MyFinsight

HomeBlogAboutContact

MyFinsight

Making company financials insightful for everyone

Quick Links

  • About
  • Blog
  • Contact

Follow Us

  • X.com
  • Thread
  • Instagram

© 2026 MyFinsight. All rights reserved.

|||

For the quarter ending 2026-03-31, ONFOW made $1,866,865 in revenue. -$2,648,179 in net income. Net profit margin of -141.85%.

Income Overview

Revenue
$1,866,865
Net Income
-$2,648,179
Net Profit Margin
-141.85%
EPS
-$0.45
Unit: Dollar
Revenue Breakdown
    • BTwo B
    • BTwo C
Revenue Breakdown
    • Website Management
    • Advertising And Content Revenue
    • Digital Product Sales
    • Product Sales
Revenue Breakdown
    • Revenue, services
    • Revenue, product sales

Income Statement
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Total revenue
1,866,865 1,894,855* 2,742,033 3,148,209
Cost of revenue, services
904,369 971,908.5* 884,964 1,074,065
Cost of revenue, product sales
44,361 56,964* 85,869 135,867
Total cost of revenue
948,730 1,028,872.5* 970,833 1,209,932
Gross profit
918,135 865,982.5* 1,771,200 1,938,277
Selling, general and administrative
1,320,786 1,625,345.5* 1,827,753 2,066,796
Professional fees
430,704 381,350.5* 208,562 345,741
Impairment of goodwill and intangible assets
-439,964* 0 -
Acquisition costs
0 15,802.5* 2,952 32,263
Total operating expenses
1,751,490 2,462,462.5* 2,039,267 2,444,800
Interest income (expense), net
---107,697 72,602
Loss from operations
-833,355 -1,596,480* -268,067 -506,523
Equity method income (loss)
2,098 554* 0 142
Dividend income
2,223 3,275.5* 7,542 7,671
Interest income (expense), net
-973,750 -124,602.25* --
Other income
3,607 -60,145* -20,746
Change in fair value of digital assets
-674,157 -56,688.25* --
Change in fair value of derivative liability
-71,392 965,651* --
Impairment of investments
-73,499.5* --
Change in fair value of contingent consideration
-6,672 4,003.5* 55,334 16,539
Impairment of equity and cost method investments
129,007 -293,998 -
Gain on sale of subsidiary
-0* --
Other income (expense)
---18,881 -
Gain on sale of subsidiary assets
107,794 ---
Total other income
-1,739,256 778,839* -357,700 -27,788
Loss before income taxes
-2,572,611 -817,641* -625,767 -534,311
Income tax (provision) benefit
0 -17,582* 0 128
Net loss
-2,572,611 -800,059* -625,767 -
Net gain attributable to noncontrolling interest
-51,492 -116,860.5* 74,936 35,165
Net loss attributable to onfolio holdings inc
----569,604
Net loss attributable to onfolio holdings inc
-2,521,119 -683,198.5* -700,703 -534,439
Preferred dividends
127,060 114,798.5* 144,105 95,930
Net loss to common shareholders
-2,648,179 -797,997 -844,808 -665,534
Diluted EPS
-0.45 -0.144 -0.16 0.13
Diluted Average Shares
5,863,214 5,526,191 5,127,395 5,127,395
Unit: Dollar. Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Income Statement

DownloadDownload image
Net loss to commonshareholders-$2,648,179 Net lossattributable to onfolio...-$2,521,119 Preferred dividends$127,060 Net gainattributable to...-$51,492 Net loss-$2,572,611 BTwo B$1,521,828 BTwo C$345,037 Loss before incometaxes-$2,572,611 Total revenue$1,866,865 Total other income-$1,739,256 Loss from operations-$833,355 Gain on sale ofsubsidiary assets$107,794 Gross profit$918,135 Other income$3,607 Total cost of revenue$948,730 Dividend income$2,223 Equity method income(loss)$2,098 Interest income(expense), net-$973,750 Change in fair value ofdigital assets-$674,157 Impairment of equity andcost method...$129,007 Total operatingexpenses$1,751,490 Change in fair value ofderivative liability-$71,392 Change in fair value ofcontingent consideration-$6,672 Cost of revenue,services$904,369 Cost of revenue,product sales$44,361 Selling, general andadministrative$1,320,786 Professional fees$430,704

Onfolio Holdings, Inc (ONFOW)

Onfolio Holdings, Inc (ONFOW)