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Re: hh718 post# 38211

Wednesday, 04/04/2018 7:52:32 PM

Wednesday, April 04, 2018 7:52:32 PM

Post# of 55245
Really? So where did all this money go?

D. The number of shares sold;
Date Offered Sold/Redeemed Price Paid Desciption of transactions
01-Apr-13 89,597,359 Brought forward
20-Jun-13 2,000,000 2,000,000 $0.001000 $2,000 Redemption of $2,000 of Convertible Notes
25-Jun-13 2,000,000 2,000,000 $0.001000 $2,000 Redemption of $2,000 of Convertible Notes
09-Aug-13 2,200,000 2,200,000 $0.001000 $2,200 Redemption of $2,200 of Convertible Notes
13-Aug-13 750,000 750,000 $0.001000 $750 Payment of $750 for services
16-Aug-13 750,000 750,000 $0.001000 $750 Payment of $750 for services
03-Sep-13 8,250,000 8,250,000 $0.001000 $8,250 Redemption of $8,250 of Convertible Notes
10-Sep-13 5,000,000 5,000,000 $0.001000 $5,000 Redemption of $5,000 of Convertible Notes
11-Feb-14 6,240,000 6,240,000 $0.000100 $624 Redemption of $624 of Convertible Notes
14-Feb-14 6,563,800 6,563,800 $0.000100 $656 Redemption of $656 of Convertible Notes
25-Feb-14 6,907,680 6,907,680 $0.000100 $691 Redemption of $691 of Convertible Notes
05-Mar-14 7,260,000 7,260,000 $0.000100 $726 Redemption of $726 of Convertible Notes
13-Mar-14 7,643,300 7,643,300 $0.000100 $764 Redemption of $764 of Convertible Notes
20-Mar-14 8,043,450 8,043,450 $0.000100 $804 Redemption of $804 of Convertible Notes
31-Mar-14 8,027,206 8,027,206 $0.000100 $803 Redemption of $803 of Convertible Notes
01-Apr-14 8,043,450 8,043,450 $0.000100 $804 Redemption of $804 of Convertible Notes
14-Apr-14 8,870,000 8,870,000 $0.000100 $887 Redemption of $887 of Convertible Notes
18-Apr-14 9,333,900 9,333,900 $0.000100 $933 Redemption of $933 of Convertible Notes
22-Apr-14 9,333,900 9,333,900 $0.000100 $933 Redemption of $933 of Convertible Notes
22-Apr-14 10,000,000 10,000,000 $0.000100 $1,000 Redemption of $1,000 of Convertible Notes
24-Apr-14 10,000,000 10,000,000 $0.001000 $10,000 Redemption of $10,000 of Convertible Notes
06-May-14 10,000,000 10,000,000 $0.000100 $1,000 Redemption of $1,000 of Convertible Notes
06-May-14 10,000,000 10,000,000 $0.000100 $1,000 Redemption of $1,000 of Convertible Notes
06-May-14 10,000,000 10,000,000 $0.000077 $767 Redemption of $767 of Convertible Notes
07-May-14 10,000,000 10,000,000 $0.000100 $1,000 Redemption of $1,000 of Convertible Notes
08-May-14 9,400,000 9,400,000 $0.000100 $940 Redemption of $940 of Convertible Notes
08-May-14 10,000,000 10,000,000 $0.000100 $1,000 Conversion of 10,000 Series E Preferred stock
OTC Markets Group Inc.
OTC Pink Basic Disclosure Guidelines (v1.0 January 3, 2013) Page 5 of 11
09-May-14 10,800,000 10,800,000 $0.000100 $1,080 Redemption of $1,080 of Convertible Notes
19-May-14 10,800,000 10,800,000 $0.000100 $1,080 Redemption of $1,080 of Convertible Notes
21-May-14 11,370,450 11,370,450 $0.000100 $1,137 Redemption of $1,137 of Convertible Notes
23-May-14 11,370,450 11,370,450 $0.000100 $1,137 Redemption of $1,137 of Convertible Notes
28-May-14 10,000,000 10,000,000 $0.000100 $1,000 Redemption of $1,000 of Convertible Notes
03-Jun-14 14,488,000 14,488,000 $0.000100 $1,449 Redemption of $1,449 of Convertible Notes
03-Jun-14 14,500,000 14,500,000 $0.000100 $1,450 Redemption of $1,450 of Convertible Notes
09-Jun-14 20,000,000 20,000,000 $0.001000 $20,000 Redemption of $20,000 of Convertible Notes
10-Jun-14 18,800,000 18,800,000 $0.000100 $1,880 Redemption of $1,880 of Convertible Notes
12-Jun-14 18,838,000 18,838,000 $0.000100 $1,884 Redemption of $1,884 of Convertible Notes
