US Stock MarketDetailed Quotes

ONFO Onfolio

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  • 1.110
  • +0.035+3.28%
Close Jul 12 16:00 ET
5.67MMarket Cap-730P/E (TTM)

Onfolio Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-88.64%529.78K
-85.34%982.26K
-85.34%982.26K
-70.96%3.37M
854.12%4.05M
278.98%4.66M
291.81%6.7M
291.81%6.7M
--11.62M
--424.72K
-Cash and cash equivalents
-88.64%529.78K
-85.34%982.26K
-85.34%982.26K
-70.96%3.37M
854.12%4.05M
278.98%4.66M
291.81%6.7M
291.81%6.7M
--11.62M
--424.72K
Receivables
7.65%123.75K
-34.54%90.07K
-34.54%90.07K
410.19%97.52K
182.49%106.36K
290.95%114.96K
840.91%137.6K
840.91%137.6K
--19.12K
--37.65K
-Accounts receivable
7.65%123.75K
-34.54%90.07K
-34.54%90.07K
410.19%97.52K
182.49%106.36K
290.95%114.96K
840.91%137.6K
840.91%137.6K
--19.12K
--37.65K
Inventory
2.46%92.52K
-11.88%92.64K
-11.88%92.64K
21.36%114.49K
9.05%117.98K
-6.97%90.3K
6.84%105.13K
6.84%105.13K
--94.34K
--108.19K
Other current assets
-20.31%192.43K
-47.64%111.1K
-47.64%111.1K
-56.59%121.56K
-22.25%164.39K
35.22%241.46K
32.79%212.18K
32.79%212.18K
--280.01K
--211.43K
Total current assets
-81.64%938.47K
-82.17%1.28M
-82.17%1.28M
-69.13%3.71M
467.92%4.44M
232.79%5.11M
260.85%7.16M
260.85%7.16M
--12.01M
--781.99K
Non current assets
Goodwill and other intangible assets
-18.46%7.16M
-47.02%4.28M
-47.02%4.28M
239.83%4.45M
544.30%8.43M
532.13%8.78M
481.57%8.07M
481.57%8.07M
--1.31M
--1.31M
-Goodwill
-26.63%3.1M
-72.27%1.17M
-72.27%1.17M
--1.17M
--4.24M
--4.22M
--4.21M
--4.21M
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-Other intangible assets
-10.89%4.06M
-19.52%3.11M
-19.52%3.11M
--3.28M
--4.19M
--4.56M
178.38%3.86M
178.38%3.86M
----
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Investments and advances
-0.22%431.9K
-1.68%427.05K
-1.68%427.05K
-3.08%428.78K
-1.82%431.16K
-2.30%432.84K
3.96%434.33K
3.96%434.33K
--442.42K
--439.16K
Non current accounts receivable
15.30%147.41K
35.14%150.97K
35.14%150.97K
22.08%156.95K
-6.67%129.53K
-5.39%127.85K
118.65%111.72K
118.65%111.72K
--128.57K
--138.79K
Total non current assets
-17.15%7.74M
-43.67%4.86M
-43.67%4.86M
167.75%5.03M
376.60%8.99M
374.78%9.34M
364.14%8.62M
364.14%8.62M
--1.88M
--1.89M
Total assets
-39.96%8.67M
-61.13%6.13M
-61.13%6.13M
-37.08%8.74M
403.37%13.43M
312.52%14.45M
310.80%15.78M
310.80%15.78M
--13.89M
--2.67M
Liabilities
Current liabilities
Payables
44.72%539.96K
-7.11%561.83K
-7.11%561.83K
55.38%480.53K
-24.11%398.84K
-25.15%373.11K
158.90%604.86K
158.90%604.86K
--309.26K
--525.53K
-accounts payable
34.36%460.43K
-10.29%493.82K
-10.29%493.82K
64.76%431.19K
19.32%352.22K
30.89%342.68K
147.35%550.45K
147.35%550.45K
--261.71K
--295.18K
-Dividends payable
161.32%79.53K
25.01%68.01K
25.01%68.01K
3.79%49.34K
2.80%46.62K
-26.93%30.44K
3,531.78%54.4K
3,531.78%54.4K
--47.54K
--45.35K
-Due to related parties current
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--16
--185K
Current debt and capital lease obligation
-67.89%791.58K
-99.31%17.32K
-99.31%17.32K
7,794.16%2.42M
4,050.12%2.44M
10,178.33%2.46M
5,409.27%2.53M
5,409.27%2.53M
--30.61K
--58.69K
-Current debt
-67.89%791.58K
-99.31%17.32K
-99.31%17.32K
7,794.16%2.42M
4,050.12%2.44M
10,178.33%2.46M
5,409.27%2.53M
5,409.27%2.53M
--30.61K
--58.69K
Current deferred liabilities
-0.53%184.25K
32.42%149.97K
32.42%149.97K
2,145.15%228.96K
587.39%247.32K
286.07%185.24K
253.91%113.25K
253.91%113.25K
--10.2K
--35.98K
Other current liabilities
1,963.33%1.24M
0.00%60K
0.00%60K
--60K
--60K
--60K
