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Oncolytics Biotech Inc

ONCY
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0.753USD
+0.000+0.04%
Handelsschluss 07-31 16:00ETKurse um 15 Minuten verzögert
87.48MMarktkapitalisierung
VerlustKGV TTM

ONCY Bilanz

Hier können Sie die jährlichen oder vierteljährlichen Kontostände von Oncolytics Biotech Inc einsehen, um die finanzielle Gesundheit zu bewerten, Fundamentaldaten zu analysieren und wichtige Verhältnisse wie Liquidität, Hebel und Eigenkapitalrendite zu berechnen.
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Vierteljährlich
Jährlich
YOY
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FY2014Q1
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FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-52.86%5.57M
-56.43%5.13M
-40.56%8.82M
-38.59%11.38M
-45.41%11.82M
-54.63%11.77M
-49.31%14.84M
2.38%18.52M
-2.43%21.65M
9.73%25.94M
22.07%29.27M
-31.47%18.09M
-27.89%22.19M
-27.34%23.64M
-37.90%23.98M
-34.77%26.40M
-25.89%30.77M
31.91%32.54M
88.82%38.61M
80.18%40.47M
89.14%41.52M
133.74%24.67M
119.99%20.45M
141.91%22.46M
107.26%21.95M
3.33%10.55M
-24.07%9.30M
-35.65%9.29M
74.91%10.59M
10.54%10.21M
10.99%12.24M
8.89%14.43M
-18.18%6.06M
-11.88%9.24M
-16.55%11.03M
-15.49%13.25M
-57.21%7.40M
-46.89%10.49M
-42.05%13.22M
-35.94%15.68M
-31.56%17.29M
55.81%19.74M
52.81%22.81M
41.40%24.48M
23.34%25.27M
-48.46%12.67M
-50.42%14.92M
-53.06%17.31M
-52.61%20.49M
18.01%24.58M
7.59%30.10M
15.56%36.88M
-7.02%43.23M
--20.83M
--27.97M
--31.92M
--46.49M
- Barmittel und Barmitteläquivalente
187.43%5.57M
103.10%5.13M
-51.50%1.82M
60.13%2.95M
11.88%1.94M
0.58%2.52M
37.63%3.75M
3.15%1.84M
13.62%1.73M
-70.75%2.51M
52.49%2.73M
32.40%1.79M
-61.49%1.52M
699.86%8.58M
53.62%1.79M
-40.71%1.35M
133.58%3.96M
58.26%1.07M
-8.77%1.16M
43.32%2.27M
-0.77%1.69M
-16.62%677.98K
-37.22%1.28M
108.51%1.59M
4.39%1.71M
-70.70%813.08K
-42.22%2.03M
-83.32%761.13K
-16.86%1.64M
35.11%2.78M
160.00%3.52M
135.63%4.56M
14.37%1.97M
104.28%2.05M
-15.97%1.35M
23.33%1.94M
-20.86%1.72M
-41.60%1.01M
40.10%1.61M
-10.71%1.57M
-22.72%2.17M
-66.34%1.72M
-76.05%1.15M
-88.62%1.76M
-84.88%2.81M
-77.54%5.11M
49.31%4.80M
52.08%15.45M
-39.96%18.61M
445.86%22.78M
-27.44%3.21M
--10.16M
-30.39%31.00M
--4.17M
--4.43M
----
--44.53M
-Kurzfristige Anlagen
----
----
-36.86%7.00M
-49.48%8.43M
-50.39%9.88M
-60.55%9.25M
-58.24%11.09M
2.30%16.68M
-3.61%19.92M
55.59%23.43M
19.62%26.55M
-34.91%16.31M
-22.93%20.66M
-52.14%15.06M
-40.74%22.19M
-34.41%25.05M
-32.68%26.81M
31.16%31.47M
95.31%37.45M
82.99%38.20M
96.72%39.82M
146.29%23.99M
163.96%19.17M
144.89%20.87M
126.05%20.24M
30.95%9.74M
-16.76%7.26M
-13.61%8.52M
119.10%8.96M
3.52%7.44M
-9.83%8.73M