18-Jun-14 19,800,000 19,800,000 $0.000100 $1,980 Redemption of $1,980 of Convertible Notes
25-Jun-14 20,860,600 20,860,600 $0.000100 $2,086 Redemption of $2,086 of Convertible Notes
26-Jun-14 21,900,000 21,900,000 $0.000100 $2,190 Redemption of $2,190 of Convertible Notes
01-Jul-14 21,900,000 21,900,000 $0.000100 $2,190 Redemption of $2,190 of Convertible Notes
03-Jul-14 24,033,000 24,033,000 $0.000100 $2,403 Redemption of $2,403 of Convertible Notes
03-Jul-14 24,000,000 24,000,000 $0.000100 $2,400 Redemption of $2,400 of Convertible Notes
09-Jul-14 25,235,600 25,235,600 $0.000100 $2,524 Redemption of $2,524 of Convertible Notes
14-Jul-14 29,000,000 29,000,000 $0.000100 $2,900 Redemption of $2,900 of Convertible Notes
15-Jul-14 29,000,000 29,000,000 $0.000100 $2,900 Redemption of $2,900 of Convertible Notes
15-Jul-14 35,000,000 35,000,000 $0.000100 $3,500 Redemption of $3,500 of Convertible Notes
18-Jul-14 32,000,000 32,000,000 $0.000100 $3,200 Redemption of $3,200 of Convertible Notes
21-Jul-14 33,700,000 33,700,000 $0.000100 $3,370 Redemption of $3,370 of Convertible Notes
22-Jul-14 34,000,000 34,000,000 $0.000100 $3,400 Redemption of $3,400 of Convertible Notes
23-Jul-14 9,406,600 9,406,600 $0.000100 $941 Redemption of $941 of Convertible Notes
29-Jul-14 37,300,000 37,300,000 $0.000100 $3,730 Redemption of $3,730 of Convertible Notes
04-Aug-14 38,000,000 38,000,000 $0.000100 $3,800 Redemption of $3,800 of Convertible Notes
11-Aug-14 41,580,000 41,580,000 $0.000100 $4,158 Redemption of $4,158 of Convertible Notes
11-Aug-14 39,500,000 39,500,000 $0.000100 $3,950 Redemption of $3,950 of Convertible Notes
18-Aug-14 42,000,000 42,000,000 $0.000100 $4,200 Redemption of $4,200 of Convertible Notes
26-Aug-14 55,000,000 55,000,000 $0.000100 $5,500 Redemption of $5,500 of Convertible Notes
29-Aug-14 51,000,000 51,000,000 $0.000100 $5,100 Redemption of $5,100 of Convertible Notes
11-Sep-14 56,000,000 56,000,000 $0.000100 $5,600 Redemption of $5,600 of Convertible Notes
29-Sep-14 47,497,400 47,497,400 $0.000100 $4,750 Redemption of $4,750 of Convertible Notes
08-Dec-14 117,500,000 117,500,000 $0.000100 $11,750 Redemption of $11,750 of Convertible Notes
08-Dec-14 62,000,000 62,000,000 $0.000100 $6,200 Redemption of $6,200 of Convertible Notes
15-Dec-14 62,000,000 62,000,000 $0.000100 $6,200 Redemption of $6,200 of Convertible Notes
15-Dec-14 64,750,000 64,750,000 $0.000100 $6,475 Redemption of $6,475 of Convertible Notes
22-Dec-14 42,660,000 42,660,000 $0.000100 $4,266 Redemption of $4,266 of Convertible Notes
12-Jan-15 39,000,000 39,000,000 $0.000100 $3,900 Redemption of $3,900 of Convertible Notes
12-Jan-15 39,000,000 39,000,000 $0.000100 $3,900 Redemption of $3,900 of Convertible Notes
14-Jan-15 40,000,000 40,000,000 $0.000100 $4,000 Redemption of $4,000 of Convertible Notes
16-Jan-15 21,000,000 21,000,000 $0.000100 $2,100 Redemption of $2,100 of Convertible Notes
09-Feb-15 61,000,000 61,000,000 $0.000100 $6,100 Redemption of $6,100 of Convertible Notes
1,733,804,145
Private offering stockholder information:
Date Holding Current % Stockholder
25-Apr-13 500,000 Macca Holdings
750,000 Greenwich Financial
20-Jun-13 2,000,000 Macca Holdings
25-Jun-13 2,000,000 iNet Holdings
09-Aug-13 1,000,000 Greenwich Financial
1,200,000 Joseph Fragala
13-Aug-13 750,000 iNet Holdings
16-Aug-13 750,000 Macca Holdings LLC
03-Sep-13 8,250,000 iNet Holdings
10-Sep-13 5,000,000 Appinero LLC
OTC Markets Group Inc.
OTC Pink Basic Disclosure Guidelines (v1.0 January 3, 2013) Page
6 of 11
11
-Feb
-14 6,240,000 Redwood Management
14
-Feb
-14 6,563,800 Redwood Management
25
-Feb
-14 6,907,680 Redwood Management
05
-Mar
-14 7,260,000 Redwood Management
