JG Cuplikan Saham Harga, kapitalisasi pasar, P/E, EPS, ROE, utang/ekuitas, kisaran 52 minggu

03
Harga $6.48
Pendapatan $375M
ROE 0.63%
Rentang 52M $3–$9

JG Grafik Harga Saham OHLCV harian dengan indikator teknis — geser, perbesar, dan sesuaikan tampilan Anda

04
rentang
batang

Granularitas batang menyesuaikan dengan periode yang dipilih — arahkan kursor ke bagan untuk melihat buka/tinggi/rendah/tutup untuk sebuah batang.

Pemecahan saham 1
Tanggal ex-dividen Pemecahan Tipe
11 Des. 2023 1-for-20 Terbalik

Kinerja 10 Tahun Tren Pendapatan, laba bersih, margin, dan EPS

06
Pendapatan$375M
2016-12-31 → 2025-12-31
Arus Kas Bebas$65M
2018-12-31 → 2025-12-31
Margin bersih0.11%
2018-12-31 → 2025-12-31
Valuasi & Rasio 07–12

Valuasi Rasio P/E, P/S, P/B, EV/EBITDA — apakah sahamnya mahal atau murah?

Belum ada data untuk grup rasio ini

Data fundamental belum cukup untuk menghitung grup rasio ini.

nilai · ≈ rata-rata 5T · median industri · penilaian relatif terhadap median

Riwayat Pendapatan EPS aktual vs perkiraan, kejutan %, tingkat keberhasilan, tanggal pendapatan berikutnya

14
Laporan Berikutnya Nov 13, 2026
PeriodeLaporanEPS AktualEPS EstimasiKejutan
30 Juni 2026 Agu 20, 2026 $0.47 — —
31 Maret 2026 Mei 26, 2026 $0.27 — —
31 Des. 2025 $1.10 — —
30 Juni 2025 $0.07 — —
30 Sep. 2024 $-0.29 — —
30 Juni 2024 $0.07 — —

