Current Offering
$50,000
Target Amount
$1,070,000
Maximum Amount
2021-07-22
Deadline
Security Details
Type: SAFE Note (convertible security)
Price per share: $300.00
Shares offered: 3,556+
Offering Costs
Cash commission: 3%
3% of all sums raised in this offering, plus $10,000 fee to cover due diligence costs.
Equity compensation: 1%
Dalmore Group LLC will receive the company's SAFE Notes equal to 1% of the aggregate amount raised divided by the price of the SAFE Notes.
Financial Reports
Offering via FundMe
Offering History
As of 2021-01-22
Raising $50,000 -$1,070,000 via 3,556+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-07-22
As of 2021-03-01
Raising $50,000 -$1,070,000 via 3,556+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-08-18
As of 2021-05-19
Raising $50,000 -$524,000 via 166+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-11-30
| Filing date | 2021-01-22 | 2021-05-19 |
|---|---|---|
| Current employees | 5 | 6 |
| Act received most recent fiscal year | $0.00 | $3,239 |
| Act received prior fiscal year | $0.00 | $0.00 |
| Cash equi most recent fiscal year | $249,032 | $118,050 |
| Cash equi prior fiscal year | $649,760 | $249,032 |
| Cost goods sold most recent fiscal year | $6,880 | $41,192 |
| Cost goods sold prior fiscal year | $0.00 | $6,880 |
| Long term debt most recent fiscal year | $390,569 | $16,506 |
| Long term debt prior fiscal year | $63,693 | $390,569 |
| Net income most recent fiscal year | -$1,870,137.00 | -$1,395,501.00 |
| Net income prior fiscal year | -$881,792.00 | -$1,870,137.00 |
| Revenue most recent fiscal year | $17,697 | $278,132 |
| Revenue prior fiscal year | $0.00 | $17,697 |
| Short term debt most recent fiscal year | $337,482 | $2,376,361 |
| Short term debt prior fiscal year | $6,804 | $652,587 |
| Tax paid most recent fiscal year | $0.00 | $0.00 |
| Tax paid prior fiscal year | $0.00 | $0.00 |
| Total asset most recent fiscal year | $569,694 | $210,695 |
| Total asset prior fiscal year | $741,393 | $288,436 |
Financial Reports
Offering via FundMe
Offering History
As of 2021-01-22
Raising $50,000 -$1,070,000 via 3,556+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-07-22
As of 2021-03-01
Raising $50,000 -$1,070,000 via 3,556+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-08-18
As of 2021-05-19
Raising $50,000 -$524,000 via 166+ shares of sAFE Note (convertible security) at $300.00 per share
Deadline: 2021-11-30
| Filing date | 2021-01-22 | 2021-05-19 |
|---|---|---|
| Current employees | 5 | 6 |
| Act received most recent fiscal year | $0.00 | $3,239 |
| Act received prior fiscal year | $0.00 | $0.00 |
| Cash equi most recent fiscal year | $249,032 | $118,050 |
| Cash equi prior fiscal year | $649,760 | $249,032 |
| Cost goods sold most recent fiscal year | $6,880 | $41,192 |
| Cost goods sold prior fiscal year | $0.00 | $6,880 |
| Long term debt most recent fiscal year | $390,569 | $16,506 |
| Long term debt prior fiscal year | $63,693 | $390,569 |
| Net income most recent fiscal year | -$1,870,137.00 | -$1,395,501.00 |
| Net income prior fiscal year | -$881,792.00 | -$1,870,137.00 |
| Revenue most recent fiscal year | $17,697 | $278,132 |
| Revenue prior fiscal year | $0.00 | $17,697 |
| Short term debt most recent fiscal year | $337,482 | $2,376,361 |
| Short term debt prior fiscal year | $6,804 | $652,587 |
| Tax paid most recent fiscal year | $0.00 | $0.00 |
| Tax paid prior fiscal year | $0.00 | $0.00 |
| Total asset most recent fiscal year | $569,694 | $210,695 |
| Total asset prior fiscal year | $741,393 | $288,436 |
Company Information
Latest Metrics
Employees5
Total Assets$569,694
Cash on Hand$249,032
Revenues$17,697
Net Income-$1,870,137.00