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Proceeds from
convertible note payable
$344,368
Proceeds from
convertible note payable -...
$20,177
Net cash provided by
financing activities
$46,118
Canceled cashflow
$318,427
Net change in cash
$973
Canceled cashflow
$45,145
Repayments of note payable
(including interest)
$318,427
Loss on conversion of
debt
$736,589
Loss on issuance of
convertible debt
-$510,178
Amortization of debt discount
$228,641
Due from jubilee
-$172,926
Bad debt expense
$161,317
Interest expense
$126,756
Accrued interest - a
related party
$18,747
Accrued interest
$7,380
Due to a related
party
$5,674
Net cash used by
operating activities
-$45,145
Canceled cashflow
$1,968,208
Change in fair value of
derivative
$1,178,621
Net loss from
continued operations
-$760,649
Accrued compensation
-$56,666
Accounts payable and
accrued expenses
-$17,417
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Cash Flow
source: myfinsight.com
HALLMARK VENTURE GROUP, INC. (HLLK)
HALLMARK VENTURE GROUP, INC. (HLLK)