Current Offering
$10,000
Target Amount
$250,000
Maximum Amount
2022-12-31
Deadline
Security Details
Type: SAFE offering, convertible at an 80% discount rate upon next equity round
Price per share: $1.00
Shares offered: 10,000+
Offering Costs
Cash commission: 5%
PicMii is a FINRA/SEC registered funding portal and will receive cash compensation equal to 4.5% of the value of the securities sold through Regulation CF and $1,500 up-front.
Equity compensation: 0%
None.
Financial Reports
Offering via PicMii Crowdfunding LLC
Offering History
As of 2022-08-18
Raising $10,000 -$250,000 via 10,000+ shares of sAFE offering, convertible at an 80% discount rate upon next equity round at $1.00 per share
Deadline: 2022-12-31
As of 2023-02-15
Raising $10,000 -$250,000 via 10,000+ shares of sAFE offering, convertible at an 80% discount rate upon next equity round at $1.00 per share
Deadline: 2023-07-31
As of 2023-05-11
Raising $10,000 -$124,000 via 10,000+ shares of sAFE offering, convertible at an 80% discount rate upon next equity round at $1.00 per share
Deadline: 2023-07-31
| Filing date | 2022-08-18 | 2023-02-15 |
|---|---|---|
| Current employees | 6 | 6 |
| Act received most recent fiscal year | $0.00 | $0.00 |
| Act received prior fiscal year | $0.00 | $0.00 |
| Cash equi most recent fiscal year | $36,951 | $423.53 |
| Cash equi prior fiscal year | $2,019 | $36,951 |
| Cost goods sold most recent fiscal year | $19,850 | $0.00 |
| Cost goods sold prior fiscal year | $0.00 | $19,850 |
| Long term debt most recent fiscal year | $450,702 | $345,060 |
| Long term debt prior fiscal year | $450,702 | $450,702 |
| Net income most recent fiscal year | -$289,010.89 | -$179,978.86 |
| Net income prior fiscal year | -$137,693.00 | -$289,010.89 |
| Revenue most recent fiscal year | $24,750 | $0.00 |
| Revenue prior fiscal year | $55,382 | $24,750 |
| Short term debt most recent fiscal year | $0.00 | $645,250 |
| Short term debt prior fiscal year | $0.00 | $487,921 |
| 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 | $37,746 | $1,219 |
| Total asset prior fiscal year | $2,814 | $37,746 |
Company Information
Latest Metrics
Employees6
Total Assets$37,746
Cash on Hand$36,951
Revenues$24,750
Net Income-$289,010.89