--60K
--60K
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----
Current liabilities
-10.69%2.75M
-76.11%789.12K
-76.11%789.12K
810.06%3.19M
406.56%3.14M
440.53%3.08M
960.60%3.3M
960.60%3.3M
--350.07K
--620.2K
Non current liabilities
Long term debt and capital lease obligation
--690K
----
----
----
----
----
----
----
----
----
-Long term debt
--690K
----
----
----
----
----
----
----
----
----
Due to related parties non current
----
----
----
----
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--0
--0
Total non current liabilities
--690K
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
11.69%3.44M
-76.11%789.12K
-76.11%789.12K
810.06%3.19M
406.56%3.14M
440.53%3.08M
608.18%3.3M
608.18%3.3M
--350.07K
--620.2K
Shareholders'equity
Share capital
0.73%5.22K
0.41%5.2K
0.41%5.2K
0.00%5.18K
113.61%5.18K
-54.07%5.18K
114.85%5.18K
114.85%5.18K
--5.18K
--2.43K
-common stock
-0.04%5.11K
-0.04%5.11K
-0.04%5.11K
0.00%5.11K
116.89%5.11K
-54.44%5.11K
117.08%5.11K
117.08%5.11K
--5.11K
--2.36K
-Preferred stock
57.14%110
32.86%93
32.86%93
0.00%70
1.45%70
12.90%70
22.81%70
22.81%70
--70
--69
Retained earnings
-86.91%-16.66M
-110.44%-15.95M
-110.44%-15.95M
-139.94%-15.05M
-95.31%-10.26M
-126.12%-8.92M
-140.58%-7.58M
-140.58%-7.58M
---6.27M
---5.25M
Paid-in capital
7.11%21.62M
5.80%21.11M
5.80%21.11M
3.62%20.52M
179.97%20.43M
194.09%20.18M
205.88%19.95M
205.88%19.95M
--19.8M
--7.3M
Gains losses not affecting retained earnings
60.16%143.33K
88.16%182.47K
88.16%182.47K
--73.91K
--109.56K
--89.49K
--96.97K
--96.97K
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Total stockholders'equity
-55.08%5.1M
-57.17%5.34M
-57.17%5.34M
-58.99%5.55M
402.40%10.29M
287.61%11.36M
269.68%12.47M
269.68%12.47M
--13.54M
--2.05M
Noncontrolling interests
--125.34K
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Total equity
-53.97%5.23M
-57.17%5.34M
-57.17%5.34M
-58.99%5.55M
402.40%10.29M
287.61%11.36M
269.68%12.47M
269.68%12.47M
--13.54M
--2.05M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
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(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -88.64%529.78K-85.34%982.26K-85.34%982.26K-70.96%3.37M854.12%4.05M278.98%4.66M291.81%6.7M291.81%6.7M--11.62M--424.72K
-Cash and cash equivalents -88.64%529.78K-85.34%982.26K-85.34%982.26K-70.96%3.37M854.12%4.05M278.98%4.66M291.81%6.7M291.81%6.7M--11.62M--424.72K
Receivables 7.65%123.75K-34.54%90.07K-34.54%90.07K410.19%97.52K182.49%106.36K290.95%114.96K840.91%137.6K840.91%137.6K--19.12K--37.65K
-Accounts receivable 7.65%123.75K-34.54%90.07K-34.54%90.07K410.19%97.52K182.49%106.36K290.95%114.96K840.91%137.6K840.91%137.6K--19.12K--37.65K
Inventory 2.46%92.52K-11.88%92.64K-11.88%92.64K21.36%114.49K9.05%117.98K-6.97%90.3K6.84%105.13K6.84%105.13K--94.34K--108.19K
Other current assets -20.31%192.43K-47.64%111.1K-47.64%111.1K-56.59%121.56K-22.25%164.39K35.22%241.46K32.79%212.18K32.79%212.18K--280.01K--211.43K
Total current assets -81.64%938.47K-82.17%1.28M-82.17%1.28M-69.13%3.71M467.92%4.44M232.79%5.11M260.85%7.16M260.85%7.16M--12.01M--781.99K
Non current assets
Goodwill and other intangible assets -18.46%7.16M-47.02%4.28M-47.02%4.28M239.83%4.45M544.30%8.43M532.13%8.78M481.57%8.07M481.57%8.07M--1.31M--1.31M
-Goodwill -26.63%3.1M-72.27%1.17M-72.27%1.17M--1.17M--4.24M--4.22M--4.21M--4.21M--------
-Other intangible assets -10.89%4.06M-19.52%3.11M-19.52%3.11M--3.28M--4.19M--4.56M178.38%3.86M178.38%3.86M--------
