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HK Stock MarketDetailed Quotes

02633 JACOBSON PHARMA

Watchlist
0.640 -0.020-3.03%
Market Closed 12/04 16:08 CST
0.640High0.640Low186.00KVolume

JACOBSON PHARMA Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)2023/09/30
(FY)2023/03/31
(Q6)2022/09/30
(FY)2022/03/31
(Q6)2021/09/30
(FY)2021/03/31
(Q6)2020/09/30
(FY)2020/03/31
(Q6)2019/09/30
(FY)2019/03/31
Assets
Current assets
Inventory
-19.66%302.82M
16.99%368M
17.94%376.93M
-11.69%314.56M
-17.16%319.58M
-4.11%356.18M
2.68%385.8M
11.27%371.46M
15.65%375.71M
5.53%333.83M
Accounts receivable
-25.17%244.2M
-7.67%351.36M
-9.09%326.33M
19.76%380.55M
28.58%358.97M
14.32%317.76M
1.66%279.19M
0.24%277.95M
5.62%274.63M
8.83%277.29M
Withholding and tax receivable
-78.04%779K
-63.64%1.63M
-36.08%3.55M
-30.83%4.49M
-59.59%5.55M
-61.34%6.49M
1,810.43%13.74M
451.69%16.79M
-91.29%719K
-78.00%3.04M
Cash and equivalents
1.24%871.05M
116.53%1.04B
60.20%860.41M
-0.35%478.65M
12.01%537.07M
14.92%480.35M
-33.24%479.5M
-33.64%417.99M
-9.25%718.21M
-4.09%629.84M
Special items of current assets
----
----
----
----
----
----
----
--86.19M
--7.78M
----
Total current assets
-9.47%1.42B
49.16%1.76B
28.34%1.57B
1.50%1.18B
5.44%1.22B
-0.82%1.16B
-15.89%1.16B
-5.92%1.17B
-0.54%1.38B
0.19%1.24B
Non-current assets
Property, plant and equipment
-17.72%1.2B
-0.11%1.5B
-4.96%1.46B
-3.02%1.5B
29.85%1.54B
36.56%1.55B
3.36%1.19B
2.86%1.14B
13.81%1.15B
12.38%1.1B
Investment property
39.43%321.34M
-21.39%181.17M
-0.72%230.47M
11.08%230.47M
-44.28%232.14M
-42.04%207.48M
14.54%416.6M
0.34%358M
125.34%363.7M
292.09%356.8M
Associated company interest
-54.79%23.7M
-3.91%51.82M
-5.82%52.43M
-6.18%53.93M
40.33%55.67M
146.01%57.48M
63.25%39.67M
-84.29%23.37M
-84.00%24.3M
1,080.29%148.75M
Interests in Joint Venture
----
-16.57%3.62M
-10.49%3.82M
7.38%4.33M
-96.21%4.26M
-95.64%4.04M
1,165.01%112.49M
--92.54M
--8.89M
----
Intangible assets
-65.21%445.94M
1.30%1.32B
-3.18%1.28B
-3.11%1.3B
0.83%1.32B
2.61%1.35B
-2.09%1.31B
22.11%1.31B
24.24%1.34B
-1.26%1.07B
Deferred tax assets
52.00%15.23M
0.74%10.23M
-9.31%10.02M
-1.04%10.16M
-14.91%11.05M
1.79%10.26M
131.37%12.98M
68.72%10.08M
-12.01%5.61M
42.59%5.98M
Other illiquid assets
25.00%557.9M
17.51%554.02M
-0.72%446.31M
-11.29%471.45M
-21.34%449.55M
10.84%531.43M
46.92%571.52M
46.34%479.48M
40.27%389M
127.18%327.65M
Total non-current assets
-26.37%2.57B
1.28%3.62B
-3.54%3.49B
-3.48%3.58B
-0.98%3.62B
8.70%3.71B
11.35%3.65B
13.04%3.41B
20.08%3.28B
27.31%3.02B
Total assets
-21.13%3.99B
13.14%5.38B
4.50%5.06B
-2.29%4.76B
0.57%4.84B
6.27%4.87B
3.29%4.81B
7.50%4.58B
13.14%4.66B
17.98%4.26B
Liabilities
Current liabilities
Accounts payable
-14.86%207.3M
77.94%283.65M
-14.60%243.47M
15.75%159.41M
56.13%285.1M
14.62%137.72M
29.79%182.6M
2.76%120.16M
24.91%140.69M
10.78%116.93M
Notes payable
----
----
----
----
----
----
----
----
----
4.44%466.96M
Tax payable
-8.69%39.31M
36.40%28.41M
65.10%43.05M