13
-Mar
-14 7,643,300 Redwood Managemen
t
20
-Mar
-14 8,043,450 Redwood Management
31
-Mar
-14 8,027,206 Bou Trust
01
-Apr
-14 8,043,450 Redwood Management
14
-Apr
-14 8,870,000 Redwood Management
18
-Apr
-14 9,333,900 Bou Trust
22
-Apr
-14 9,333,900 Redwood Management
10,000,000 Alpha Brilliant Limited
24
-Apr
-14 10,000,000 Gold Coast Capital Inc
06
-May
-14 10,000,000 Freeport Securities
10,000,000 Theman Holdings Inc
10,000,000 Windsong Investments LTD
07
-May
-14 10,000,000 Anchor Financial Inc
08
-May
-14 9,400,000 Redwood Management
10,000,000 Standard Trade Inc
09
-May
-14 10,800,000 Bou Trust
19
-May
-14 10,800,000 Redwood Management
21
-May
-14 11,370,450 Bou Trust
23
-May
-14 11,370,450 Redwood Managemen
t
28
-May
-14 10,000,000 Gold Coast Capital Inc
03
-Jun
-14 14,488,000 Redwood Management
14,500,000 Bou Trust
09
-Jun
-14 20,000,000 Nobilis Consulting
10
-Jun
-14 18,800,000 Redwood Management
12
-Jun
-14 18,838,000 Bou Trust
18
-
Jun
-14 19,800,000 Redwood Management
25
-Jun
-14 20,860,600 Redwood Management
26
-Jun
-14 21,900,000 Bou Trust
01
-Jul
-14 21,900,000 Redwood Management
03
-Jul
-14 24,033,000 Redwood Management
24,000,000 Bou Trust
09
-Jul
-14 25,235,600 Redwood Management
14
-Jul
-14 29,000,000 Bou Trust
15
-Jul
-14 29,000,000 Redwood Management
35,000,000 Gold Coast Capital Inc
18
-Jul
-14 32,000,000 Redwood Management
21
-Jul
-14 33,700,000 Bou Trust
22
-Jul
-14 34,000,000 Redwood Management
23
-Jul
-14 9,406,600 Redwood Management
29
-Jul
-14 37,300,000 Bou Trust
04
-Aug
-14 38,000,000 Bou Trust
11
-Aug
-14 41,580,000 Redwood Management
39,500,000 Bou Trust
18
-Aug
-14 42,000,000 Bou Trust
26
-
Aug
-14 55,000,000 Nobilis Consulting
29
-Aug
-14 51,000,000 Bou Trust
11
-Sep
-14 56,000,000 Bou Trust
29
-Sep
-14 47,497,400 Bou Trust
08
-Dec
-14 117,500,000 Blackbridge Capital
08
-Dec
-14 62,000,000 RDW Capital
15
-Dec
-14 62,000,000 RDW Capital
15
-Dec
-14 64,750,000 Blackbridge Capital
22
-Dec
-14 42,660,000 RDW Capital
12
-Jan
-15 39,000,000 Bou Trust
OTC Markets Group Inc.
OTC Pink Basic Disclosure Guidelines (v1.0 January 3, 2013) Page 7 of 11
12-Jan-15 39,000,000 RDW Capital
14-Jan-15 40,000,000 RDW Capital
16-Jan-15 21,000,000 RDW Capital
09-Feb-15 61,000,000 Bou Trust
1,445,456,786
Redwood Management LLC, BOU Trust, Alpha Brilliant, Anchor Financial, Freeport Securities, Tower Financial,
Blackbridge Capital, RDW Capital and Windsong Investments all hold reserve options on Common Stock purchased
through the redemption of Convertible Notes. As at March 31, 2015 their reserve accounts and stock draw-downs
were as follows:
Options Converted Balance
Alpha Brilliant 100,000,000 10,000,000 90,000,000
Anchor Financial 100,000,000 10,000,000 90,000,000
Blackbridge Capital 180,000,000 182,250,000 -
BOU Trust 550,000,000 550,000,000 -
Freeport Securities 100,000,000 10,000,000 90,000,000
Redwood Management 400,000,000 400,000,000 -
RDW Capital 266,660,000 266,660,000 -
Tower Financial 100,000,000 - 100,000,000
Windsong Investments 40,000,000 10,000,000 30,000,000
1,836,660,000 1,438,910,000 400,000,000
All stockholdings relate to purchases and transfers registered with our Transfer Agents up to and including March 31,
2015.
Reserved and Available Stocks:
March 31, 2015
Authorized Stocks 2,900,000,000
Issued and Outstanding:
By Reservees 1,438,910,000
By Others 294,894,145
1,733,804,145
1,166,195,855
Balance available to Reservees (400,000,000)
Available Stocks 766,195,855
E. The price at which the shares were offered, and the amount actually paid to the issuer;

https://backend.otcmarkets.com/otcapi/company/financial-report/138904/content