-12.80%9.87M
-28.04%4.09M
-24.20%7.19M
-16.63%9.68M
-19.81%11.32M
-62.43%5.68M
-47.40%9.48M
-46.41%11.61M
-37.89%14.11M
-32.67%15.12M
138.47%18.02M
113.85%21.66M
1121.72%22.72M
1097.01%22.46M
318.07%7.56M
-62.33%10.13M
-93.04%1.86M
-84.67%1.88M
-89.15%1.81M
14.18%26.89M
-16.28%26.72M
522.64%12.24M
--16.66M
--23.55M
--31.92M
--1.97M
Forderungen
1431.20%974.66K
1094.24%564.85K
-48.30%38.56K
-95.38%52.34K
-14.66%63.65K
324.32%47.30K
-83.83%74.58K
172.65%1.13M
-86.34%74.59K
-97.09%11.15K
25.28%461.23K
49.04%415.34K
585.28%545.88K
-43.88%383.29K
82.43%368.15K
157.46%278.67K
-13.47%79.66K
864.02%683.01K
274.02%201.80K
156.54%108.24K
0.54%92.06K
-95.41%70.85K
-84.42%53.95K
25.98%42.19K
137.68%91.56K
3907.76%1.54M
706.17%346.30K
-51.52%33.49K
-99.00%38.52K
-98.97%38.51K
64.98%42.96K
39.95%69.07K
14345.42%3.86M
9185.75%3.75M
-22.49%26.04K
17.58%49.36K
-42.16%26.73K
-84.31%40.39K
-16.63%33.59K
-10.20%41.98K
22.60%46.21K
71.49%257.46K
-45.78%40.29K
-6.11%46.75K
-6.17%37.70K
57.05%150.13K
119.48%74.31K
10.19%49.79K
-48.14%40.17K
117.23%95.60K
-62.31%33.85K
-98.77%45.18K
46.57%77.46K
--44.01K
--89.83K
--3.69M
--52.85K
-Sonstige Forderungen
1431.20%974.66K
1094.24%564.85K
-48.30%38.56K
-95.38%52.34K
-14.66%63.65K
324.32%47.30K
-83.83%74.58K
172.65%1.13M
-86.34%74.59K
-97.09%11.15K
25.28%461.23K
49.04%415.34K
585.28%545.88K
-43.88%383.29K
82.43%368.15K
157.46%278.67K
-13.47%79.66K
864.02%683.01K
274.02%201.80K
156.54%108.24K
0.54%92.06K
-95.41%70.85K
-84.42%53.95K
25.98%42.19K
137.68%91.56K
3907.76%1.54M
706.17%346.30K
-51.52%33.49K
-99.00%38.52K
-98.97%38.51K
64.98%42.96K
39.95%69.07K
14345.42%3.86M
9185.75%3.75M
-22.49%26.04K
17.58%49.36K
-42.16%26.73K
-84.31%40.39K
-16.63%33.59K
-10.20%41.98K
22.60%46.21K
71.49%257.46K
-45.78%40.29K
-6.11%46.75K
-6.17%37.70K
57.05%150.13K
119.48%74.31K
10.19%49.79K
-48.14%40.17K
117.23%95.60K
-62.31%33.85K
-98.77%45.18K
46.57%77.46K
--44.01K
--89.83K
--3.69M
--52.85K
Aktive Rechnungsabgrenzungsposten
-21.87%1.05M
-19.63%1.05M
-22.71%1.17M
-4.85%2.31M
-39.95%1.34M
-45.64%1.31M
-56.08%1.52M
-46.37%2.42M
-22.65%2.23M
8.39%2.41M
-12.66%3.46M
7.59%4.52M
-6.22%2.89M
1.66%2.23M
51.59%3.96M
17.12%4.20M
29.58%3.08M
14.14%2.19M
-8.62%2.61M
16.24%3.59M
3.05%2.38M
-5.25%1.92M
41.13%2.86M
101.61%3.09M
176.01%2.31M
287.34%2.02M
85.11%2.03M
33.53%1.53M
-1.71%835.26K
-43.08%522.62K
217.93%1.09M
197.46%1.15M
534.24%849.83K
374.07%918.08K
29.29%344.35K
-5.43%385.47K
-24.57%133.99K
-49.52%193.66K
-27.04%266.34K
-8.14%407.58K
-18.63%177.65K
68.05%383.61K
2.83%365.07K
-20.47%443.70K
-20.07%218.32K
-30.12%228.28K
-21.23%355.03K
3.27%557.93K
0.65%273.13K
0.85%326.69K
-23.98%450.72K
-22.19%540.28K
-17.97%271.37K
--323.94K
--592.87K
--694.35K
