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Nevada
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80-0778461
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(State or Other Jurisdiction of Incorporation or Organization
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I.R.S. Employer Identification No.
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Large accelerated filer [ ]
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Accelerated filer [ ]
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Non-accelerated filer [ ]
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Smaller reporting company [X]
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(Do not check if a smaller reporting company)
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Page
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3 | |
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Item 1. Financial Statements
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3 | |
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Balance Sheets November 30, 2015 (unaudited), and May 31, 2015
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3 | |
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Statements of Operations (unaudited) for the three and six month periods ended
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November 30, 2015 and 2014
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4 | |
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Statements of Cash Flows (unaudited) for the six month periods ended
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November 30, 2015 and 2014
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5 | |
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Notes to the Financial Statements (unaudited)
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7 | |
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17 | |
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20 | |
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20 | |
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20 | |
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Item 1. Legal Proceedings
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20 | |
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Item 1A. Risk Factors
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20 | |
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Item 2. Unregistered Sales of Equity Securities and Use of Proceeds
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20 | |
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20 | |
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20 | |
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21 | |
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Item 6. Exhibits
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21 |
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November 30,
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May 31,
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|||||||
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2015
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2015
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$
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$
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ASSETS
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Current Assets
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Cash
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35,371 | 35,110 | ||||||
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Trade and Other Receivables
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16,922 | 13,050 | ||||||
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Prepaid Expenses
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582 | 695 | ||||||
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Total Current Assets
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52,875 | 48,855 | ||||||
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Goodwill (note 5)
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25,000 | 25,000 | ||||||
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Total Assets
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77,875 | 73,855 | ||||||
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LIABILITIES & STOCKHOLDERS’ EQUITY
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Current Liabilities
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Accounts Payable and Accrued Liabilities
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23,844 | 25,435 | ||||||
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Due to Related Parties
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524 | 3,621 | ||||||
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Total Current Liabilities
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24,368 | 29,056 | ||||||
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Stockholders' Equity
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Common Stock, Par Value $.0001
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Authorized 500,000,000 shares,
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3,340,500 and 3,200,500 shares issued and outstanding at
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November 30, 2015 and May 31, 2015 respectively
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334 | 320 | ||||||
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Paid-In Capital
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1,348,659 | 1,322,054 | ||||||
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Warrants
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84,507 | 69,126 | ||||||
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Accumulated Deficit
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(1,381,376 | ) | (1,349,918 | ) | ||||
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Accumulated Other Comprehensive Income
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1,383 | 3,217 | ||||||
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Total Stockholders' Equity
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53,507 | 44,799 | ||||||
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Total Liabilities and Stockholders' Equity
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77,875 | 73,855 | ||||||
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For the Three Months
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For the Six Months
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Ended
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Ended
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November 30,
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November 30,
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2015
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2014
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2015
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2014
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Revenues
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Commission Revenue
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$ | 14,173 | $ | 10,532 | $ | 33,870 | $ | 10,532 | ||||||||
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Expenses
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Operating Expenses
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17,383 | 22,245 | 36,330 | 22,245 | ||||||||||||
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Professional Expenses
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4,750 | 29,779 | 10,925 | 34,322 | ||||||||||||
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Office and Sundry
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6,922 | 5,412 | 14,859 | 10,096 | ||||||||||||
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Rent
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450 | 450 | 906 | 965 | ||||||||||||
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Management and Directors’ Fees
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1,135 | 9,992 | 2,308 | 9,992 | ||||||||||||
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Total Expenses
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30,640 | 67,878 | 65,328 | 77,620 | ||||||||||||
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Net Loss from Operations
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(16,467 | ) | (57,346 | ) | (31,458 | ) | (67,088 | ) | ||||||||
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Net Loss
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$ | (16,467 | ) | $ | (57,346 | ) | $ | (31,458 | ) | $ | (67,088 | ) | ||||
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Basic and Diluted Loss Per Share
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Continuing Operations
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$ | (0.01 | ) | $ | (0.03 | ) | $ | (0.01 | ) | $ | (0.04 | ) | ||||
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Weighted Average Shares
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Outstanding
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3,279,511 | 2,234,087 | 3,248,314 | 2,234,087 | ||||||||||||
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Comprehensive loss
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Net loss
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$ | (16,467 | ) | $ | (57,346 | ) | $ | (31,458 | ) | $ | (67,088 | ) | ||||
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Other comprehensive (loss) income
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Translation to US dollar presentation currency
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(406 | ) | 262 | (1,834 | ) | 25 | ||||||||||
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Comprehensive loss
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$ | (15,873 | ) | $ | (57,084 | ) | $ | (33,292 | ) | $ | (67,063 | ) | ||||
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For the Six Months Ended November 30,
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2015
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2014
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$
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$
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CASH FLOWS FROM OPERATING ACTIVITIES
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Net Loss
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(31,458 | ) | (67,088 | ) | ||||
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Adjustments to Reconcile Net Loss to Net
Cash Used in Operating Activities
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Units issued for Services
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16,000 | |||||||
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Changes in Operating Assets and Liabilities
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Trade and Other Receivables
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(3,872 | ) | (13,052 | ) | ||||