45.28%20.83M
4.72%26.07M
38.53%14.33M
-37.00%24.9M
-13.02%10.35M
70.31%39.52M
155.44%11.9M
Bank loans and overdrafts
1,283.34%830M
-49.43%309.55M
-90.44%60M
-10.75%612.18M
-41.42%627.49M
27.34%685.91M
42.69%1.07B
17.51%538.65M
27.06%750.67M
-49.28%458.4M
Financial lease liabilities-current liabilities
-24.17%29.03M
2.51%34.82M
5.62%38.29M
-5.48%33.97M
-4.40%36.25M
-24.26%35.94M
-13.65%37.91M
25,688.04%47.45M
23,763.04%43.91M
0.00%184K
Special items of current liabilities
----
----
----
----
----
----
----
--10.75M
----
----
Total current liabilities
187.33%1.11B
-20.57%656.44M
-60.53%384.8M
-5.44%826.38M
-25.95%974.91M
20.15%873.91M
35.06%1.32B
-31.01%727.36M
-17.65%974.78M
-27.85%1.05B
Net current assets
-73.51%313.21M
212.90%1.1B
380.15%1.18B
22.65%351.86M
255.51%246.26M
-35.24%286.88M
-139.37%-158.36M
133.61%443.02M
100.24%402.27M
186.32%189.64M
Total assets less current liabilities
-38.30%2.88B
20.23%4.72B
20.92%4.67B
-1.60%3.93B
10.56%3.86B
3.64%3.99B
-5.11%3.49B
20.17%3.85B
25.57%3.68B
49.14%3.21B
Non-current liabilities
Long-term bank loan
-68.35%450.92M
69.18%1.23B
99.19%1.42B
-18.24%729.47M
41.61%715.22M
-12.10%892.21M
-30.57%505.07M
173.40%1.01B
218.91%727.46M
--371.25M
Financial lease liabilities-non-current liabilities
-62.30%12.96M
-40.17%20.53M
-1.56%34.38M
-0.71%34.32M
20.25%34.92M
-26.53%34.56M
-19.48%29.04M
9,782.77%47.04M
6,249.12%36.06M
-27.88%476K
Deferred tax liability
-45.84%112.63M
2.63%212.86M
0.69%207.94M
0.50%207.4M
12.78%206.51M
11.71%206.36M
-0.27%183.11M
25.35%184.72M
27.98%183.6M
4.40%147.36M
Total non-current liabilities
-65.42%576.5M
51.11%1.47B
74.25%1.67B
-14.29%971.19M
33.38%956.65M
-9.11%1.13B
-24.27%717.22M
140.18%1.25B
154.51%947.12M
266.02%519.09M
Total liabilities
-18.02%1.68B
18.16%2.12B
6.22%2.05B
-10.44%1.8B
-5.03%1.93B
1.67%2.01B
5.82%2.03B
25.46%1.97B
23.53%1.92B
-1.85%1.57B
Total assets less total liabilities
-23.26%2.31B
10.09%3.26B
3.36%3B
3.42%2.96B
4.66%2.91B
9.75%2.86B
1.52%2.78B
-3.02%2.61B
6.83%2.74B
33.82%2.69B
Total equity and non-current liabilities
-38.30%2.88B
20.23%4.72B
20.92%4.67B
-1.60%3.93B
10.56%3.86B
3.64%3.99B
-5.11%3.49B
20.17%3.85B
25.57%3.68B
49.14%3.21B
Equity
Share capital
0.51%19.13M
-0.41%19.08M
-0.67%19.03M
0.00%19.16M
0.00%19.16M
-0.07%19.16M
-4.59%19.16M
-4.89%19.17M
-0.38%20.08M
11.02%20.16M
Reserve
-9.83%2.26B
9.93%2.72B
3.89%2.51B
4.28%2.47B
-7.95%2.41B
-5.87%2.37B
-0.89%2.62B
-4.13%2.52B
5.78%2.65B
34.20%2.63B
Legal reserve
-9.83%2.26B
9.93%2.72B
3.89%2.51B
4.28%2.47B
-7.95%2.41B
-5.87%2.37B
-0.89%2.62B
-4.13%2.52B
5.78%2.65B
34.20%2.63B
Shareholders' Equity
-9.75%2.28B
9.85%2.74B
3.86%2.53B
4.25%2.49B
-7.90%2.43B
-5.83%2.39B
-0.92%2.64B
-4.13%2.54B
5.73%2.67B
33.98%2.65B
Non-controlling interest
-94.91%24.26M
11.40%519.83M
0.82%476.55M
-0.77%466.65M
251.50%472.69M
587.99%470.26M
96.43%134.48M
71.01%68.35M
79.88%68.46M
24.08%39.97M
Total equity
-23.26%2.31B
10.09%3.26B
3.36%3B
3.42%2.96B
4.66%2.91B
9.75%2.86B
1.52%2.78B
