3,313
Total current assets:2,338,5592,580,4122,344,4072,277,301
Noncurrent Assets
Operating lease, right-of-use asset66,50056,07252,05248,953
Property, plant, and equipment, after accumulated depreciation, depletion, and amortization32,74023,98229,04517,176
Long-term investments and receivables94,113 2,94219,523
Long-term investments94,113 2,94219,523
Intangible asset, including goodwill, after accumulated amortization95,209103,730111,02070,381
Goodwill87,30489,02688,01053,564
Intangible asset, excluding goodwill, after accumulated amortization7,90514,70423,01016,817
Contract with customer, asset, after allowance for credit loss3,4476,2146,5232,730
Capitalized contract cost, net139,341154,317137,616100,224
Deferred income tax assets27,9634,6785,89510,628
Other noncurrent assets67,39825,35345,70625,534
Total noncurrent assets:526,711374,346390,799295,149
TOTAL ASSETS:2,865,2702,954,7582,735,2062,572,450
LIABILITIES AND EQUITY
Liabilities
Current Liabilities
Accounts payable and accrued liabilities170,61587,44485,536230,146
Employee-related liabilities130,673
Accounts payable33,1783,4478,89111,515
Accrued liabilities137,43783,99776,64587,958
Deferred revenue569,464486,805398,334297,355
Restructuring reserve 3353,889 
Liability for uncertainty in income taxes900   
Business combination, contingent consideration, liability    
Other liabilities18,963   
Other undisclosed current liabilities38,978137,107138,693 
Total current liabilities:798,920711,691626,452527,501
Noncurrent Liabilities
Long-term debt and lease obligation:    49,843
Liabilities, other than long-term debt220,588226,953188,59673,189
Deferred revenue135,843161,027121,69768,665
Other liabilities10,5157,21310,4574,524
Operating lease, liability74,23058,71356,44249,843
Total noncurrent liabilities:220,588226,953188,596123,032
Total liabilities:1,019,508938,644815,048650,533
Equity
Equity, attributable to parent, including:1,845,7622,016,1141,920,1581,921,917
Treasury stock, value(494,779)(102,615)  
Additional paid in capital4,333,3004,024,0793,736,8383,406,959
Accumulated other comprehensive income (loss)(4,890)8,8257,61210,899
Accumulated deficit(1,987,875)(1,914,181)(1,824,298)(1,495,946)
Other undisclosed equity, attributable to parent6665
Total equity:1,845,7622,016,1141,920,1581,921,917
TOTAL LIABILITIES AND EQUITY:2,865,2702,954,7582,735,2062,572,450

Income Statement (P&L) ($ in thousands)

10/31/2025
TTM
1/31/2025
1/31/2024
1/31/2023
1/31/2022
Revenues1,429,6641,308,0721,058,581892,252
Cost of revenue(246,942)(195,924)(180,051)(168,868)
Gross profit:1,182,7221,112,148878,530723,384
Operating expenses(1,345,291)(1,276,868)(1,226,813)(1,224,330)
Operating loss:(162,569)(164,720)(348,283)(500,946)
Nonoperating income (expense)84,46988,90530,722(9,937)
Investment income, nonoperating49,42257,13027,9553,551
Other nonoperating income (expense)35,04731,7752,767(13,488)
Income (loss) from continuing operations before income taxes:(78,100)(75,815)(317,561)(510,883)
Income tax expense (benefit)4,406(14,068)(10,791)(14,703)
Income (loss) from continuing operations:(73,694)(89,883)(328,352)(525,586)
Loss before gain (loss) on sale of properties:(525,586)
Net income (loss) available to common stockholders, diluted:(73,694)(89,883)(328,352)(525,586)

Comprehensive Income ($ in thousands)

10/31/2025
TTM
1/31/2025
1/31/2024
1/31/2023
1/31/2022
Net income (loss):(73,694)(89,883)(328,352)(525,586)
Comprehensive income (loss):(73,694)(89,883)(328,352)(525,586)
Other undisclosed comprehensive income (loss), net of tax, attributable to parent(13,715)1,213(3,287)23,420
Comprehensive income (loss), net of tax, attributable to parent:(87,409)(88,670)(331,639)(502,166)

Statements Sources

The financial statements are based on the Company's filings with the U.S. Securities and Exchange Commission (SEC) through the Electronic Data Gathering, Analysis, and Retrieval system (EDGAR). The information is derived from the 10-K and 10-Q reports submitted to the SEC in XBRL (eXtensible Business Reporting Language) format and presented according to the US GAAP Taxonomy. Please review the original filings for a more detailed information.

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