Fundamental Lengkap Semua metrik per tahun — laporan laba rugi, neraca, arus kas

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Laporan Laba Rugi 13
Metrik Tren 202520242023202220212020201920182017
Revenue $375M$316M$290M$329M$357M$472M$906M$714M$285M
Cost of Revenue $123M$107M$91M$103M$92M$265M$650M$517M$213M
Gross Profit $252M$209M$199M$226M$265M$206M$257M$197M$71M
R&D Expense $105M$95M$122M$154M$207M$175M$176M$134M$72M
SG&A Expense $48M$45M$46M$105M$80M$119M$109M$72M$32M
Operating Expenses $254M$225M$250M$358M$403M$396M$404M$290M$164M
Operating Income $706.0K$-10M$-41M$-101M$-138M$-190M$-147M$-93M$-92M
Interest Expense ··$808.0K$3M$9M$12M$11M$7M$122.0K
Interest Income $1M$3M$1M$2M$7M$6M$6M$4M$314.0K
Pretax Income $3M$-7M$-65M$-109M$-141M$-225M$-110M$-66M$-94M
Income Tax $73.0K$110.0K$-2M$-455.0K$32.0K$86.0K$162.0K$30.0K$-4M
Net Income $423.0K$-7M$-62M$-107M$-141M$-225M$-110M$-66M$-90M
EBITDA $706.0K$-10M$-51M$-132M$-138M$-190M$-147M$-93M·
Neraca 27
Metrik Tren 202520242023202220212020201920182017
Cash & Equivalents $168M$119M$115M$116M$91M$356M$431M$577M$208M
Short-term Investments $5M$0·$0$30M$80M$0··
Receivables $43M$51M$34M$30M$44M$45M$135M$142M$50M
Prepaid Expense $15M$14M$20M$30M$47M$49M$86M$81M$34M
Current Assets $232M$185M$170M$177M$381M$530M$654M$804M$293M
PP&E (Net) $3M$5M$1M$15M$62M$74M$106M$93M$53M
Accum. Depreciation $6M$7M$13M$158M$111M$96M$60M$31M$14M
Goodwill $38M$38M$38M$38M$0····
Intangibles $10M$14M$18M$24M$5M$10M$9M$2M$283.0K
Other Non-current Assets $6M$7M$5M$4M$5M$6M$3M$14M$2M
Total Assets $416M$378M$350M$433M$596M$787M$940M$992M$359M
Accounts Payable $39M$33M$21M$18M$18M$17M$20M$19M$8M
Short-term Debt ·$3M·$5M$150M$0···
Current Liabilities $303M$262M$241M$255M$374M$460M$194M$164M$117M
Capital Leases $11M$13M$629.0K$7M$0····
Deferred Tax $2M$3M$4M$5M$0····
Other Non-current Liabilities $450.0K$567.0K$563.0K$4M$3M·$64.0K$140.0K$216.0K
Total Liabilities $317M$279M$246M$275M$380M$466M$432M$390M$117M
Long-term Debt ·····$228M$244M$240M·
Total Debt ·$3M·$5M$150M····
Common Stock ········$26.0K
Retained Earnings $-995M$-996M$-989M$-926M$-819M$-678M$5M$-348M$-235M
Treasury Stock $6M$2M$2M$2M··$2M$3M·
AOCI $18M$20M$19M$18M$12M$11M$6M$8M$-3M
Stockholders' Equity $66M$68M$74M$128M$215M$321M$508M$602M$-224M
Liabilities + Equity $416M$378M$350M$433M$596M$787M$940M$992M$359M
Shares Outstanding ·······042,666,670
Arus Kas 14
Metrik Tren 202520242023202220212020201920182017
Stock-based Comp $4M$4M$12M$16M$30M$29M$47M$25M$8M
Deferred Tax $-1M$6.0K$-2M$-481.0K$0··$-5.0K$-4M
Amort. of Intangibles $4M$5M$6M$6M$4M$4M$2M$307.0K$35.0K
Operating Cash Flow $65M$9M$-18M$-17M$-77M$76M$-26M$-98M$-76M
CapEx $252.0K$5M$306.0K$632.0K$16M$20M$39M$58M$28M
Investing Cash Flow $-7M$-5M$25M$27M$26M$-144M$-89M$-139M$-29M
Stock Issued $2M··$1.0K$1.0K····
Stock Repurchased $8M$3M$4M$2M··$38M$3M·
Net Stock Activity $-6M$-3M$-4M$-2M$1.0K·$-38M$-3M·
Financing Cash Flow $-8M$1M$-9M$-148M$-55M$315.0K$-34M$615M$217M
Net Change in Cash $49M$5M$-1M$-138M$-102M$-75M$-145M$368M$105M
Taxes Paid $273.0K$131.0K$18.0K······
Free Cash Flow $65M$4M$-18M$-18M$-93M$56M$-65M$-156M·
Levered FCF ··$-19M$-21M$-102M$44M$-76M$-163M·
Profitabilitas 8
Metrik Tren 202520242023202220212020201920182017
Gross Margin 67.2%66.1%68.7%68.7%74.1%43.7%28.3%27.6%·
Operating Margin 0.19%-3.1%-17.5%-40.3%-38.7%-40.2%-16.2%-13.0%·
Net Margin 0.11%-2.2%-21.4%-32.5%-39.3%-47.7%-1.7%-9.3%·
Pretax Margin 0.71%-2.1%-22.2%-33.1%-39.3%-47.7%-12.1%-9.3%·
EBITDA Margin 0.19%-3.1%-17.5%-40.3%-38.7%-40.2%-16.2%-13.0%·
ROA 0.11%-1.9%-15.9%-20.8%-20.3%-26.1%-1.6%-9.8%·
ROE 0.63%-10.0%-61.7%-62.4%-52.4%-54.3%-2.8%-35.1%·
ROIC 1.0%-14.2%-67.2%-99.4%-37.8%-59.1%-29.0%-15.4%·
Likuiditas & Solvabilitas 4
Metrik Tren 202520242023202220212020201920182017
Current Ratio 0.80.70.70.71.01.23.44.9·
Quick Ratio 0.70.60.60.60.41.02.94.4·
Debt / Equity ·0.0·0.00.7····
Interest Coverage ··-63.0-42.2-15.7-16.2-13.2-13.2·
Efisiensi 2
Metrik Tren 202520242023202220212020201920182017
Asset Turnover 0.90.90.70.60.50.50.91.1·
Receivables Turnover 8.07.49.18.98.15.26.57.5·
Valuasi (TTM) 6
Metrik Tren 202520242023202220212020201920182017
Revenue TTM $375M$316M$290M$329M$357M$472M$906M$714M·
Net Income TTM $423.0K$-7M$-62M$-107M$-141M$-225M$-110M$-66M·
Market Cap ·······$0·
P/S ·······0.0·
P / Cash Flow ·······0.0·
P / FCF ·······0.0·

