Boaz Bike LLC
- State Juristiction
- DE
- Date of Incorporation
- 2021-02-03
- CIK
- 1819713
- Legal Form
- Corporation
- Offering via Wefunder Portal LLC aka Wefunder
- As of 2020-07-31, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2020-12-02Costing 8% in cash and 0% in equity
- As of 2021-01-27, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2021-02-28Costing 8% in cash and 0% in equity
- As of 2021-04-21, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-05-17, raising $125,000.00-$1,070,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-08-13, raising $125,000.00-$3,000,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2022-02-22, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-04-29Costing 13% in cash and 2% in equity
- As of 2022-04-26, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-06-28Costing 13% in cash and 2% in equity
- As of 2022-06-23, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-07-28Costing 13% in cash and 2% in equity
- As of 2022-11-01, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-01-30Costing 9% in cash and 3% in equity
- As of 2023-01-27, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-03-01Costing 9% in cash and 3% in equity
Filing date 2020-07-31 2021-01-27 2021-04-21 2021-05-17 2021-08-13 2022-02-22 2022-04-26 Current employees 7 7 7 19 19 30 30 Act received most recent fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Cash equi most recent fiscal year $0.00 $2,167.86 $12,221.00 $12,221.00 $24,899.00 $24,899.00 $106,767.00 Cash equi prior fiscal year $0.00 $0.00 $2,167.86 $2,167.00 $16,257.00 $16,257.00 $24,899.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 $13,791.00 $30,672.00 $30,672.00 $223,799.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 $0.00 $19,175.00 $19,175.00 $30,672.00 Long term debt most recent fiscal year $0.00 $337,500.00 $377,000.00 $377,000.00 $549,602.00 $549,602.00 $673,367.00 Long term debt prior fiscal year $0.00 $0.00 $337,500.00 $337,500.00 $290,414.00 $290,414.00 $424,229.00 Net income most recent fiscal year -$291,057.00 -$345,144.88 -$112,063.77 -$112,063.00 -$32,245.00 -$32,245.00 $97,031.00 Net income prior fiscal year $0.00 $0.00 -$345,144.88 -$345,144.00 $11,650.00 $11,650.00 -$32,245.00 Revenue most recent fiscal year $36,466.00 $36,466.00 $130,979.00 $130,979.00 $130,979.00 $130,979.00 $576,970.00 Revenue prior fiscal year $0.00 $0.00 $36,466.00 $36,466.00 $113,661.00 $113,661.00 $130,979.00 Short term debt most recent fiscal year $75,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Short term debt prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Tax paid most recent fiscal year $18,000.00 $18,000.00 $1,862.36 $1,862.00 $1,862.00 $0.00 $761.00 Tax paid prior fiscal year $0.00 $0.00 $18,000.00 $18,000.00 $18,000.00 $0.00 $0.00 Total asset most recent fiscal year $56,943.00 $151,867.86 $410,950.00 $410,950.00 $529,007.00 $529,007.00 $798,455.00 Total asset prior fiscal year $0.00 $0.00 $151,867.86 $151,867.00 $302,064.00 $302,064.00 $309,911.00 - Offering via StartEngine Capital LLC aka StartEngine
- As of 2020-07-31, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2020-12-02Costing 8% in cash and 0% in equity
- As of 2021-01-27, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2021-02-28Costing 8% in cash and 0% in equity
- As of 2021-04-21, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-05-17, raising $125,000.00-$1,070,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-08-13, raising $125,000.00-$3,000,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2022-02-22, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-04-29Costing 13% in cash and 2% in equity
- As of 2022-04-26, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-06-28Costing 13% in cash and 2% in equity
- As of 2022-06-23, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-07-28Costing 13% in cash and 2% in equity
- As of 2022-11-01, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-01-30Costing 9% in cash and 3% in equity
- As of 2023-01-27, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-03-01Costing 9% in cash and 3% in equity
