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Company Encyclopedia
name
VIGONVITA-B
02630.HK
Vigonvita Life Sciences Co., Ltd., a commercial-stage biopharmaceutical company, engages in the discovery, development, and commercialization of small molecule drugs for neuropsychiatry, reproductive health, and viral infection therapeutic areas. Its lead products include LV232, a first-in-class dual-target serotonin transporter/5-hydroxytryptamine 3 receptor modulators, which is in Phase II of clinical trial for the treatment of depressive disorder; and TPN171, a type-5 phosphodiesterase inhibitor completed Phase III clinical trial for the treatment of erectile dysfunction. The company also develops VV116, a RdRp inhibitor completed a Phase II clinical trial for the treatment of respiratory syncytial virus infection; TPN102, a voltage-gated sodium and calcium channels inhibitor, which is in Phase I clinical trial for the treatment epilepsy; VV119, a multi-target serotonin-dopamine activity modulator, which is in Phase I clinical trial for the treatment of psychiatric disorders and schizophrenia; VV261, an antiviral nucleoside prodrug, which is in Phase I clinical trial for RNA viruses, including coronavirus, influenza virus, arenavirus, and RSV. In addition, its preclinical products include VV147, a small molecule drug candidate that regulates the glutamatergic system for the treatment of depression; VV913, a small molecule with a novel structure designed for regulating the monoaminergic system to treat premature ejaculation; and VV207, an orally administered nucleoside prodrug with a novel structure, exhibiting broad-spectrum antiviral activity against DNA viruses.
1.239 T
02630.HKMarket value -Rank by Market Cap -/-

Financial Score

20/05/2026 Update
C
PharmaceuticalsIndustry
Industry Ranking22/53
Industry medianC
Industry averageC
Score Analysis
Peer Comparison
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    Rating
  • Profit ScoreD
    • ROE-119.42%E
    • Profit Margin-348.42%E
    • Gross Margin79.02%A
  • Growth ScoreA
    • Revenue YoY771.24%A
    • Net Profit YoY-69.89%E
    • Total Assets YoY85.65%A
    • Net Assets YoY224.45%A
  • Cash ScoreB
    • Cash Flow Margin27.18%D
    • OCF YoY771.24%A
  • Operating ScoreE
    • Turnover0.1E
  • Debt ScoreD
    • Gearing Ratio66.21%D

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