--330.83K
Sonstige kurzfristige Vermögenswerte
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--0.00
--0.00
--0.00
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Summe der kurzfristigen Vermögenswerte
-42.57%7.59M
-48.61%6.75M
-38.94%10.03M
-37.79%13.74M
-45.84%13.22M
-53.72%13.13M
-50.49%16.43M
-4.12%22.08M
-4.72%24.41M
8.06%28.37M
17.25%33.19M
-25.43%23.03M
-24.49%25.62M
-25.87%26.25M
-31.67%28.31M
-30.08%30.88M
-22.87%33.93M
32.84%35.41M
77.32%41.43M
72.60%44.17M
80.65%43.99M
88.77%26.66M
100.23%23.36M
135.86%25.59M
112.37%24.35M
31.06%14.12M
-12.79%11.67M
-30.65%10.85M
6.49%11.47M
-22.53%10.78M
17.37%13.38M
14.31%15.65M
42.38%10.77M
29.75%13.91M
-15.66%11.40M
-15.15%13.69M
-56.84%7.56M
-47.41%10.72M
-41.77%13.52M
-35.39%16.13M
-31.37%17.52M
56.20%20.38M
51.18%23.21M
39.35%24.97M
22.72%25.53M
-47.81%13.05M
-49.80%15.35M
-52.18%17.92M
-52.27%20.80M
17.95%25.01M
6.72%30.58M
3.22%37.47M
-7.03%43.58M
--21.20M
--28.66M
--36.30M
--46.88M
Langfristige Vermögenswerte
Nettoanlagevermögen
-21.33%683.58K
-20.28%727.50K
-25.75%718.31K
-24.30%783.60K
-13.13%868.97K
89.81%912.57K
75.72%967.44K
87.25%1.04M
59.26%1.00M
0.24%480.79K
-1.42%550.55K
-15.20%552.79K
-11.50%628.13K
-37.70%479.66K
-30.45%558.47K
-5.99%651.88K
4.36%709.72K
59.96%769.95K
44.73%803.02K
75.52%693.42K
46.25%680.04K
-11.31%481.34K
-13.34%554.82K
-45.47%395.07K
-41.94%464.98K
76.36%542.69K
97.86%640.25K
152.15%724.54K
187.53%800.87K
18.22%307.71K
19.93%323.58K
1.77%287.35K
26.09%278.54K
9.58%260.30K
8.22%269.81K
-1.44%282.35K
-30.76%220.90K
-31.77%237.55K
-25.99%249.31K
-19.73%286.48K
-21.94%319.02K
-15.37%348.14K
-29.22%336.85K
-17.08%356.88K
-13.01%408.69K
-14.46%411.35K
-12.50%475.90K
-12.08%430.40K
18.29%469.79K
20.10%480.86K
27.38%543.86K
15.15%489.52K
0.50%397.14K
--400.40K
--426.94K
--425.11K
--395.15K
Langfristige im Voraus bezahlte Aufwendungen
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-100.00%0.00
--0.00
--168.66K
--169.75K
--734.20K
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Sonstige langfristige Vermögenswerte
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--0.00
--0.00
--0.00
----
----
----
----
-100.00%0.00
--0.00
--168.66K
--169.75K
--734.20K
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Summe der langfristigen Vermögenswerte
-21.33%683.58K
-20.28%727.50K
-25.75%718.31K
-24.30%783.60K
-13.13%868.97K
89.81%912.57K
75.72%967.44K
43.48%1.04M
25.38%1.00M
-60.39%480.79K
-1.42%550.55K
10.67%721.45K
12.42%797.88K
57.66%1.21M
-30.45%558.47K
-5.99%651.88K
4.36%709.72K
59.96%769.95K
44.73%803.02K
75.52%693.42K
46.25%680.04K
-11.31%481.34K
-13.34%554.82K
-45.47%395.07K
-41.94%464.98K
76.36%542.69K
97.86%640.25K
152.15%724.54K
187.53%800.87K
