ONAR Holding Corporation (ONAR) Fair Value 2026

ONAR · Advertising Agencies ·

By CirclFi Research Team · Data from SEC EDGAR, FRED & GDELT

Quality Score

4.2 /10

32 fundamental signals · 0 models active

Value Trap Risk

DANGER (71/100)

Quick Summary — As of 2026-08-27, ONAR Holding Corporation (ONAR) trades at $0.01. QOC: 4.2/10. Value Trap Risk: 71/100 (DANGER). 0/13 models active.

Key Facts

Ticker
ONAR
Price
$0.01
Quality Score
4.2/10
Value Trap Risk
71/100
Models Active
0/13
Last Updated
Strength: 0 independent models provide multi-angle coverage
Risk: Value Trap score of 71 suggests caution despite apparent undervaluation

What Fair Value Does Each Model Give ONAR?

0 Intrinsic Value Models vs. Current Price ($0.01)

Core Models (Unlocked)
Model Fair Value Upside

All Models Active

All 0 models are displayed above.

What Is ONAR Holding Corporation (ONAR) Worth in 2026?

According to the CirclFi Deep Alpha Valuation Engine, ONAR Holding Corporation currently lacks sufficient data across our 13-model framework. As more financial data is processed from SEC filings, our models will generate intrinsic value estimates.

What Do the Models Say About ONAR?

0 of 13 models are currently active for ONAR. See which stocks rank higher →

How Does ONAR Rank in Advertising Agencies?

Among 48 Advertising Agencies stocks, ONAR ranks #40 by Quality of Company score. CirclFi's QOC score of 4.2/10 evaluates 32 fundamental signals. A score of 4.2 reflects mixed fundamentals.

ONAR Holding Corporation operates in a competitive landscape where fundamental quality metrics are key differentiators for long-term value creation.

Is ONAR a Value Trap?

CirclFi's Value Trap algorithm assigns ONAR a score of 71/100 (DANGER). This is a high-risk signal. Deteriorating fundamentals suggest the discount may be justified. The score cross-references apparent undervaluation against fundamental deterioration signals. Browse lowest value-trap stocks →

Multi-Model Methodology

0 of 13 models are active for ONAR Holding Corporation. Limited activation may indicate insufficient history. Each model applies a fundamentally different valuation philosophy. See the complete methodology →

According to the CirclFi Quality of Company (QOC) framework, ONAR Holding Corporation earns a quality score of 4.2/10. This mixed rating reflects the company's standing across 32 fundamental signals spanning profitability, growth consistency, balance sheet strength, and capital allocation efficiency. However, our Value Trap algorithm flags elevated risk — suggesting that apparent cheapness may mask deteriorating fundamentals.

CirclFi runs 13 independent models for each stock. Browse all stocks with 13-model coverage →

Data Sources & Confidence

Every ONAR valuation is built from SEC EDGAR XBRL filings — 700+ standardized financial tags. Macroeconomic context from FRED calibrates discount rates, while GDELT news sentiment feeds into our Sentiment SOTP model. All pipelines run daily. Read the complete data methodology →

CirclFi's output is a research starting point, not a buy/sell signal. All data updates daily. Read the full methodology →

This analysis is produced by the CirclFi Valuation Engine using quantitative models applied to SEC EDGAR filings, public market feeds, and FRED macroeconomic indicators. It is not financial advice.

Read the full investment analysis: Should You Buy ONAR Holding Corporation Stock in 2026? →

Bull case, bear case, risk factors & peer comparison — updated daily

Which Similar Advertising Agencies Stocks Should You Also Analyze?

11 related Advertising Agencies stocks with 13-model coverage

Read investment analysis: FCCI · CNFN · TC · DBMM · DRCT · MOBQ · MGNI · SWAG · DLPN · APP · QNST

Which Other Stocks Have a Similar Quality Score to ONAR?

7 companies across all industries closest to ONAR’s Quality of Company score of 4.2/10.

Read investment analysis: IMAQ · SYRE · NSTM · XELB · MRAI · BBLG · NVDA

What Else Do Investors Ask About ONAR Holding Corporation’s Valuation?

What is ONAR Holding Corporation's intrinsic value in 2026?

CirclFi does not yet have enough active models to publish a median fair value for ONAR Holding Corporation (ONAR). The Quality of Company score is 4.2/10 across 32 fundamental signals. All models use SEC EDGAR filings updated daily. See our methodology page for how each model works.

Is ONAR overvalued or undervalued right now?

At $0.01, 0 of 0 active models suggest ONAR may be undervalued, while 0 indicate potential overvaluation. The assessment depends on which methodology best fits ONAR Holding Corporation's business model in Advertising Agencies.

What does a Quality of Company score of 4.2 mean for ONAR?

ONAR Holding Corporation's QOC of 4.2/10 reflects 32 fundamental signals: profitability margins, revenue growth consistency, balance sheet leverage, free cash flow generation, and capital allocation efficiency. Scores below 5 flag potential fundamental weaknesses requiring careful analysis.

How many valuation models does CirclFi run on ONAR?

CirclFi analyzes ONAR with 13 institutional-grade models daily: Bayesian DCF (Monte Carlo + jump-diffusion), EPV (Greenwald zero-growth), EROIC Spread (McKinsey reinvestment), First Chicago (3-scenario), Markov DDM (regime-switching), ML-RIV (machine learning residual income), Dynamic NAV (asset-based), PWERM (option-theoretic), Regime Cross-Sectional (relative), Sentiment SOTP (hybrid), CUCE Ensemble (meta-model), FTNN Topology (neural network), and RCMH-DCF (conditional regime). Currently 0 of 13 are active for this stock. Read the full methodology →

Is ONAR a value trap in 2026?

ONAR Holding Corporation's Value Trap score is 71/100 (DANGER). This elevated score suggests the stock may look undervalued but faces deteriorating fundamentals — declining margins, rising debt, or shrinking revenue could make the apparent discount deceptive. Browse our ranked stock lists to compare value-trap scores across industries. Browse stocks by value-trap risk →

Cite this analysis — “CirclFi assigns ONAR Holding Corporation (ONAR) a Quality of Company score of 4.2/10 across 32 fundamental signals as of 2026-08-27.” Source: circlfi.com/stock/ONAR/ · Methodology
Primary sources for this ONAR valuation
  • Financial statements: ONAR Holding Corporation 10-K and 10-Q filings on SEC EDGAR (CIK 0001682265) — 700+ standardized XBRL tags, published by the U.S. Securities and Exchange Commission.
  • Discount-rate inputs: FRED, Federal Reserve Bank of St. Louis — risk-free rates, VIX, yield curve, inflation.
  • News sentiment: The GDELT Project — global media tone, input to the Sentiment SOTP model.
  • Model definitions: CirclFi methodology — the published specification for all 13 models, including the academic sources each one implements.

Market data for ONAR as of ; valuations recomputed .