+998 71 203-00-50        Uzbekistan, Tashkent. Istiklal str. 29, 100017
ГОДОВОЙ ОТЧЕТ ЭМИТЕНТА ПО ИТОГАМ 2024 ГОДА
Дата раскрытия: 11.07.2025   
The body of the issuer who took the decision Общее собрание акционеров
Дата утверждения отчета 30.06.2025
1 NAME OF THE ISSUER:
Full "CLICK" aksiyadorlik jamiyati
Short: "CLICK" AJ
Name of stock exchange ticker: CLIK
2 CORPORATE NEWS
Location: Toshkent shahri, Mirzo Ulug'bek tumani, Darxon MFY, Salor bo`yi ko`chasi, 35A-uy
Postal address: 100052 Toshkent shahri, Mirzo Ulug'bek tumani, Darxon MFY, Salor bo`yi ko`chasi, 35A-uy
E-mail address: info@click.uz
Official Website: www.click.uz
3 БАНКОВСКИЕ РЕКВИЗИТЫ
Наименование обслуживающего банка: АКБ «Asia Alliance Bank » РОБУ Шайхантохур
Current account: 2020 8000 8049 4271 3001
MFI: 01095
4 РЕГИСТРАЦИОННЫЕ И ИДЕНТИФИКАЦИОННЫЕ НОМЕРА
присвоенные регистрирующим органом: Хокимият района (города)
присвоенные органом государственной налоговой службы (ИНН): 302134733
присвоенные органами государственной статистики
КФС: 153
ОКПО: 23814159
ОКОНХ:
СОАТО: 1726269
Международные стандарты финансовой отчётности (МСФО) Скачать отчет
5Показатели финансово-экономического состояния эмитента
Profitability of the authorized capital, coefficient29,51
Coverage of total solvency, coefficient1,01
Ratio of absolute liquidity, coefficient0,76
Ratio of own and attracted funds, coefficient4,06
The ratio of the issuer's own and borrowed funds:0,25
6Объем начисленных доходов по ценным бумагам в отчетном году
On ordinary stocks (in soums per stock)21200
On ordinary stocks (in percentage to the face value of one stock)2120
On priviliged shares (in soums per stock:)
On priviliged shares (in percentage to the face value of one stock)
On other securities (in soums per share)
On other securities (in percentage to the face value of one share)
7Имеющаяся задолженность по выплате доходов по ценным бумагам
On ordinary stocks (according to the results of the reporting period (in soums))
On ordinary stocks (according to the results of previous periods (in soums))
On priviliged shares (according to the results of the reporting period (in soums))
On priviliged shares (according to the results of previous periods (in soums))
On other securities (according to the results of the reporting period (in soums))
On other securities (according to the results of the previous period (in soums))
9Основные сведения о дополнительно выпущенных ценных бумагах (заполняется, если в отчетном периоде осуществлялся выпуск ценных бумаг)
Орган, принявший решение о выпуске
Дата и номер государственной регистрации
Количество ценных бумаг (шт.) и объем выпуска (сум)
Способ размещения ценных бумаг
Сроки размещения
Дата начала
Дата окончания
10Information on the important facts for the year
Наименование существенного факта№ существенного фактаДата наступления существенного фактаДата публикации существенного факта
1Выпуск ценных бумаг2528.06.202411.07.2024
2Рекомендация (предложение) Наблюдательного совета по распределению чистой прибыли (дивиденда)4116.08.202419.08.2024
3Решения, принятые высшим органом управления эмитента, в том числе решения наблюдательного совета хозяйственных обществ о выпуске акций, корпоративных облигаций и иных ценных бумаг606.09.202410.09.2024
4Начисление доходов по ценным бумагам3206.09.202410.09.2024
5Рекомендация (предложение) Наблюдательного совета по распределению чистой прибыли (дивиденда)4109.09.202412.09.2024
6Решения, принятые высшим органом управления эмитента, в том числе решения наблюдательного совета хозяйственных обществ о выпуске акций, корпоративных облигаций и иных ценных бумаг630.09.202402.10.2024
7Начисление доходов по ценным бумагам3230.09.202403.10.2024
8Дивиденды, выплаченные акционерам эмитентом4206.10.202408.10.2024
9Рекомендация (предложение) Наблюдательного совета по распределению чистой прибыли (дивиденда)4125.11.202426.11.2024
