CASH FLOW STATEMENT

CONDENSED CONSOLIDATED CASH FLOW STATEMENTS - USD ($)
Jun 30, 2025 Jun 30, 2024
OPERATING ACTIVITIES
Net Income From Continuing Operations$ -1,772,288.00$ -1,357,957.00
Depreciation, Amortization & Depletion$ 1,393.00$ 18,384.00
Operating Gains/Losses-$ -740.00
Other Non-Cash Items$ 19,179.00-
Change In Working Capital$ -46,817.00$ 90,133.00
Cash Flow From Continuing Operating Activities$ -1,798,533.00$ -1,250,180.00
Operating Cash Flow$ -1,798,533.00$ -1,250,180.00
INVESTING ACTIVITIES
Capital Expenditure Reported--
Net Capital Expenditure & Disposals-$ 964.00
Net Property, Plant & Equipment Purchase And Sale-$ 964.00
Net Investment Properties Purchase And Sale$ -200,000.00-
Net Investment Purchase And Sale$ -200,000.00-
Net Business Purchase And Sale$ 8,615.00-
Cash Flow From Continuing Investing Activities$ -191,385.00$ 964.00
Investing Cash Flow$ -191,385.00$ 964.00
FINANCING ACTIVITIES
Issuance Of Debt--
Repayment Of Debt--
Net Issuance/Payments Of Debt--
Issuance Of Capital Stock$ -69,765.00-
Net Common Stock Issuance$ -69,765.00-
Proceeds From Issuance Of Warrants--
Cash Flow From Continuing Financing Activities$ 3,170,235.00-
Financing Cash Flow$ 3,170,235.00-
CASH POSITION SUMMARY
Beginning Cash Position$ 2,658,470.00$ 3,913,925.00
Effect Of Exchange Rate Changes$ -8,076.00$ -6,239.00
Changes In Cash$ 1,180,317.00$ -1,249,216.00
End Cash Position$ 3,830,711.00$ 2,658,470.00
FREE CASH FLOW & METRICS
Free Cash Flow$ -1,798,533.00$ -1,250,180.00