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ON24 Inc

ONTF

4.860USD

+0.150+3.18%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
206.12MValor de mercado
PerdaP/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-7.69%180.98M
-8.04%182.74M
-11.65%188.85M
-19.43%193.80M
-37.89%196.06M
-39.44%198.71M
-37.47%213.74M
-30.25%240.53M
-12.07%315.69M
-14.23%328.12M
-14.48%341.82M
-12.99%344.87M
-8.40%359.03M
524.65%382.56M
657.85%399.68M
--396.36M
--391.94M
--61.24M
--52.74M
- Caixa e Equivalentes de Caixa
46.44%26.79M
-71.94%14.93M
1.97%11.02M
-38.45%15.48M
-81.85%18.29M
97.10%53.21M
-70.29%10.80M
-68.52%25.16M
3.36%100.78M
-83.63%27.00M
-81.61%36.37M
-77.28%79.91M
-74.93%97.50M
183.21%164.95M
314.31%197.79M
--351.73M
--388.94M
--58.24M
--47.74M
-Investimentos de Curto Prazo
-13.26%154.19M
15.33%167.80M
-12.37%177.83M
-17.21%178.32M
-17.28%177.77M
-51.68%145.50M
-33.56%202.94M
-18.71%215.37M
-17.83%214.91M
38.38%301.13M
51.29%305.46M
493.66%264.95M
8617.57%261.53M
7153.63%217.61M
3937.92%201.90M
--44.63M
--3.00M
--3.00M
--5.00M
Contas a Receber
-11.17%25.34M
-24.57%28.62M
-8.25%23.75M
-23.28%24.02M
-14.73%28.52M
-13.30%37.94M
-17.48%25.89M
-21.25%31.31M
-20.50%33.45M
-5.12%43.76M
-14.75%31.37M
2.25%39.77M
-7.68%42.08M
-5.14%46.12M
-13.57%36.80M
--38.89M
--45.58M
--48.62M
--42.58M
-Contas e Títulos a Receber
-11.17%25.34M
-24.57%28.62M
-8.25%23.75M
-23.28%24.02M
-14.73%28.52M
-13.30%37.94M
-17.07%25.89M
-21.25%31.31M
-20.50%33.45M
-5.12%43.76M
-15.18%31.21M
2.25%39.77M
-7.68%42.08M
-5.14%46.12M
-13.57%36.80M
--38.89M
--45.58M
--48.62M
--42.58M
-Outros Recebíveis
----
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----
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--157.00K
----
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Despesas Antecipadas
20.53%8.34M
31.40%6.19M
3.12%6.74M
-14.36%6.25M
-17.90%6.92M
-24.95%4.71M
-0.29%6.54M
-26.67%7.29M
-28.30%8.43M
-25.82%6.28M
-32.13%6.56M
-11.71%9.95M
33.88%11.76M
19.61%8.47M
125.04%9.66M
--11.26M
--8.78M
--7.08M
--4.29M
Outros Ativos Circulantes
-19.42%9.95M
-13.23%10.78M
-8.23%11.31M
-4.18%11.93M
-1.77%12.35M
-5.39%12.43M
-9.88%12.33M
1.97%12.45M
-12.37%12.57M
10.19%13.14M
16.73%13.68M
8.03%12.21M
28.82%14.35M
13.23%11.92M
30.48%11.72M
--11.30M
--11.14M
--10.53M
--8.98M
Total de Ativos Circulantes
-7.89%224.61M
-10.03%228.33M
-10.77%230.65M
-19.06%236.00M
-34.12%243.85M
-35.14%253.79M
-34.30%258.49M
-28.32%291.59M
-13.36%370.14M
-12.86%391.30M
-14.07%393.43M
-11.15%406.79M
-6.61%427.21M
252.30%449.06M
321.64%457.86M
--457.82M
--457.44M
--127.47M
--108.59M
Ativos não Circulantes
Ativos Fixos Líquidos
-12.72%7.66M
7.40%8.97M
-31.25%6.30M
-18.88%7.61M
-20.73%8.78M
-34.84%8.35M
-35.20%9.16M
-34.26%9.38M
-28.20%11.08M
45.99%12.82M
59.79%14.14M
46.04%14.28M
70.05%15.43M
-2.99%8.78M
12.21%8.85M
--9.78M
--9.07M
--9.05M
--7.89M
-Ativos Fixos
5.45%42.92M
5.48%43.34M
-2.83%40.26M
-0.05%40.50M
-0.51%40.70M
-1.04%41.09M
-0.55%41.43M
-0.37%40.52M
-0.10%40.91M
25.38%41.53M
29.63%41.66M
27.28%40.67M
36.00%40.96M
14.25%33.12M
17.66%32.14M
--31.95M
--30.12M
--28.99M
--27.31M
-Depreciação Acumulada
10.45%35.26M
4.98%34.37M
5.24%33.96M
5.63%32.89M
6.99%31.93M
14.05%32.74M
17.26%32.27M
17.96%31.14M
16.87%29.84M
17.94%28.71M
18.17%27.52M
19.02%26.40M
