Return On Asset ratio Analysis of Oportun Financial Corp - Deep Dive
Latest FY ROA
Period Ending - Dec-23
Very Poor ROA
-4.30
Period Ending - Dec-22
Very Poor ROA
-2.15
Growth
-99.65 %
Trailing Twelve Months ROA
Period Ending - Dec-23
Very Poor ROA
-3.05
Most recent Quarter ROA
Period Ending - Mar-24
Very Poor ROA
-0.809
ROA Analysis of Oportun Financial Corp
ROA Ratio of Oportun Financial Corp with value of -3.05 means poor return on Assets in trailing twelve months. |
ROA Ratio of Oportun Financial Corp with value of -0.809 means poor return on Assets in latest Quarter ending on Mar-24. |
ROA Ratio of OPRT drastically fell by -99.65 % this year. |
ROA Ratio with value of 2.80 was highest in Year Dec-19 in last Five Years. |
ROA Ratio with value of -4.30 was lowest in Year Dec-23 in last Five Years. |
Latest ROA Ratio with value of -4.30 is lower than Average ROA of -0.857 in last five years. |
ROA of Oportun Financial Corp is negative because of negative Income in last Financial Year , last Quarter and also in last twelve Months. |
Other ROA Related Info of OPRT that may interest you.
Oportun Financial Corp Overview
Code | Price | Previous Price | Price Change | Sector |
---|---|---|---|---|
OPRT | 3.38 | 3.32 | 1.81 % | Credit Services |
Defination of Return On Asset
The return on assets (ROA) is a commonly used profitability ratio that shows how effectively a company uses its assets to generate profit. more ..ROA Related Ratios
ReturnOnEquity | AssetTurnoverRatio |
Tsr Profitability Index
Poor Profitability Stock |
FY - Historical Return On Asset of Oportun Financial Corp
Period | Dec-23 | Dec-22 | Dec-21 | Dec-20 | Dec-19 | Dec-18 | Dec-17 |
---|---|---|---|---|---|---|---|
ROA | -4.30 | -2.15 | 1.61 | -2.24 | 2.80 | 7.09 | -0.840 |
Change | -99.65 % | -233.70 % | 171.71 % | -180.21 % | -60.55 % | 944.30 % | -115.77 % |
FY Chart of Return On Asset of Oportun Financial Corp
Note : All Data Generated at the End of Trading Hours (EOD Data)