10Решения, принятые высшим органом управления эмитента, в том числе решения наблюдательного совета хозяйственных обществ о выпуске акций, корпоративных облигаций и иных ценных бумаг616.12.202417.12.2024
11Начисление доходов по ценным бумагам3216.12.202417.12.2024
11Balance sheet
Наименование показателяКод стр.На начало отчетного периодаНа конец отчетного периода
ASSETS
I. Long-term assets
Non-Current Assets: 000
Initial (replacement) value (01,03)01046912139.0058576566.00
Depreciation amount (0200)01119080246.0028447117.00
Residual (book) value (lines 010-011)01227831893.0030129449.00
Intangible assets:000
Initial value (0400)02036252610.0072790395.00
Depreciation amount (0500)0216616142.0011931981.00
Residual value (carrying amount) (020-021)02229636468.0060858414.00
Long-term investments, total (lines: 040+050+060+070+080), including:030
Securities (0610)040
Investments in subsidiaries (0620)050
Investments in associated companies (0630)060
Investments in enterprises with foreign capital (0640)070
Other long-term investments (0690)080
Equipment for installation (0700)090
Capital investments (0800)1001534970.00106009.00
Long-term receivables (0910, 0920, 0930, 0940)110
Out of which,over due receivables111
Long-term deferred expenses (0950, 0960, 0990)120
TOTAL ON SECTION I (012+022+030+090+100+110+120)13059003331.0091093872.00
II. CURRENT ASSETS
Inventories, total (lines 150+160+170+180), including:1408016696.008749306.00
Inventories in stock (1000,1100,1500,1600)1508016696.008749306.00
Work in progress (2000, 2100, 2300, 2700)160
Finished products (2800)170
Goods (2900 less 2980)180
Future expenses (3100)1901449518.002147338.00
Deferred expenses (3200)200
Receivables, total (lines 220+240+250+260+270+280+290+300+310)21055569025.0070125704.00
out of which: receivables in arrears211
Receivables due from buyers and customers (4000 less 4900)22049960011.0056571028.00
Receivables due from subdivisions (4110)230
Receivables due from subsidiaries and associates (4120)240
Advances to employees (4200)25048156.00234922.00
Advances to suppliers and contractors (4300)2605232145.0013030647.00
Advances for taxes and levies on budget (4400)270328713.00289107.00
Advances to target funds and on insurance (4500)280
Receivables due from founders to authorized capital (4600)290
Receivables due from personnel on other operations (4700)300
Other account receivables (4800)310
Cash, total (lines 330+340+350+360), including:320131247918.00256521801.00
Cash on hand (5000)330
Cash on settlement account (5100)3401266563.0097252.00
Cash in foreign currency (5200)3508671.0014048.00
Other cash and cash equivalents (5500, 5800, 5700)360129972684.00256410501.00
Short-term investments (5800)370636163.00243984.00
Other current assets (5900)3805001317.004600000.00
TOTAL ON SECTION II (lines 140+190+200+210+320+370+380)390201920637.00342388133.00
Total on assets of balance (130+390)400260923968.00433482005.00
LIABILITIES
I. Sources of own funds
Authorized capital (8300)4105000000.0010000000.00
Additional paid-in capital (8400)420
Reserve capital (8500)430813560.00813560.00
Treasury stock (8600)440
Retained earnings (uncovered loss) (8700)45067813222.0074902921.00
Special-purpose receipts (8800)460
Reserves for future expenses and payments (8900)470
TOTAL ON SECTION I (lines 410+420+430+440+450+460+470)48073626782.0085716481.00
II. LIABILITIES
Long-term liabilities, total (lines 500+520+530+540+550+560+570+580+590)49012479621.009074782.00
including: long-termaccounts payable (lines 500+520+540+580+590)49112479621.009074782.00
Out of which: Long term accounts payable492
Long-term accounts due to suppliers and contractors (7000)500
Long-term accounts due to subdivisions (7110)510
Long term accounts due to subsidiaries and associates (7120)520
