NanoVMs, Inc.
- State Juristiction
- DE
- Date of Incorporation
- 2015-08-05
- CIK
- 1805056
- Legal Form
- Corporation
- Offering via OpenDeal Portal LLC aka Republic
- As of 2020-04-23, raising $25,000.00-$1,070,000.00 via 25,000+ of crowd SAFE units of SAFE (Simple Agreement for Future Equity) at $1.00 by 2020-08-15Costing 6% in cash and 2% in equity
- As of 2021-03-24, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-09-19Costing 7% in cash and 2% in equity
- As of 2021-09-17, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-12-18Costing 7% in cash and 2% in equity
- As of 2021-12-16, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 7% in cash and 2% in equity
- As of 2022-01-07, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 13% in cash and 2% in equity
- As of 2022-02-16, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-03-24Costing 13% in cash and 2% in equity
- As of 2022-05-13, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2022-05-22Costing 3% in cash and 1% in equity
- As of 2022-05-16, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2023-05-01Costing 3% in cash and 1% in equity
Filing date 2020-04-23 2021-03-24 2022-05-13 Current employees 3 3 4 Act received most recent fiscal year $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 Cash equi most recent fiscal year $24,729.00 $382,744.00 $208,031.00 Cash equi prior fiscal year $671,840.00 $24,729.00 $382,744.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 Long term debt most recent fiscal year $0.00 $968,399.00 $442,897.00 Long term debt prior fiscal year $0.00 $0.00 $0.00 Net income most recent fiscal year -$740,029.00 -$439,103.00 -$772,733.00 Net income prior fiscal year -$755,238.00 -$740,029.00 -$439,103.00 Revenue most recent fiscal year $32,100.00 $8,983.00 $14,554.00 Revenue prior fiscal year $0.00 $32,100.00 $8,983.00 Short term debt most recent fiscal year $65,377.00 $729.00 $0.00 Short term debt prior fiscal year $242.00 $65,377.00 $0.00 Tax paid most recent fiscal year $0.00 $19,282.00 -$8,674.28 Tax paid prior fiscal year $0.00 $14,575.67 $963.77 Total asset most recent fiscal year $52,593.00 $426,619.00 $261,184.00 Total asset prior fiscal year $718,615.00 $52,539.00 $426,619.00 - Offering via StartEngine Capital LLC aka StartEngine
- As of 2020-04-23, raising $25,000.00-$1,070,000.00 via 25,000+ of crowd SAFE units of SAFE (Simple Agreement for Future Equity) at $1.00 by 2020-08-15Costing 6% in cash and 2% in equity
- As of 2021-03-24, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-09-19Costing 7% in cash and 2% in equity
- As of 2021-09-17, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-12-18Costing 7% in cash and 2% in equity
- As of 2021-12-16, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 7% in cash and 2% in equity
- As of 2022-01-07, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 13% in cash and 2% in equity
- As of 2022-02-16, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-03-24Costing 13% in cash and 2% in equity
- As of 2022-05-13, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2022-05-22Costing 3% in cash and 1% in equity
- As of 2022-05-16, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2023-05-01Costing 3% in cash and 1% in equity
Filing date 2020-04-23 2021-03-24 2022-05-13 Current employees 3 3 4 Act received most recent fiscal year $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 Cash equi most recent fiscal year $24,729.00 $382,744.00 $208,031.00 Cash equi prior fiscal year $671,840.00 $24,729.00 $382,744.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 Long term debt most recent fiscal year $0.00 $968,399.00 $442,897.00 Long term debt prior fiscal year $0.00 $0.00 $0.00 Net income most recent fiscal year -$740,029.00 -$439,103.00 -$772,733.00 Net income prior fiscal year -$755,238.00 -$740,029.00 -$439,103.00 Revenue most recent fiscal year $32,100.00 $8,983.00 $14,554.00 Revenue prior fiscal year $0.00 $32,100.00 $8,983.00 Short term debt most recent fiscal year $65,377.00 $729.00 $0.00 Short term debt prior fiscal year $242.00 $65,377.00 $0.00 Tax paid most recent fiscal year $0.00 $19,282.00 -$8,674.28 Tax paid prior fiscal year $0.00 $14,575.67 $963.77 Total asset most recent fiscal year $52,593.00 $426,619.00 $261,184.00 Total asset prior fiscal year $718,615.00 $52,539.00 $426,619.00 - As of 2020-04-23, raising $25,000.00-$1,070,000.00 via 25,000+ of crowd SAFE units of SAFE (Simple Agreement for Future Equity) at $1.00 by 2020-08-15Costing 6% in cash and 2% in equity
- As of 2021-03-24, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-09-19Costing 7% in cash and 2% in equity
- As of 2021-09-17, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2021-12-18Costing 7% in cash and 2% in equity
- As of 2021-12-16, raising $10,000.00-$1,070,000.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 7% in cash and 2% in equity
- As of 2022-01-07, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-02-16Costing 13% in cash and 2% in equity
- As of 2022-02-16, raising $10,000.00-$4,031,600.00 via 10,000+ of convertible Note at $0.00 by 2022-03-24Costing 13% in cash and 2% in equity
- As of 2022-05-13, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2022-05-22Costing 3% in cash and 1% in equity
- As of 2022-05-16, raising $10,000.00-$4,624,000.00 via 10,000+ of units of Crowd SAFE (Simple Agreement for Future Equity) at $0.00 by 2023-05-01Costing 3% in cash and 1% in equity
Filing date 2020-04-23 2021-03-24 2022-05-13 Current employees 3 3 4 Act received most recent fiscal year $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 Cash equi most recent fiscal year $24,729.00 $382,744.00 $208,031.00 Cash equi prior fiscal year $671,840.00 $24,729.00 $382,744.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 Long term debt most recent fiscal year $0.00 $968,399.00 $442,897.00 Long term debt prior fiscal year $0.00 $0.00 $0.00 Net income most recent fiscal year -$740,029.00 -$439,103.00 -$772,733.00 Net income prior fiscal year -$755,238.00 -$740,029.00 -$439,103.00 Revenue most recent fiscal year $32,100.00 $8,983.00 $14,554.00 Revenue prior fiscal year $0.00 $32,100.00 $8,983.00 Short term debt most recent fiscal year $65,377.00 $729.00 $0.00 Short term debt prior fiscal year $242.00 $65,377.00 $0.00 Tax paid most recent fiscal year $0.00 $19,282.00 -$8,674.28 Tax paid prior fiscal year $0.00 $14,575.67 $963.77 Total asset most recent fiscal year $52,593.00 $426,619.00 $261,184.00 Total asset prior fiscal year $718,615.00 $52,539.00 $426,619.00