18.22%307.71K
19.93%323.58K
1.77%287.35K
26.09%278.54K
9.58%260.30K
8.22%269.81K
-1.44%282.35K
-30.76%220.90K
-31.77%237.55K
-25.99%249.31K
-19.73%286.48K
-21.94%319.02K
-15.37%348.14K
-29.22%336.85K
-17.08%356.88K
-13.01%408.69K
-14.46%411.35K
-12.50%475.90K
-12.08%430.40K
18.29%469.79K
20.10%480.86K
27.38%543.86K
15.15%489.52K
0.50%397.14K
--400.40K
--426.94K
--425.11K
--395.15K
Summe der Vermögenswerte
-41.26%8.28M
-46.77%7.47M
-38.21%10.75M
-37.19%14.52M
-44.55%14.09M
-51.33%14.04M
-48.43%17.40M
-2.67%23.12M
-3.81%25.41M
5.03%28.85M
16.89%33.74M
-24.68%23.75M
-23.73%26.42M
-24.09%27.47M
-31.64%28.87M
-29.71%31.53M
-22.45%34.64M
33.32%36.18M
76.56%42.23M
72.64%44.86M
80.01%44.67M
85.07%27.14M
94.32%23.92M
124.51%25.99M
102.29%24.81M
32.32%14.66M
-10.18%12.31M
-27.36%11.57M
11.06%12.27M
-21.78%11.08M
17.43%13.70M
14.06%15.93M
41.91%11.04M
29.31%14.17M
-15.23%11.67M
-14.91%13.97M
-56.37%7.78M
-47.15%10.96M
-41.54%13.77M
-35.17%16.42M
-31.22%17.84M
54.01%20.73M
48.76%23.55M
38.02%25.33M
21.93%25.93M
-47.18%13.46M
-49.15%15.83M
-51.66%18.35M
-51.63%21.27M
17.99%25.49M
7.03%31.13M
3.36%37.96M
-6.97%43.98M
--21.60M
--29.08M
--36.72M
--47.27M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
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-100.00%0.00
-65.39%121.39K
-21.34%713.82K
65.08%379.06K
356.16%1.13M
415.06%350.69K
--907.52K
--229.62K
--246.71K
--68.09K
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----
-100.00%0.00
--0.00
--0.00
--0.00
183.57%277.82K
-100.00%0.00
-100.00%0.00
-100.00%0.00
-84.50%97.97K
--315.70K
--353.31K
3397.71%512.02K
1282.41%632.01K
-100.00%0.00
--0.00
--14.64K
--45.72K
--57.78K
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Rückstellungen
-12.38%2.61M
-10.99%2.29M
-15.19%2.13M
5.85%2.87M
42.27%2.98M
39.27%2.58M
45.75%2.51M
110.52%2.72M
--2.10M
--1.85M
--1.72M
--1.29M
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Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
----
----
10.27%198.50K
30.42%211.53K
58.45%207.41K
94.94%192.67K
28.73%180.01K
64.12%162.19K
-7.38%130.90K
-37.80%98.83K
-36.00%139.83K
-61.83%98.82K
-41.02%141.33K
-31.39%158.91K
1.24%218.48K
38.78%258.88K
15.18%239.62K
17.76%231.60K
-15.20%215.80K
-19.29%186.54K
-15.75%208.04K
-22.43%196.67K
-6.06%254.49K
-18.06%231.11K
-7.62%246.94K
--253.52K
--270.91K
--282.05K
--267.31K
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----
----
----
----
----
----
----
----
----
----
----
----
-Kurzfristige Leasingverpflichtungen
----
----
10.27%198.50K
30.42%211.53K
58.45%207.41K
94.94%192.67K
28.73%180.01K
64.12%162.19K
-7.38%130.90K
-37.80%98.83K
-36.00%139.83K
-61.83%98.82K
-41.02%141.33K
-31.39%158.91K
1.24%218.48K
38.78%258.88K