Long-term deferred income (7210, 7220, 7230)530
Long-term deferred tax liabilities and other mandatory payments (7240)540
Other long-term deferred liabilities (7250, 7290)550
Advances from buyers and customers (7300)560
Long-term bank loans (7810)570
Long-term borrowings (7820, 7830, 7840)580
Other long-term accounts payable (7900)59012479621.009074782.00
Current liabilities, total (lines 610+630+640+650+660+670+680+690+700+710+720+ +730+740+750+760)600174817565.00338690742.00
including: current accounts payable (lines 610+630+650+670+6 80+6 90+700+710+720+760)601174817565.00338690742.00
Out of which: accounts payable – in arrears602
Due from suppliers and contractors (6000)61093082592.00185340257.00
Due to subdivisions (6110)620
Due to subsidiaries and associates (6120)630
Deferred income (6210, 6220, 6230)640
Deferred liabilities for taxes and mandatory payments (6240)650
Other deferred liabilities (6250, 6290)660
Advances received (6300)6702479659.002241007.00
Due to budget (6400)6801389880.002484175.00
Due to insurance (6510)690
Due to state target funds (6520)700
Due to founders (6600)71055460190.00124600000.00
Salaries payable (6700)72019812366.0017905006.00
Short-term bank loans (6810)730
Short-term borrowings (6820, 6830, 6840)740
Current portion of long-term liabilities (6950)750
Other accounts payable (6900 except 6950)7602592878.006120297.00
Total on section II (lines 490+600)770187297186.00347765524.00
Total on liabilities of balance sheet (lines 480+770)780260923968.00433482005.00
12Report on financial results
Наименование показателяКод стр.За соответствующий период прошлого годаЗа отчетный период
доходы (прибыль)расходы (убытки)доходы (прибыль)расходы (убытки)
Net revenue from sales of products (goods, works and services)010361650536.00 516384633.00
Cost of goods sold (goods, works and services)020
Gross profit (loss) from sales of production (goods, works and services) (lines 010-020)030361650536.00 516384633.00
Period expenditures, total (lines 050+060+070+080), including:040 164816008.00 229264354.00
Costs to Sell050 32524333.00 59794132.00
Administrative expenses060 132291675.00 168135643.00
Other operating expenses070 1334579.00
Expenses of the reporting period excluded from the tax base in the future080
Other income from operating activities0902428824.00 31285.00
Income (loss) from main activity (lines 0З0-040+090)100199263352.00 287151564.00
Earnings from financial activities, total (lines 120+130+140+150+160), including:1109644621.00 12451124.00
Dividend income120
Interest income1309301864.00 12143779.00
Income from long-term lease140
Income from foreign exchange rate differences150302066.00 272187.00
Other income from financing activities16040691.00 35158.00
Expenses from financial operations (lines 180+190+200+210), including:170 2872446.00 3675883.00
Expenses in the form of interest180
Expenses in the form of interest on long-term lease190 2347463.00 3261294.00
Loss from foreign exchange rate differences200 506155.00 403127.00
Other expenses from financial operations210 18828.00 11462.00
Income (loss) from general operations (lines 100+110-170)220206035527.00 295926805.00
Extraordinary profits and losses230
Profit (loss) before income tax (lines 220+/-230)240206035527.00 295926805.00
Income tax250 815554.00 837106.00
Other taxes and fees on profits260
Net profit (loss) of the reporting period (lines 240-250-260)270205219973.00 295089699.00
13Information on audit report
Наименование аудиторской организацииДата выдачи лицензииНомер лицензииВид заключенияДата выдачи аудиторского заключенияНомер аудиторского заключенияФ.И.О. аудитора (аудиторов), проводившего проверкуКопия аудиторского заключения
АО ООО "KPMG Audit" Положительное2025-06-05 Саидов С.К,Загрузить

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