Filing date 2020-07-31 2021-01-27 2021-04-21 2021-05-17 2021-08-13 2022-02-22 2022-04-26 Current employees 7 7 7 19 19 30 30 Act received most recent fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Cash equi most recent fiscal year $0.00 $2,167.86 $12,221.00 $12,221.00 $24,899.00 $24,899.00 $106,767.00 Cash equi prior fiscal year $0.00 $0.00 $2,167.86 $2,167.00 $16,257.00 $16,257.00 $24,899.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 $13,791.00 $30,672.00 $30,672.00 $223,799.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 $0.00 $19,175.00 $19,175.00 $30,672.00 Long term debt most recent fiscal year $0.00 $337,500.00 $377,000.00 $377,000.00 $549,602.00 $549,602.00 $673,367.00 Long term debt prior fiscal year $0.00 $0.00 $337,500.00 $337,500.00 $290,414.00 $290,414.00 $424,229.00 Net income most recent fiscal year -$291,057.00 -$345,144.88 -$112,063.77 -$112,063.00 -$32,245.00 -$32,245.00 $97,031.00 Net income prior fiscal year $0.00 $0.00 -$345,144.88 -$345,144.00 $11,650.00 $11,650.00 -$32,245.00 Revenue most recent fiscal year $36,466.00 $36,466.00 $130,979.00 $130,979.00 $130,979.00 $130,979.00 $576,970.00 Revenue prior fiscal year $0.00 $0.00 $36,466.00 $36,466.00 $113,661.00 $113,661.00 $130,979.00 Short term debt most recent fiscal year $75,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Short term debt prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Tax paid most recent fiscal year $18,000.00 $18,000.00 $1,862.36 $1,862.00 $1,862.00 $0.00 $761.00 Tax paid prior fiscal year $0.00 $0.00 $18,000.00 $18,000.00 $18,000.00 $0.00 $0.00 Total asset most recent fiscal year $56,943.00 $151,867.86 $410,950.00 $410,950.00 $529,007.00 $529,007.00 $798,455.00 Total asset prior fiscal year $0.00 $0.00 $151,867.86 $151,867.00 $302,064.00 $302,064.00 $309,911.00 - Offering via StartEngine Capital LLC aka StartEngine
- As of 2020-07-31, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2020-12-02Costing 8% in cash and 0% in equity
- As of 2021-01-27, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2021-02-28Costing 8% in cash and 0% in equity
- As of 2021-04-21, raising $125,000.00-$1,070,000.00 via 125,000+ of Convertible Note at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-05-17, raising $125,000.00-$1,070,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2021-08-13, raising $125,000.00-$3,000,000.00 via 125,000+ of Simple Agreement for Future Equity (SAFE) at $1.00 by 2022-04-30Costing 8% in cash and 0% in equity
- As of 2022-02-22, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-04-29Costing 13% in cash and 2% in equity
- As of 2022-04-26, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-06-28Costing 13% in cash and 2% in equity
- As of 2022-06-23, raising $10,000.00-$3,783,715.00 via 2,000+ of Common Stock at $5.00 by 2022-07-28Costing 13% in cash and 2% in equity
- As of 2022-11-01, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-01-30Costing 9% in cash and 3% in equity
- As of 2023-01-27, raising $9,998.76-$3,799,996.34 via 5,154+ of Common Stock at $1.94 by 2023-03-01Costing 9% in cash and 3% in equity
Filing date 2020-07-31 2021-01-27 2021-04-21 2021-05-17 2021-08-13 2022-02-22 2022-04-26 Current employees 7 7 7 19 19 30 30 Act received most recent fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Cash equi most recent fiscal year $0.00 $2,167.86 $12,221.00 $12,221.00 $24,899.00 $24,899.00 $106,767.00 Cash equi prior fiscal year $0.00 $0.00 $2,167.86 $2,167.00 $16,257.00 $16,257.00 $24,899.00 Cost goods sold most recent fiscal year $0.00 $0.00 $0.00 $13,791.00 $30,672.00 $30,672.00 $223,799.00 Cost goods sold prior fiscal year $0.00 $0.00 $0.00 $0.00 $19,175.00 $19,175.00 $30,672.00 Long term debt most recent fiscal year $0.00 $337,500.00 $377,000.00 $377,000.00 $549,602.00 $549,602.00 $673,367.00 Long term debt prior fiscal year $0.00 $0.00 $337,500.00 $337,500.00 $290,414.00 $290,414.00 $424,229.00 Net income most recent fiscal year -$291,057.00 -$345,144.88 -$112,063.77 -$112,063.00 -$32,245.00 -$32,245.00 $97,031.00 Net income prior fiscal year $0.00 $0.00 -$345,144.88 -$345,144.00 $11,650.00 $11,650.00 -$32,245.00 Revenue most recent fiscal year $36,466.00 $36,466.00 $130,979.00 $130,979.00 $130,979.00 $130,979.00 $576,970.00 Revenue prior fiscal year $0.00 $0.00 $36,466.00 $36,466.00 $113,661.00 $113,661.00 $130,979.00 Short term debt most recent fiscal year $75,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Short term debt prior fiscal year $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Tax paid most recent fiscal year $18,000.00 $18,000.00 $1,862.36 $1,862.00 $1,862.00 $0.00 $761.00 Tax paid prior fiscal year $0.00 $0.00 $18,000.00 $18,000.00 $18,000.00 $0.00 $0.00 Total asset most recent fiscal year $56,943.00 $151,867.86 $410,950.00 $410,950.00 $529,007.00 $529,007.00 $798,455.00 Total asset prior fiscal year $0.00 $0.00 $151,867.86 $151,867.00 $302,064.00 $302,064.00 $309,911.00