15.18%239.62K
17.76%231.60K
-15.20%215.80K
-19.29%186.54K
-15.75%208.04K
-22.43%196.67K
-6.06%254.49K
-18.06%231.11K
-7.62%246.94K
--253.52K
--270.91K
--282.05K
--267.31K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-4.69%691.06K
-42.70%691.42K
--700.19K
--714.04K
--725.04K
--1.21M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Andere kurzfristige Verbindlichkeiten
----
-100.00%0.00
-65.39%121.39K
-21.34%713.82K
65.08%379.06K
356.16%1.13M
415.06%350.69K
--907.52K
--229.62K
--246.71K
--68.09K
----
----
-100.00%0.00
--0.00
--0.00
--0.00
183.57%277.82K
-100.00%0.00
-100.00%0.00
-100.00%0.00
-84.50%97.97K
--315.70K
--353.31K
-27.45%512.02K
-14.26%632.01K
-100.00%0.00
-100.00%0.00
-2.67%705.70K
-38.91%737.14K
--757.97K
--714.04K
--725.04K
--1.21M
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Summe der kurzfristigen Verbindlichkeiten
33.33%5.50M
29.31%6.01M
-55.12%2.47M
7.76%4.77M
37.49%4.13M
47.72%4.65M
-25.08%5.49M
124.59%4.42M
62.51%3.00M
8.49%3.15M
170.00%7.33M
-1.20%1.97M
-2.27%1.85M
36.81%2.90M
24.88%2.72M
-3.09%1.99M
-4.86%1.89M
-0.91%2.12M
-15.35%2.18M
-29.17%2.06M
-35.66%1.99M
-77.70%2.14M
-16.75%2.57M
-14.05%2.90M
-8.74%3.09M
357.50%9.60M
26.05%3.09M
11.84%3.38M
4.76%3.38M
-48.60%2.10M
12.00%2.45M
14.82%3.02M
31.57%3.23M
35.15%4.08M
4.25%2.19M
23.15%2.63M
23.97%2.45M
47.25%3.02M
-15.73%2.10M
-8.45%2.14M
-43.86%1.98M
-22.35%2.05M
-13.83%2.49M
-30.47%2.33M
-21.01%3.53M
-51.32%2.64M
-38.53%2.89M
-35.99%3.36M
-20.13%4.46M
-23.93%5.43M
-29.98%4.70M
-0.40%5.24M
-7.79%5.59M
--7.13M
--6.71M
--5.26M
--6.06M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
--346.86K
--364.74K
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Leasingverbindlichkeiten
--346.86K
--364.74K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
3.46%4.98M
3.40%4.84M
-0.44%4.81M
0.84%4.89M
-2.20%4.81M
-6.40%4.68M
-2.04%4.83M
-2.98%4.85M
-2.21%4.92M
1.01%5.00M
-1.20%4.93M
-5.19%5.00M
-4.05%5.03M
-6.72%4.95M
-7.72%4.99M
-1.64%5.27M
-5.47%5.24M
-0.20%5.31M
4.88%5.40M
6.09%5.36M
14.80%5.55M
5.93%5.32M
1.29%5.15M
-0.72%5.05M
11.78%4.83M
16.05%5.02M
16.10%5.09M
13.94%5.09M
5.25%4.32M
19.52%4.33M
--4.38M
--4.47M
--4.11M
--3.62M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.34M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
58.58%7.63M
3.40%4.84M
-0.44%4.81M
0.84%4.89M
-2.20%4.81M
-6.40%4.68M
-2.04%4.83M
-2.98%4.85M
-2.21%4.92M
1.01%5.00M
-1.20%4.93M
-5.19%5.00M
-4.05%5.03M
-6.72%4.95M
-7.72%4.99M
-1.64%5.27M
-5.47%5.24M
-0.20%5.31M
4.88%5.40M
6.09%5.36M
14.80%5.55M
5.93%5.32M
1.29%5.15M
-0.72%5.05M
11.78%4.83M
15.01%5.02M
15.03%5.09M
13.94%5.09M
5.25%4.32M
20.60%4.37M
--4.42M
--4.47M
--4.11M
