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Company research

TJGC GROUP Ltd

CIK 1969928Updated Sep 27, 2026

Name history
CTRL GROUP Ltd · through Nov 7, 2025

TJGC price & chart

Provider market data

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About the company

We are an integrated marketing and advertising services provider in Hong Kong specializing in mobile games promotion for the local market. We provide services to mobile game developers, principally developers of mobile gaming applications or “apps” that gamers download from the developers’ websites and applicable mobile operating systems, such as Apple Store or Android Google Play Store. The market for specialized mobile game advertising in Hong Kong is occupied by a few market players who compete with one another. Based on our knowledge and understanding of our market position, we consider ourselves a major player in the industry with a significant market share. Our prominent market share and proven track record are indicative of our audience reach and engagement, as well as our relevance to advertisers in our local markets.

424B4 · 2026-04-16 · 0001213900-26-044373

Company description from the cited filing.

Financials

FY 2026 · USD
Revenue3,662,954USD · FY 2026
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

Net income-2,997,969USD · FY 2026
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

Cash— · FY 2026
Operating income-2,859,817USD · FY 2026
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

Diluted EPS-0.59USD per share · FY 2026
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

Some figures are unavailable for this reporting year.

balance sheet · annual statements
Line itemFY 2026FY 2025
ASSETS
AssetsUSD4,471,341
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

5,346,958
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Property, Plant and Equipment, NetUSD15,629
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

24,749
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Current assets:
Accounts Receivable, after Allowance for Credit Loss, CurrentUSD536,882
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

328,577
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Assets, CurrentUSD3,087,777
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

4,252,227
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Prepaid Expense and Other Assets, CurrentUSD2,045,150
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

741,858
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Operating Lease, Right-of-Use AssetUSD67,935
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

17,269
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

LIABILITIES AND EQUITY
LiabilitiesUSD3,682,094
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

1,531,784
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Stockholders’ equity:
Common Stock, Value, IssuedUSD9,885
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

9,962
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Retained Earnings (Accumulated Deficit)USD-6,086,951
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

-3,112,845
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Accumulated Other Comprehensive Income (Loss), Net of TaxUSD-239
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

-1,540
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Stockholders' Equity Attributable to ParentUSD789,247
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

3,815,174
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Additional Paid in Capital, Common StockUSD6,866,552
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

6,919,597
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Liabilities and EquityUSD4,471,341
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

5,346,958
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Current liabilities:
Liabilities, CurrentUSD2,863,638
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

600,984
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Operating Lease, Liability, CurrentUSD50,696
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

17,269
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Accounts Payable, CurrentUSD213,470
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

165,433
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Operating Lease, Liability, NoncurrentUSD17,239
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

—
Deferred Income Tax Liabilities, NetUSD1,855
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

3,044
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Additional Financial Items
Accounts Receivable, after Allowance for Credit LossUSD536,882
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

328,577
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Accrued Liabilities, CurrentUSD14,991
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

112,814
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Dividends PayableHKD—0
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Long-term DebtUSD1,989,121
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

1,045,113
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Lines labelled “Derived” are calculated from reported figures.

cash flow · annual statements
Line itemFY 2026FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Changes in operating assets and liabilities:
Increase (Decrease) in Accounts ReceivableUSD194,211
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-346,525
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Increase (Decrease) in Accounts PayableUSD49,305
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-63,264
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Deferred Income Tax Expense (Benefit)USD-1,166
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-1,167
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Net Cash Provided by (Used in) Operating ActivitiesUSD-3,709,129
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-4,476,636
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Cash flows from investing activities:
Net Cash Provided by (Used in) Investing ActivitiesUSD-209,241
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

—
Payments to Acquire Property, Plant, and EquipmentUSD73,017
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

—
Cash flows from financing activities:
Net Cash Provided by (Used in) Financing ActivitiesUSD1,202,249
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

6,986,471
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate EffectUSD—2,509,835
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Cash, Cash Equivalents, Restricted Cash and Restricted Cash EquivalentsUSD330,946
Source

20-F · 2026-07-22 · 0001185185-26-003078

As of 2026-03-31

3,069,307
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Supplemental disclosure of cash flow information:
Income Taxes Paid, NetUSD78,692
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

84,915
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash EquivalentsUSD1,289
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-2,092
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Additional Financial Items
DepreciationUSD22,317
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