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Prepaid Expenses
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113 | (10,500 | ) | |||||
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Accounts Payable and Accrued Liabilities
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(1,591 | ) | 14,535 | |||||
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Related Parties
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(3,097 | ) | 11,043 | |||||
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Net Cash Used in Operating Activities
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(39,905 | ) | (49,062 | ) | ||||
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CASH FLOWS FROM INVESTING ACTIVITIES
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Acquisition of Goodwill
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- | (12,500 | ) | |||||
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Net Cash Used in Investing Activities
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- | (12,500 | ) | |||||
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CASH FLOWS FROM FINANCING ACTIVITIES
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Proceeds from the Sale of Common Stock
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42,000 | 55,000 | ||||||
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Net Cash Provided by Financing Activities
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42,000 | 55,000 | ||||||
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Effect of exchange rate changes on cash
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(1,834 | ) | 25 | |||||
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Net (Decrease) Increase in Cash and Cash Equivalents
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261 | (6,537 | ) | |||||
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Cash and Cash Equivalents at Beginning of Period
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35,110 | 15,652 | ||||||
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Cash and Cash Equivalents at End of Period
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35,371 | 9,115 | ||||||
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For the Six Months Ended November 30,
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2015
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2014
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$
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$
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SUPPLEMENTARY INFORMATION
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Cash paid during the year for:
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Interest
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—
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—
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Income taxes
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—
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—
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•
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Level one
— Quoted market prices in active markets for identical assets or liabilities;
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•
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Level two
— Inputs other than level one inputs that are either directly or indirectly observable; and
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•
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Level three
— Unobservable inputs developed using estimates and assumptions, which are developed by the reporting entity and reflect those assumptions that a market participant would use.
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Shares of common stock outstanding
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Common stock
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Additional paid-in capital
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Warrants
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Balance – May 31, 2015
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3,200,500
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320
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1,322,054
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69,126
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Issuance of units
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140,000
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14
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26,605
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15,381
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Balance – November 30, 2015
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3,340,500
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334
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1,348,659
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84,507
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Exercise Price
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Number
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Expiry
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Remaining Life
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$ 0.05
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1,500,000
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1-Feb-19
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3.17
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$ 0.10
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1,500,000
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1-Feb-19
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3.17
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$ 0.15
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550,000
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1-Jun-19
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3.50
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$ 0.15
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125,000
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30-Jun-19
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3.58
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$ 0.20
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130,000
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09-Jan-20
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4.11
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$ 0.25
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550,000
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1-Jun-20
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4.50
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$ 0.25
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125,000
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30-Jun-20
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4.83
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$ 0.25
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130,000
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09-Jan-20
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4.11
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$ 0.25
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135,000
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17-Feb-20
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4.21
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$ 0.25
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140,000
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6-May-20
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4.43
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$ 0.30
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135,000
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17-Feb-20
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4.21
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$ 0.30
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140,000
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6-May-20
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4.43
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$ 0.35
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65,000
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7-Aug-20
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4.69
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$ 0.35
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75,000
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16-Oct-20
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4.88
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$ 0.40
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65,000
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7-Aug-20
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4.69
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$ 0.40
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75,000
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16-Oct-20
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4.88
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$ 0.45
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75,000
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16-Oct-20
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4.88
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5,515,000
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101.INS **
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XBRL Instance Document
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101.SCH **
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XBRL Taxonomy Extension Schema Document
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101.CAL **
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XBRL Taxonomy Extension Calculation Linkbase Document
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101.DEF **
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XBRL Taxonomy Extension Definition Linkbase Document
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101.LAB **
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XBRL Taxonomy Extension Label Linkbase Document
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101.PRE **
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XBRL Taxonomy Extension Presentation Linkbase Document
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Date: January 6, 2016
BRISST BEER INTERNATIONAL, INC.
By:
/s/ Stephane Pilon
Stephane Pilon
President, Chief Executive Officer, Chief Financial Officer, and Treasurer
(Principal Executive, Financial, and Accounting Officer)
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No information found
* THE VALUE IS THE MARKET VALUE AS OF THE LAST DAY OF THE QUARTER FOR WHICH THE 13F WAS FILED.
| FUND | NUMBER OF SHARES | VALUE ($) | PUT OR CALL |
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| DIRECTORS | AGE | BIO | OTHER DIRECTOR MEMBERSHIPS |
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No information found
No Customers Found
No Suppliers Found
Price
Yield
| Owner | Position | Direct Shares | Indirect Shares |
|---|