PeptiDream Inc. concluded a syndicated refinancing loan agreement of 16.44 billion yen arranged by Mizuho Bank, Ltd. on March 16, 2026.
4587
PeptiDream Inc.
2026/03/16
4587
PeptiDream Inc.
2026/02/16
For the fiscal year ending December 2025, consolidated revenue was JPY 18,521,234 thousand (a 60.3% decrease YoY), operating loss was JPY 5,013,195 thousand, and net loss attributable to owners of the parent was JPY 3,749,204 thousand. For the fiscal year ending December 2026, revenue is forecasted at JPY 32,000,000 thousand and operating income at JPY 4,600,000 thousand.
4587
PeptiDream Inc.
2026/02/16
On March 2, 2026, an additional contribution of JPY 1,000,000,000 will be made to acquire up to 800,000 shares of the Company's common stock. The acquisition period is scheduled from March 2 to March 13.