-3.02%2.61B
6.83%2.74B
33.82%2.69B
Total equity and total liabilities
-21.13%3.99B
13.14%5.38B
4.50%5.06B
-2.29%4.76B
0.57%4.84B
6.27%4.87B
3.29%4.81B
7.50%4.58B
13.14%4.66B
17.98%4.26B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(Q6)2023/09/30(FY)2023/03/31(Q6)2022/09/30(FY)2022/03/31(Q6)2021/09/30(FY)2021/03/31(Q6)2020/09/30(FY)2020/03/31(Q6)2019/09/30(FY)2019/03/31
Assets
Current assets
Inventory -19.66%302.82M16.99%368M17.94%376.93M-11.69%314.56M-17.16%319.58M-4.11%356.18M2.68%385.8M11.27%371.46M15.65%375.71M5.53%333.83M
Accounts receivable -25.17%244.2M-7.67%351.36M-9.09%326.33M19.76%380.55M28.58%358.97M14.32%317.76M1.66%279.19M0.24%277.95M5.62%274.63M8.83%277.29M
Withholding and tax receivable -78.04%779K-63.64%1.63M-36.08%3.55M-30.83%4.49M-59.59%5.55M-61.34%6.49M1,810.43%13.74M451.69%16.79M-91.29%719K-78.00%3.04M
Cash and equivalents 1.24%871.05M116.53%1.04B60.20%860.41M-0.35%478.65M12.01%537.07M14.92%480.35M-33.24%479.5M-33.64%417.99M-9.25%718.21M-4.09%629.84M
Special items of current assets ------------------------------86.19M--7.78M----
Total current assets -9.47%1.42B49.16%1.76B28.34%1.57B1.50%1.18B5.44%1.22B-0.82%1.16B-15.89%1.16B-5.92%1.17B-0.54%1.38B0.19%1.24B
Non-current assets
Property, plant and equipment -17.72%1.2B-0.11%1.5B-4.96%1.46B-3.02%1.5B29.85%1.54B36.56%1.55B3.36%1.19B2.86%1.14B13.81%1.15B12.38%1.1B
Investment property 39.43%321.34M-21.39%181.17M-0.72%230.47M11.08%230.47M-44.28%232.14M-42.04%207.48M14.54%416.6M0.34%358M125.34%363.7M292.09%356.8M
Associated company interest -54.79%23.7M-3.91%51.82M-5.82%52.43M-6.18%53.93M40.33%55.67M146.01%57.48M63.25%39.67M-84.29%23.37M-84.00%24.3M1,080.29%148.75M
Interests in Joint Venture -----16.57%3.62M-10.49%3.82M7.38%4.33M-96.21%4.26M-95.64%4.04M1,165.01%112.49M--92.54M--8.89M----
Intangible assets -65.21%445.94M1.30%1.32B-3.18%1.28B-3.11%1.3B0.83%1.32B2.61%1.35B-2.09%1.31B22.11%1.31B24.24%1.34B-1.26%1.07B
Deferred tax assets 52.00%15.23M0.74%10.23M-9.31%10.02M-1.04%10.16M-14.91%11.05M1.79%10.26M131.37%12.98M68.72%10.08M-12.01%5.61M42.59%5.98M
Other illiquid assets 25.00%557.9M17.51%554.02M-0.72%446.31M-11.29%471.45M-21.34%449.55M10.84%531.43M46.92%571.52M46.34%479.48M40.27%389M127.18%327.65M
Total non-current assets -26.37%2.57B1.28%3.62B-3.54%3.49B-3.48%3.58B-0.98%3.62B8.70%3.71B11.35%3.65B13.04%3.41B20.08%3.28B27.31%3.02B
Total assets -21.13%3.99B13.14%5.38B4.50%5.06B-2.29%4.76B0.57%4.84B6.27%4.87B3.29%4.81B7.50%4.58B13.14%4.66B17.98%4.26B
Liabilities
Current liabilities
Accounts payable -14.86%207.3M77.94%283.65M-14.60%243.47M15.75%159.41M56.13%285.1M14.62%137.72M29.79%182.6M2.76%120.16M24.91%140.69M10.78%116.93M
Notes payable ------------------------------------4.44%466.96M
Tax payable -8.69%39.31M36.40%28.41M65.10%43.05M45.28%20.83M4.72%26.07M38.53%14.33M-37.00%24.9M-13.02%10.35M70.31%39.52M155.44%11.9M
Bank loans and overdrafts 1,283.34%830M-49.43%309.55M-90.44%60M-10.75%612.18M-41.42%627.49M27.34%685.91M42.69%1.07B17.51%538.65M27.06%750.67M-49.28%458.4M