--3.62M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Gesamt langfristige Verbindlichkeiten
49.97%7.98M
-0.45%5.20M
51.64%8.20M
-3.05%5.33M
-5.23%5.32M
0.23%5.23M
4.76%5.41M
4.49%5.49M
5.63%5.61M
2.96%5.22M
1.05%5.16M
-3.08%5.26M
-2.66%5.32M
-9.41%5.07M
-11.27%5.11M
-5.96%5.42M
-6.74%5.46M
2.82%5.59M
8.79%5.76M
13.85%5.77M
19.49%5.86M
5.72%5.44M
-19.96%5.29M
-4.94%5.07M
5.67%4.90M
17.86%5.14M
49.55%6.61M
19.30%5.33M
12.87%4.64M
20.60%4.37M
--4.42M
--4.47M
--4.11M
--3.62M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Gesamtverbindlichkeiten
42.70%13.48M
13.56%11.22M
-2.16%10.67M
1.77%10.09M
9.65%9.45M
18.10%9.88M
-12.75%10.90M
37.22%9.92M
20.30%8.61M
4.97%8.37M
59.69%12.50M
-2.58%7.23M
-2.56%7.16M
3.30%7.97M
-1.36%7.83M
-5.21%7.42M
-6.26%7.35M
1.77%7.71M
0.90%7.93M
-1.83%7.83M
-1.82%7.84M
-48.59%7.58M
-18.94%7.86M
-8.47%7.97M
-0.41%7.99M
128.12%14.75M
41.18%9.70M
16.29%8.71M
9.30%8.02M
-16.08%6.46M
214.26%6.87M
184.64%7.49M
199.04%7.34M
154.98%7.70M
4.25%2.19M
23.15%2.63M
23.97%2.45M
47.25%3.02M
-15.73%2.10M
-8.45%2.14M
-43.86%1.98M
-22.35%2.05M
-13.83%2.49M
-30.47%2.33M
-21.01%3.53M
-51.32%2.64M
-38.53%2.89M
-35.99%3.36M
-20.13%4.46M
-23.93%5.43M
-29.98%4.70M
-0.40%5.24M
-7.79%5.59M
--7.13M
--6.71M
--5.26M
--6.06M
Eigenkapital der Aktionäre
Stammkapital
23.70%433.46M
23.15%413.51M
5.02%360.08M
4.68%360.50M
0.84%350.40M
-4.48%335.77M
-0.44%342.87M
2.13%344.37M
3.32%347.49M
7.59%351.51M
6.27%344.40M
-1.22%337.18M
-0.76%336.33M
-3.46%326.71M
-5.69%324.07M
0.35%341.36M
-1.62%338.89M
9.40%338.43M
18.68%343.64M
20.99%340.16M
30.75%344.48M
20.53%309.34M
16.75%289.55M
14.38%281.15M
9.95%263.47M
8.57%256.65M
4.20%248.00M
1.74%245.81M
1.02%239.62M
0.15%236.39M
0.48%238.02M
1.18%241.60M
12.00%237.21M
10.02%236.03M
9.88%236.88M
7.75%238.78M
-4.95%211.79M
-1.47%214.54M
-1.20%215.59M
1.18%221.60M
-3.58%222.81M
5.54%217.75M
-4.44%218.20M
-7.20%219.03M
-1.85%231.08M
-9.87%206.31M
-5.69%228.33M
-3.59%236.01M
-6.35%235.43M
5.08%228.92M
9.18%242.11M
11.16%244.79M
13.82%251.41M
--217.84M
--221.76M
--220.21M
--220.89M
Gewinnrücklagen
-28.44%-444.97M
-27.42%-423.39M
-7.04%-360.56M
-7.51%-356.59M
-4.61%-346.45M
-0.26%-332.28M
-4.08%-336.84M
-3.31%-331.69M
-4.29%-331.19M
-7.71%-331.43M
-6.61%-323.64M
-1.09%-321.07M
-1.83%-317.57M
0.83%-307.70M
1.97%-303.57M
-4.69%-317.60M
-1.27%-311.87M
-6.95%-310.26M
-13.06%-309.67M
-15.09%-303.37M
-24.58%-307.95M
-12.84%-290.09M
-11.44%-273.91M
-8.34%-263.60M
-4.84%-247.19M
-10.70%-257.07M
-6.16%-245.79M
-4.18%-243.31M
-0.83%-235.78M
-1.03%-232.22M
-1.69%-231.53M
-2.51%-233.55M
-13.05%-233.85M
-11.03%-229.86M
-11.45%-227.68M
-9.70%-227.83M
0.27%-206.85M
-3.69%-207.02M
-3.36%-204.28M
-5.75%-207.67M
0.80%-207.41M
-2.01%-199.64M
8.31%-197.64M
11.18%-196.39M