9,751
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Dividends PayableHKD—0
Source

20-F · 2025-08-15 · 0001213900-25-076877

As of 2025-03-31

Gain (Loss) on Disposition of AssetsUSD4,145
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

—
Gain (Loss) on Disposition of Property Plant EquipmentUSD4,145
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

—
General and Administrative ExpenseUSD3,492,086
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

2,872,988
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income (Loss) from Continuing Operations, Net of Tax, Attributable to ParentHKD-23,500,000
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-26,800,000
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income Tax Expense (Benefit)USD32,579
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

32,614
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

InterestExpenseNonoperatingUSD86,183
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

37,872
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Net Income (Loss) Attributable to ParentUSD-2,997,969
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-3,449,458
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Nonoperating Income (Expense)USD-105,573
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-28,749
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Operating Lease, ExpenseUSD52,041
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

52,443
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Other Nonoperating Income (Expense)USD52,835
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

2,285
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Revenue from Contract with Customer, Including Assessed TaxUSD3,662,954
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

3,916,777
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Lines labelled “Derived” are calculated from reported figures.

income statement · annual statements
Line itemFY 2026FY 2025
Total RevenueUSD3,662,954
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

3,916,777
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Cost of Goods and Services Sold——
Operating Income (Loss)USD-2,859,817
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-3,388,095
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Other Nonoperating Income (Expense)USD52,835
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

2,285
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income (Loss) from Continuing Operations before Income Taxes, Noncontrolling InterestUSD-2,965,390
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-3,416,844
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income Tax Expense (Benefit)USD32,579
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

32,614
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Net Income (Loss) Attributable to ParentUSD-2,997,969
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-3,449,458
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Earnings Per Share, BasicUSD per share-0.59
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-0.26
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Earnings Per Share, DilutedUSD per share-0.59
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-0.26
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Weighted Average Number of Shares Outstanding, Basicshares5,100,000
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

13,429,863
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Weighted Average Number of Shares Outstanding, Dilutedshares5,100,000
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

13,429,863
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Interest Expense (non-operating)USD86,183
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

37,872
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Additional Financial Items
Current Income Tax Expense (Benefit)USD33,745
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

33,781
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

General and Administrative ExpenseUSD3,492,086
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

2,872,988
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Gross ProfitUSD788,911
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

846,595
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income (Loss) Attributable to Parent, before TaxUSD-2,965,390
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-3,416,844
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Income (Loss) from Continuing Operations, Net of Tax, Attributable to ParentHKD-23,500,000
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-26,800,000
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Interest Expense, DebtHKD—294,462
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Interest Income, OtherUSD3,413
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

2,309
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Nonoperating Income (Expense)USD-105,573
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

-28,749
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Operating Lease, ExpenseUSD52,041
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

52,443
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Other IncomeUSD—6,838
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Research and Development ExpenseUSD550,000
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

—
Revenue from Contract with Customer, Including Assessed TaxUSD3,662,954
Source

20-F · 2026-07-22 · 0001185185-26-003078

2025-04-01 to 2026-03-31

3,916,777
Source

20-F · 2025-08-15 · 0001213900-25-076877

2024-04-01 to 2025-03-31

Lines labelled “Derived” are calculated from reported figures.

Offerings

Registration 333-294243

424B4 · 2026-04-16 · 0001213900-26-044373

Terms from the governing filing for this registration; not a claim that the offering is open today.

Gross proceeds
6000000.0
Net proceeds
5760000.0
Deal price
0.4
Shares
15000000
Offering price
$0.40
Ticker
TJGC

Filing attachments

tjgcex99-1.htm · 6-K · 2026-09-24

Exhibit 99.1 TJGC Group Limited Announces Share Repurchase Program HONG KONG, Sept. 24, 2026 (GLOBE NEWSWIRE) - TJGC Group Limited (NASDAQ: TJGC) (“TJGC” or the “Company”) today announced that its Board of Directors has authorised a share repurchase program for up to US$2,000,000 of the Company’s Class A ordinary shares. “The adoption of this share repurchase program reflects the Board’s confidence in the Company’s long-term strategy and growth prospects, as well as our commitment to a discip…

6-K · 2026-09-24 · 0001185185-26-004251

Read attachment ↗