21.32%25.53M
22.07%24.34M
19.88%23.29M
--22.18M
--21.04M
--19.94M
--19.43M
Goodwill e outros Ativos Intangíveis
-48.28%570.00K
-49.43%660.00K
-38.81%853.00K
-35.39%984.00K
-35.59%1.10M
-34.06%1.30M
-27.81%1.39M
-32.31%1.52M
--1.71M
--1.98M
--1.93M
--2.25M
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Outros ativos não circulantes
-16.18%12.93M
-22.93%12.99M
-22.38%13.13M
-21.02%14.41M
-20.78%15.43M
-13.02%16.86M
-18.70%16.91M
-16.59%18.25M
-0.08%19.48M
-14.42%19.38M
-1.87%20.80M
4.32%21.88M
-8.23%19.49M
12.11%22.65M
19.54%21.20M
--20.97M
--21.24M
--20.20M
--17.73M
Total de ativos não circulantes
-16.38%21.17M
-14.68%22.62M
-26.17%20.28M
-21.08%23.01M
-21.55%25.31M
-22.42%26.52M
-25.51%27.47M
-24.08%29.15M
-7.60%32.26M
8.75%34.18M
22.72%36.88M
24.90%38.40M
15.20%34.92M
7.44%31.43M
17.29%30.05M
--30.74M
--30.31M
--29.25M
--25.62M
Total de ativos
-8.69%245.78M
-10.47%250.95M
-12.25%250.93M
-19.25%259.01M
-33.11%269.16M
-34.12%280.30M
-33.55%285.96M
-27.95%320.74M
-12.92%402.40M
-11.45%425.47M
-11.81%430.31M
-8.88%445.19M
-5.25%462.13M
206.59%480.49M
263.54%487.91M
--488.56M
--487.75M
--156.72M
--134.21M
Passivos
Passivos circulantes
-Outros a pagar
-3233.33%-1.20M
----
-2348.98%-1.20M
----
78.18%-36.00K
69.49%-72.00K
28.99%-49.00K
23.91%-105.00K
19.51%-165.00K
---236.00K
---69.00K
---138.00K
---205.00K
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Despesas acumuladas
-0.13%13.54M
-3.03%16.39M
-11.10%14.78M
-13.28%14.63M
-21.72%13.56M
-8.44%16.91M
-2.53%16.63M
-10.28%16.87M
-7.40%17.32M
-1.47%18.46M
-25.80%17.06M
-3.87%18.80M
15.00%18.71M
7.46%18.74M
63.23%22.99M
--19.55M
--16.27M
--17.44M
--14.08M
Dívidas e arrendamentos de curto prazo
1400.00%1.20M
-100.00%0.00
204.57%1.20M
-100.00%0.00
-94.33%80.00K
-88.88%199.00K
-78.48%394.00K
-56.52%823.00K
-23.45%1.41M
-12.21%1.79M
-13.96%1.83M
-19.86%1.89M
-25.61%1.84M
-13.57%2.04M
16.92%2.13M
--2.36M
--2.48M
--2.36M
--1.82M
-Dívida de curto prazo
--1.20M
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--1.20M
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-Passivos de arrendamento de curto prazo
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-96.47%44.00K
-91.83%127.00K
-80.42%345.00K
-59.09%718.00K
-23.95%1.25M
--1.55M
--1.76M
--1.75M
--1.64M
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Passivos diferidos
-2.13%71.56M
-10.32%66.69M
-4.46%63.63M
-11.35%66.01M
-9.92%73.12M
-10.90%74.36M
-17.80%66.60M
-17.97%74.46M
-11.90%81.17M
-13.27%83.45M
-11.14%81.03M
-3.33%90.77M
-3.59%92.13M
4.32%96.22M
4.58%91.19M
--93.90M
--95.56M
--92.24M
--87.19M
Outros passivos circulantes
-3.72%70.36M
-10.23%66.69M
-6.19%62.43M
-11.23%66.01M
-9.78%73.08M
-10.73%74.29M
-17.79%66.55M
-17.96%74.35M
-11.88%81.00M
-13.52%83.22M
-11.21%80.96M
-3.48%90.64M
-3.81%91.92M
4.32%96.22M
4.58%91.19M
--93.90M
--95.56M
--92.24M
--87.19M
Total de passivos circulantes
-2.84%88.71M
-8.21%88.20M
-5.55%84.03M
-13.59%85.50M
-13.51%91.30M
-13.23%96.08M
-16.71%88.96M
-15.80%98.95M
-12.09%105.56M
-7.82%110.73M
-9.74%106.81M
-1.02%117.52M
-0.29%120.08M
2.88%120.13M
10.76%118.33M
--118.72M
--120.43M
--116.77M
--106.84M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-42.87%1.01M
-59.08%1.02M
-86.45%440.00K
-71.04%1.10M
-60.21%1.77M
-51.43%2.48M
-45.28%3.25M