4.39%-209.09M
6.32%-195.71M
0.07%-215.56M
-4.23%-221.10M
-2.67%-218.68M
-2.76%-208.93M
-8.23%-215.70M
-12.40%-212.12M
-18.64%-212.99M
---203.32M
---199.30M
---188.72M
---179.52M
Kapitalrücklagen
1264.91%433.46M
1234.69%413.51M
4.18%32.60M
4.57%32.56M
1.73%31.76M
-1.01%30.98M
2.78%31.30M
3.75%31.14M
3.41%31.22M
6.22%31.30M
4.56%30.45M
-1.31%30.01M
0.97%30.19M
-1.11%29.46M
-1.46%29.12M
6.48%30.41M
3.94%29.90M
8.85%29.79M
15.60%29.55M
14.33%28.56M
21.05%28.77M
11.34%27.37M
3.82%25.56M
2.01%24.98M
-0.79%23.76M
3.44%24.59M
3.50%24.62M
1.51%24.48M
-1.76%23.95M
-0.66%23.77M
-0.76%23.79M
-0.10%24.12M
24.28%24.38M
20.94%23.92M
21.01%23.97M
18.86%24.14M
-3.95%19.62M
-0.58%19.78M
0.20%19.81M
2.31%20.31M
-4.63%20.42M
-1.69%19.90M
-12.27%19.77M
-15.07%19.85M
-7.87%21.41M
-9.88%20.24M
-4.44%22.54M
-2.17%23.38M
-4.84%23.24M
-6.32%22.46M
-0.62%23.58M
0.90%23.89M
2.08%24.43M
--23.97M
--23.73M
--23.68M
--23.93M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
821.45%6.31M
818.04%6.14M
20.30%563.37K
0.56%523.37K
39.85%685.17K
65.35%668.43K
-2.34%468.30K
26.44%520.44K
-0.58%489.95K
-16.99%404.25K
-10.44%479.54K
15.89%411.62K
85.59%492.78K
59.27%487.02K
64.06%535.44K
43.10%355.18K
-10.51%265.53K
-3.31%305.79K
-21.73%326.36K
-46.07%248.20K
-45.59%296.71K
-8.65%316.26K
5.92%416.98K
26.09%460.22K
33.52%545.29K
-23.56%346.21K
13.56%393.66K
-6.75%364.99K
17.56%408.40K
55.24%452.92K
21.94%346.65K
0.82%391.42K
-11.09%347.39K
-29.08%291.75K
-22.71%284.29K
9.83%388.25K
-14.66%390.70K
-28.60%411.36K
-26.31%367.80K
-0.27%353.51K
9.79%457.83K
162.77%576.15K
203.00%499.13K
341.66%354.46K
640.33%417.02K
204.64%219.26K
912.64%164.73K
64.33%80.26K
347.33%56.33K
228.80%71.98K
119.60%16.27K
238.33%48.84K
84.96%-22.77K
---55.88K
---83.01K
---35.31K
---151.44K
Gesamtes Eigenkapital
-212.02%-5.20M
-189.99%-3.74M
-98.74%82.11K
-66.47%4.43M
-72.35%4.64M
-79.68%4.16M
-69.43%6.50M
-20.12%13.20M
-12.77%16.80M
5.05%20.48M
0.97%21.24M
-31.48%16.52M
-29.43%19.26M
-31.52%19.50M
-38.65%21.04M
-34.89%24.11M
-25.90%27.29M
45.55%28.47M
113.62%34.30M
105.59%37.04M
118.85%36.83M
24401.61%19.56M
515.51%16.05M
528.74%18.01M
296.18%16.83M
-101.74%-80.49K
-61.82%2.61M
-66.07%2.87M
14.54%4.25M
-28.57%4.62M
-27.95%6.83M
-25.53%8.44M
-30.42%3.71M
-18.52%6.47M
-18.73%9.48M
-20.61%11.34M
-66.39%5.33M
-57.52%7.94M
-44.59%11.67M
-37.89%14.28M
-29.23%15.86M
72.66%18.68M
62.73%21.06M
53.36%22.99M
33.33%22.41M
-46.06%10.82M
-51.03%12.94M
-54.17%14.99M
-56.22%16.81M
38.67%20.06M
18.13%26.43M
3.99%32.71M
-6.85%38.39M
--14.47M
--22.37M
--31.46M
--41.21M
Währungseinheit
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Prüfungsmeinungen
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Häufig gestellte Fragen

