Gryphon Online Safety, Inc.

CIK: 1724714DEIncorporated: 2014-01-30

Current Offering

$25,000
Target Amount
$900,000
Maximum Amount
2018-03-23
Deadline

Security Details

Type: Debt
Price per share: $0.00
Shares offered: 0+

Offering Costs

Cash commission: 8%
7.5% of the amount raised
Equity compensation: 5%
SI Securities will receive equity compensation equal to 5.00% of the number of securities sold.

Financial Reports

Offering via

Offering History

As of 2018-01-16
Raising $25,000 -$900,000 via 0+ shares of debt at $0.00 per share
Deadline: 2018-03-23
As of 2022-05-17
Raising $25,000 -$3,500,000 via 25,000+ shares of crowd SAFE (Simple Agreement for Future Equity) at $1.00 per share
Deadline: 2023-04-30
As of 2022-12-02
Raising $150,000 -$3,000,000 via 150,000+ shares of simple Agreement for Future Equity (SAFE) at $1.00 per share
Deadline: 2023-04-30
Filing date2018-01-162022-05-172022-12-02
Current employees5323
Act received most recent fiscal year$0.00$0.00$0.00
Act received prior fiscal year$0.00$14,131$14,131
Cash equi most recent fiscal year$156,683$1,376,665$1,376,665
Cash equi prior fiscal year$8,260$865,829$865,829
Cost goods sold most recent fiscal year$0.00$1,630,509$1,630,509
Cost goods sold prior fiscal year$0.00$1,886,714$1,886,714
Long term debt most recent fiscal year$214,000$158,152$158,152
Long term debt prior fiscal year$0.00$152,527$152,527
Net income most recent fiscal year-$157,811.00-$2,267,459.00-$2,267,459.00
Net income prior fiscal year-$1,014.00-$1,545,501.00-$1,545,501.00
Revenue most recent fiscal year$0.00$2,770,738$2,770,738
Revenue prior fiscal year$0.00$3,285,938$3,285,938
Short term debt most recent fiscal year$72,545$1,051,511$1,051,511
Short term debt prior fiscal year$0.00$1,879,053$1,879,053
Tax paid most recent fiscal year$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00
Total asset most recent fiscal year$197,422$5,061,484$5,061,484
Total asset prior fiscal year$8,688$3,081,998$3,081,998

Financial Reports

Offering History

As of 2018-01-16
Raising $25,000 -$900,000 via 0+ shares of debt at $0.00 per share
Deadline: 2018-03-23
As of 2022-05-17
Raising $25,000 -$3,500,000 via 25,000+ shares of crowd SAFE (Simple Agreement for Future Equity) at $1.00 per share
Deadline: 2023-04-30
As of 2022-12-02
Raising $150,000 -$3,000,000 via 150,000+ shares of simple Agreement for Future Equity (SAFE) at $1.00 per share
Deadline: 2023-04-30
Filing date2018-01-162022-05-172022-12-02
Current employees5323
Act received most recent fiscal year$0.00$0.00$0.00
Act received prior fiscal year$0.00$14,131$14,131
Cash equi most recent fiscal year$156,683$1,376,665$1,376,665
Cash equi prior fiscal year$8,260$865,829$865,829
Cost goods sold most recent fiscal year$0.00$1,630,509$1,630,509
Cost goods sold prior fiscal year$0.00$1,886,714$1,886,714
Long term debt most recent fiscal year$214,000$158,152$158,152
Long term debt prior fiscal year$0.00$152,527$152,527
Net income most recent fiscal year-$157,811.00-$2,267,459.00-$2,267,459.00
Net income prior fiscal year-$1,014.00-$1,545,501.00-$1,545,501.00
Revenue most recent fiscal year$0.00$2,770,738$2,770,738
Revenue prior fiscal year$0.00$3,285,938$3,285,938
Short term debt most recent fiscal year$72,545$1,051,511$1,051,511
Short term debt prior fiscal year$0.00$1,879,053$1,879,053
Tax paid most recent fiscal year$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00
Total asset most recent fiscal year$197,422$5,061,484$5,061,484
Total asset prior fiscal year$8,688$3,081,998$3,081,998

Financial Reports

Offering History

As of 2018-01-16
Raising $25,000 -$900,000 via 0+ shares of debt at $0.00 per share
Deadline: 2018-03-23
As of 2022-05-17
Raising $25,000 -$3,500,000 via 25,000+ shares of crowd SAFE (Simple Agreement for Future Equity) at $1.00 per share
Deadline: 2023-04-30
As of 2022-12-02
Raising $150,000 -$3,000,000 via 150,000+ shares of simple Agreement for Future Equity (SAFE) at $1.00 per share
Deadline: 2023-04-30
Filing date2018-01-162022-05-172022-12-02
Current employees5323
Act received most recent fiscal year$0.00$0.00$0.00
Act received prior fiscal year$0.00$14,131$14,131
Cash equi most recent fiscal year$156,683$1,376,665$1,376,665
Cash equi prior fiscal year$8,260$865,829$865,829
Cost goods sold most recent fiscal year$0.00$1,630,509$1,630,509
Cost goods sold prior fiscal year$0.00$1,886,714$1,886,714
Long term debt most recent fiscal year$214,000$158,152$158,152
Long term debt prior fiscal year$0.00$152,527$152,527
Net income most recent fiscal year-$157,811.00-$2,267,459.00-$2,267,459.00
Net income prior fiscal year-$1,014.00-$1,545,501.00-$1,545,501.00
Revenue most recent fiscal year$0.00$2,770,738$2,770,738
Revenue prior fiscal year$0.00$3,285,938$3,285,938
Short term debt most recent fiscal year$72,545$1,051,511$1,051,511
Short term debt prior fiscal year$0.00$1,879,053$1,879,053
Tax paid most recent fiscal year$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00
Total asset most recent fiscal year$197,422$5,061,484$5,061,484
Total asset prior fiscal year$8,688$3,081,998$3,081,998

Company Information

Corporation
DE
2014-01-30

Latest Metrics

Employees5
Total Assets$197,422
Cash on Hand$156,683
Revenues$0.00
Net Income-$157,811.00

Crowdfunding Portals

This company is raising funds through this portal