-39.95%3.80M
-36.73%4.46M
161.48%5.11M
133.43%5.94M
94.02%6.33M
93.66%7.05M
-92.40%1.96M
-89.68%2.54M
--3.26M
--3.64M
--25.73M
--24.64M
-Dívida de longo prazo
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-76.62%72.00K
-76.55%72.00K
-76.55%72.00K
-96.32%72.00K
-87.89%308.00K
-90.59%307.00K
-91.57%307.00K
-92.40%1.96M
-89.68%2.54M
--3.26M
--3.64M
--25.73M
--24.64M
-Passivos de arrendamento de longo prazo
-42.87%1.01M
-59.08%1.02M
-86.15%440.00K
-70.48%1.10M
-59.56%1.77M
-50.73%2.48M
-43.57%3.18M
-38.08%3.73M
-34.92%4.39M
--5.04M
--5.63M
--6.02M
--6.74M
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Passivos diferidos
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-22.10%698.00K
-57.25%510.00K
-70.31%714.00K
-18.66%937.00K
6.04%896.00K
--1.19M
--2.41M
--1.15M
--845.00K
Outros passivos não circulantes
39.68%2.33M
53.33%2.33M
37.65%1.58M
69.01%1.56M
22.41%1.67M
-3.87%1.52M
-16.49%1.15M
-26.04%923.00K
26.96%1.36M
-52.43%1.58M
-59.19%1.38M
-67.66%1.25M
-72.48%1.07M
-17.53%3.32M
-12.66%3.37M
--3.86M
--3.90M
--4.02M
--3.86M
Total de passivos não circulantes
-2.91%3.34M
-16.45%3.34M
-54.82%2.02M
-44.62%2.66M
-41.70%3.44M
-41.01%4.00M
-41.18%4.48M
-42.09%4.80M
-37.87%5.90M
28.62%6.78M
28.66%7.61M
16.51%8.30M
26.04%9.50M
-82.28%5.27M
-79.24%5.92M
--7.12M
--7.54M
--29.75M
--28.50M
Total de passivos
-2.84%92.05M
-8.54%91.54M
-7.91%86.05M
-15.03%88.17M
-15.00%94.74M
-14.83%100.08M
-18.34%93.44M
-17.53%103.76M
-13.98%111.47M
-6.29%117.51M
-7.91%114.42M
-0.02%125.81M
1.26%129.58M
-14.41%125.40M
-8.19%124.25M
--125.84M
--127.97M
--146.52M
--135.34M
Patrimônio líquido dos acionistas
Capital ordinário
3.91%510.07M
4.51%507.19M
2.97%502.82M
-0.57%498.58M
-12.68%490.90M
-13.73%485.30M
-12.71%488.31M
-8.62%501.42M
3.12%562.16M
2.13%562.56M
1.81%559.39M
1.78%548.75M
2.13%545.15M
1902.12%550.84M
2046.33%549.46M
--539.14M
--533.79M
--27.51M
--25.60M
Capital preferencial
----
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--83.86M
--83.86M
Lucros retidos
-12.70%-356.37M
-13.80%-347.67M
-14.60%-338.80M
-15.21%-327.39M
-16.55%-316.22M
-20.41%-305.51M
-22.37%-295.64M
-25.07%-284.16M
-28.59%-271.32M
-29.77%-253.73M
-29.88%-241.60M
-28.65%-227.21M
-21.20%-211.00M
-14.16%-195.52M
-2.90%-186.01M
---176.61M
---174.09M
---171.26M
---180.77M
Reservas de capital
3.91%510.07M
4.51%507.19M
2.97%502.81M
-0.57%498.57M
-12.68%490.90M
-13.73%485.29M
-12.71%488.31M
-8.62%501.42M
3.12%562.15M
2.13%562.55M
1.81%559.38M
1.78%548.74M
2.13%545.14M
1902.18%550.84M
2046.39%549.46M
--539.14M
--533.78M
--27.51M
--25.60M
Ganhos (perdas) fora do lucro retido
108.81%23.00K
-125.52%-111.00K
667.76%863.00K
-25.93%-340.00K
-369.07%-261.00K
149.89%435.00K
92.02%-152.00K
87.49%-270.00K
106.04%97.00K
-271.06%-872.00K
-986.05%-1.91M
-1272.83%-2.16M
-1923.86%-1.60M
-350.00%-235.00K
15.59%215.00K
--184.00K
--88.00K
--94.00K
--186.00K
Patrimônio total
-11.87%153.73M
-11.54%159.41M
-14.35%164.88M
-21.26%170.85M
-40.05%174.42M
-41.48%180.22M
-39.05%192.52M
-32.06%216.99M
-12.51%290.94M
-13.27%307.96M
-13.14%315.88M
-11.95%319.38M
-7.57%332.55M
3380.93%355.09M
32425.78%363.67M
--362.72M
--359.78M
--10.20M
---1.13M
Moeda
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Opinião da Auditoria
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