Financial lease liabilities-current liabilities -24.17%29.03M2.51%34.82M5.62%38.29M-5.48%33.97M-4.40%36.25M-24.26%35.94M-13.65%37.91M25,688.04%47.45M23,763.04%43.91M0.00%184K
Special items of current liabilities ------------------------------10.75M--------
Total current liabilities 187.33%1.11B-20.57%656.44M-60.53%384.8M-5.44%826.38M-25.95%974.91M20.15%873.91M35.06%1.32B-31.01%727.36M-17.65%974.78M-27.85%1.05B
Net current assets -73.51%313.21M212.90%1.1B380.15%1.18B22.65%351.86M255.51%246.26M-35.24%286.88M-139.37%-158.36M133.61%443.02M100.24%402.27M186.32%189.64M
Total assets less current liabilities -38.30%2.88B20.23%4.72B20.92%4.67B-1.60%3.93B10.56%3.86B3.64%3.99B-5.11%3.49B20.17%3.85B25.57%3.68B49.14%3.21B
Non-current liabilities
Long-term bank loan -68.35%450.92M69.18%1.23B99.19%1.42B-18.24%729.47M41.61%715.22M-12.10%892.21M-30.57%505.07M173.40%1.01B218.91%727.46M--371.25M
Financial lease liabilities-non-current liabilities -62.30%12.96M-40.17%20.53M-1.56%34.38M-0.71%34.32M20.25%34.92M-26.53%34.56M-19.48%29.04M9,782.77%47.04M6,249.12%36.06M-27.88%476K
Deferred tax liability -45.84%112.63M2.63%212.86M0.69%207.94M0.50%207.4M12.78%206.51M11.71%206.36M-0.27%183.11M25.35%184.72M27.98%183.6M4.40%147.36M
Total non-current liabilities -65.42%576.5M51.11%1.47B74.25%1.67B-14.29%971.19M33.38%956.65M-9.11%1.13B-24.27%717.22M140.18%1.25B154.51%947.12M266.02%519.09M
Total liabilities -18.02%1.68B18.16%2.12B6.22%2.05B-10.44%1.8B-5.03%1.93B1.67%2.01B5.82%2.03B25.46%1.97B23.53%1.92B-1.85%1.57B
Total assets less total liabilities -23.26%2.31B10.09%3.26B3.36%3B3.42%2.96B4.66%2.91B9.75%2.86B1.52%2.78B-3.02%2.61B6.83%2.74B33.82%2.69B
Total equity and non-current liabilities -38.30%2.88B20.23%4.72B20.92%4.67B-1.60%3.93B10.56%3.86B3.64%3.99B-5.11%3.49B20.17%3.85B25.57%3.68B49.14%3.21B
Equity
Share capital 0.51%19.13M-0.41%19.08M-0.67%19.03M0.00%19.16M0.00%19.16M-0.07%19.16M-4.59%19.16M-4.89%19.17M-0.38%20.08M11.02%20.16M
Reserve -9.83%2.26B9.93%2.72B3.89%2.51B4.28%2.47B-7.95%2.41B-5.87%2.37B-0.89%2.62B-4.13%2.52B5.78%2.65B34.20%2.63B
Legal reserve -9.83%2.26B9.93%2.72B3.89%2.51B4.28%2.47B-7.95%2.41B-5.87%2.37B-0.89%2.62B-4.13%2.52B5.78%2.65B34.20%2.63B
Shareholders' Equity -9.75%2.28B9.85%2.74B3.86%2.53B4.25%2.49B-7.90%2.43B-5.83%2.39B-0.92%2.64B-4.13%2.54B5.73%2.67B33.98%2.65B
Non-controlling interest -94.91%24.26M11.40%519.83M0.82%476.55M-0.77%466.65M251.50%472.69M587.99%470.26M96.43%134.48M71.01%68.35M79.88%68.46M24.08%39.97M
Total equity -23.26%2.31B10.09%3.26B3.36%3B3.42%2.96B4.66%2.91B9.75%2.86B1.52%2.78B-3.02%2.61B6.83%2.74B33.82%2.69B
Total equity and total liabilities -21.13%3.99B13.14%5.38B4.50%5.06B-2.29%4.76B0.57%4.84B6.27%4.87B3.29%4.81B7.50%4.58B13.14%4.66B17.98%4.26B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG--KPMG--KPMG--KPMG--KPMG

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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