Investments and advances -0.22%431.9K-1.68%427.05K-1.68%427.05K-3.08%428.78K-1.82%431.16K-2.30%432.84K3.96%434.33K3.96%434.33K--442.42K--439.16K
Non current accounts receivable 15.30%147.41K35.14%150.97K35.14%150.97K22.08%156.95K-6.67%129.53K-5.39%127.85K118.65%111.72K118.65%111.72K--128.57K--138.79K
Total non current assets -17.15%7.74M-43.67%4.86M-43.67%4.86M167.75%5.03M376.60%8.99M374.78%9.34M364.14%8.62M364.14%8.62M--1.88M--1.89M
Total assets -39.96%8.67M-61.13%6.13M-61.13%6.13M-37.08%8.74M403.37%13.43M312.52%14.45M310.80%15.78M310.80%15.78M--13.89M--2.67M
Liabilities
Current liabilities
Payables 44.72%539.96K-7.11%561.83K-7.11%561.83K55.38%480.53K-24.11%398.84K-25.15%373.11K158.90%604.86K158.90%604.86K--309.26K--525.53K
-accounts payable 34.36%460.43K-10.29%493.82K-10.29%493.82K64.76%431.19K19.32%352.22K30.89%342.68K147.35%550.45K147.35%550.45K--261.71K--295.18K
-Dividends payable 161.32%79.53K25.01%68.01K25.01%68.01K3.79%49.34K2.80%46.62K-26.93%30.44K3,531.78%54.4K3,531.78%54.4K--47.54K--45.35K
-Due to related parties current ----------------------------------16--185K
Current debt and capital lease obligation -67.89%791.58K-99.31%17.32K-99.31%17.32K7,794.16%2.42M4,050.12%2.44M10,178.33%2.46M5,409.27%2.53M5,409.27%2.53M--30.61K--58.69K
-Current debt -67.89%791.58K-99.31%17.32K-99.31%17.32K7,794.16%2.42M4,050.12%2.44M10,178.33%2.46M5,409.27%2.53M5,409.27%2.53M--30.61K--58.69K
Current deferred liabilities -0.53%184.25K32.42%149.97K32.42%149.97K2,145.15%228.96K587.39%247.32K286.07%185.24K253.91%113.25K253.91%113.25K--10.2K--35.98K
Other current liabilities 1,963.33%1.24M0.00%60K0.00%60K--60K--60K--60K--60K--60K--------
Current liabilities -10.69%2.75M-76.11%789.12K-76.11%789.12K810.06%3.19M406.56%3.14M440.53%3.08M960.60%3.3M960.60%3.3M--350.07K--620.2K
Non current liabilities
Long term debt and capital lease obligation --690K------------------------------------
-Long term debt --690K------------------------------------
Due to related parties non current ----------------------------------0--0
Total non current liabilities --690K--0--0--0--0--0--0--0--0--0
Total liabilities 11.69%3.44M-76.11%789.12K-76.11%789.12K810.06%3.19M406.56%3.14M440.53%3.08M608.18%3.3M608.18%3.3M--350.07K--620.2K
Shareholders'equity
Share capital 0.73%5.22K0.41%5.2K0.41%5.2K0.00%5.18K113.61%5.18K-54.07%5.18K114.85%5.18K114.85%5.18K--5.18K--2.43K
-common stock -0.04%5.11K-0.04%5.11K-0.04%5.11K0.00%5.11K116.89%5.11K-54.44%5.11K117.08%5.11K117.08%5.11K--5.11K--2.36K
-Preferred stock 57.14%11032.86%9332.86%930.00%701.45%7012.90%7022.81%7022.81%70--70--69
Retained earnings -86.91%-16.66M-110.44%-15.95M-110.44%-15.95M-139.94%-15.05M-95.31%-10.26M-126.12%-8.92M-140.58%-7.58M-140.58%-7.58M---6.27M---5.25M
Paid-in capital 7.11%21.62M5.80%21.11M5.80%21.11M3.62%20.52M179.97%20.43M194.09%20.18M205.88%19.95M205.88%19.95M--19.8M--7.3M
Gains losses not affecting retained earnings 60.16%143.33K88.16%182.47K88.16%182.47K--73.91K--109.56K--89.49K--96.97K--96.97K--------
Total stockholders'equity -55.08%5.1M-57.17%5.34M-57.17%5.34M-58.99%5.55M402.40%10.29M287.61%11.36M269.68%12.47M269.68%12.47M--13.54M--2.05M
Noncontrolling interests --125.34K------------------------------------
Total equity -53.97%5.23M-57.17%5.34M-57.17%5.34M-58.99%5.55M402.40%10.29M287.61%11.36M269.68%12.47M269.68%12.47M--13.54M--2.05M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------

Analysis

Analyst Rating

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Price Target

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