Periode terbaru di sebelah kiri · nilai null ditampilkan sebagai ·

Laporan Keuangan Laporan laba rugi, neraca, arus kas — tahunan, 5 tahun terakhir

16
Metrik 2025-12-312024-12-312023-12-312022-12-312021-12-31
Pendapatan $375M $316M $290M $329M $357M
Margin Kotor % 67.2% 66.1% 68.7% 68.7% 74.1%
Margin Operasi % 0.19% -3.1% -17.5% -40.3% -38.7%
Laba Bersih $423.0K $-7M $-62M $-107M $-141M

Pemilik institusional (13F) 11 pengaju · $1.9M total · Per tanggal 30 Juni 2026

17

Institusi yang melaporkan kepemilikan saham ini dalam SEC Form 13F triwulanan mereka. Hanya posisi panjang; satu pengaju dapat muncul dua kali untuk leg opsi terpisah. Kaki put/call offset yang besar biasanya mencerminkan pembuatan pasar atau inventaris yang dilindungi, bukan keyakinan arah.

Pemegang 11
Nilai yang dipegang $1.9M
Posisi baru 1
Posisi yang keluar 0
Aktivitas institusional — Q2 2026 vs kuartal sebelumnya
Posisi baru Posisi yang keluar Meningkat Menurun Perubahan bersih saham
1 (-1 vs Kuartal sebelumnya) 0 (-3 vs Kuartal sebelumnya) 2 (0 vs Kuartal sebelumnya) 2 (-1 vs Kuartal sebelumnya) +398

Dibandingkan dengan Q1 2026. Pengajuan Formulir 13F SEC jatuh tempo dalam waktu 45 hari setelah akhir kuartal ditambah kelonggaran singkat untuk pengaju terlambat — kuartal yang masih dalam jangka waktu tersebut dilewati demi pasangan terakhir yang dilaporkan sepenuhnya.

Institusi Nilai Saham % dari 13F yang dilacak Tipe
Fosun International Ltd $1.904.435 405.199 99,07% Saham
Larson Financial Group LLC $4.282 911 0,22% Saham
UBS Group AG $3.623 771 0,19% Saham
Arax Advisory Partners $3.107 661 0,16% Saham
SBI Securities Co., Ltd. $2.453 522 0,13% Saham
BNP PARIBAS FINANCIAL MARKETS $1.410 300 0,07% Saham
JONES FINANCIAL COMPANIES LLLP $1.365 310 0,07% Saham
MORGAN STANLEY $940 200 0,05% Saham
RHUMBLINE ADVISERS $705 150 0,04% Saham
TD Waterhouse Canada Inc. $42 10 0,00% Saham
CITIGROUP INC $5 1 0,00% Saham

Orang dalam perusahaan 4 orang dalam · 0 pejabat · 4 direktur

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Orang Dalam Peran Aktivitas terakhir Saham dimiliki Beli 12m Jual 12m Bersih 12m
Hon Sang Lee Direktur 24 Agu 2026 S 0 0 5 $-132.605
Peter Si Ngai Yeung Direktur 1 Agu 2026 M 52.270 0 0 $0
Kwok Hin Tang Direktur 1 Agu 2026 M 17.829 0 0 $0
John Koh Direktur 1 Agu 2026 M 48.320 0 0 $0

Orang dalam dari pengajuan SEC Form 3/4/5; bersih = hanya P/S pasar terbuka

JG Konsensus Analis Opini analis bullish dan bearish, target harga 12 bulan, potensi kenaikan

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peringkat · 9 analis BELI
3 33,3% Beli Kuat
5 55,6% Beli
1 11,1% Tahan
0 0,0% Jual
0 0,0% Jual Kuat

Perbandingan rekan (sub-industri GICS) Metrik utama vs rekan sektor

22

Dasar FY, harga per penutupan akhir tahun fiskal terakhir setiap perusahaan.

Ticker Kapitalisasi Pasar P/E Pendapatan YoY Margin Bersih ROE Margin Kotor
JG · · · 0.11% 0.63% 67.2%
CMCM · · · -22.4% -14.7% 72.5%
NCTY · -35.4 · -379.0% -154.4% 1.7%
AIOS · -0.0 · -4359.1% -209.0% 72.0%
HOLO · -0.7 · -12.4% -2.4% 21.3%
YXT · -0.9 · -46.7% -105.3% ·
NXTT $29M 0.2 545.3% 1232.6% 28.8% 15.1%

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26

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Sumber: SEC 20-F diajukan Mar 27, 2026