Welche Kennzahlen der Bilanz sind bei der Analyse von ONCY-Aktien am relevantesten?

Zu den wichtigsten Kennzahlen zählen Barmittel und kurzfristige Anlagen, Gesamtvermögen, Umlaufvermögen, Gesamtverbindlichkeiten, kurzfristige Verbindlichkeiten, langfristige Schulden, Eigenkapital, Gewinnrücklagen, Vorräte, Forderungen, Working Capital, Current Ratio, Quick Ratio, der Verschuldungsgrad (Debt-to-Equity Ratio) sowie die Eigenkapitalrendite (ROE). Anleger betrachten diese Kennzahlen in der Regel im Zusammenhang und verlassen sich nicht auf eine einzelne Kennzahl.

Was ist der Unterschied zwischen Vermögenswerten, Verbindlichkeiten und Eigenkapital der Aktionäre?

Vermögenswerte sind Ressourcen, die das Unternehmen besitzt oder kontrolliert, wie Bargeld, Forderungen, Vorräte, Investitionen und Immobilien. Verbindlichkeiten sind Verpflichtungen, die das Unternehmen hat, wie Verbindlichkeiten aus Lieferungen und Leistungen, Schulden, Leasingverträge und Steuern. Eigenkapital der Aktionäre ist der Restwert, nachdem die Verbindlichkeiten von den Vermögenswerten abgezogen wurden.

Was ist der Unterschied zwischen kurzfristigen und langfristigen Posten?

Kurzfristige Vermögenswerte und kurzfristige Verbindlichkeiten werden im Allgemeinen innerhalb eines Jahres oder eines Betriebszyklus umgewandelt, verwendet, bezahlt oder abgewickelt. Langfristige Vermögenswerte und langfristige Verbindlichkeiten sind langfristige Posten wie Immobilien, langfristige Investitionen, aktive latente Steuervorteile, langfristige Schulden und Leasingverpflichtungen.

Wie viel Barmittel verfügt Oncolytics Biotech Inc?

Im jüngsten Quartalsbericht wies Oncolytics Biotech Inc 5.57M an Barmitteln und Zahlungsmitteläquivalenten aus.

Wie hoch sind die gesamten Verbindlichkeiten von Oncolytics Biotech Inc?

Oncolytics Biotech Inc meldete 11.22M in Gesamtverbindlichkeiten zum letzten ausgewiesenen Quartal, einschließlich 6.01M in kurzfristigen Verbindlichkeiten und 5.20M in langfristigen Verbindlichkeiten.

Wie hoch sind die gesamten Vermögenswerte von Oncolytics Biotech Inc?

Zum letzten ausgewiesenen Quartal hatte Oncolytics Biotech Inc insgesamt 7.47M an Vermögenswerten, darunter 6.75M in kurzfristigen Vermögenswerten und 727.50K in langfristigen Vermögenswerten.

Wie hoch ist das Eigenkapital von Oncolytics Biotech Inc?

Oncolytics Biotech Inc meldete -3.74M an Gesamt-Eigenkapital zum letzten ausgewiesenen Quartal.
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