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x
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QUARTERLY REPORT PURSUANT TO
SECTION 13 OR 15(d) OF THE SECURITIES AND EXCHANGE ACT OF
1934
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¨
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TRANSITION REPORT PURSUANT TO
SECTION 13 OR 15(d) OF THE SECURITIES AND EXCHANGE ACT OF
1934
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NEVADA
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87-0618756
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(State
or other jurisdiction of
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(I.R.S.
Employer Identification No.)
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incorporation
or organization)
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Suite
901 Sun Hung Kai Centre, 30 Harbour Road, Wanchai, Hong Kong,
PRC
(Address
of principal executive offices)
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(Zip
code)
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Page
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PART
I— FINANCIAL INFORMATION
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Item
1
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Financial
Statements
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Condensed
Consolidated Balance Sheets as of March 31, 2010 (unaudited)
and
December 31, 2009 (audited)
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F-2
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Condensed
Consolidated Statements of Operations and Comprehensive (Loss) Income for
the Three Months Ended March 31, 2010 and 2009 (unaudited)
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F-3
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Condensed
Consolidated Statements of Cash Flows for the
Three
Months Ended March 31, 2010 and 2009 (unaudited)
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F-4
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Condensed
Consolidated Statement of Stockholders’ Deficit for the
Three
Months Ended March 31, 2010 (unaudited)
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F-5
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Notes
to Condensed Consolidated Financial Statements
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F-6 – F-12
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Item
2
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Managements
Discussion and Analysis of Financial Condition and
Results
of Operation
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4
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Item
3
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Quantitative
and Qualitative Disclosures About Market Risk
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7
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Item
4T
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Controls
and Procedures
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7
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PART
II—OTHER INFORMATION
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Item
1
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Legal
Proceedings
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7
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Item
1A
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Risk
Factors
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7
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Item
2
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Unregistered
Sales of Equity Securities and Use of Proceeds
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7
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Item
3
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Defaults
Upon Senior Securities
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7
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Item
4
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Submission
of Matters to a Vote of Security Holders
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8
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Item
5
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Other
Information
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8
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Item
6
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Exhibits
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8
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SIGNATURES
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8
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Page
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Condensed
Consolidated Balance Sheets as of March 31, 2010 and December 31,
2009
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F-2
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Condensed
Consolidated Statements of Operations And Comprehensive Loss for the Three
Months ended March 31, 2010 and 2009
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F-3
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Condensed
Consolidated Statements of Cash Flows for the Three Months ended March 31,
2010 and 2009
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F-4
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Condensed
Consolidated Statement of Stockholders’ Deficit for the Three Months ended
March 31, 2010
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F-5
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Notes
to Condensed Consolidated Financial Statements
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F-6 – F-12
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March 31, 2010
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December 31, 2009
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(Unaudited)
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(Audited)
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ASSETS
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Current
assets:
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Cash
and cash equivalents
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$ | 7,797 | $ | 7,548 | ||||
Prepayments
and other receivables
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55,149 | 72,850 | ||||||
Total
current assets
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62,946 | 80,398 | ||||||
Non-current
assets:
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Property,
plant and equipment, net
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737,382 | 734,738 | ||||||
TOTAL
ASSETS
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$ | 800,328 | $ | 815,136 | ||||
LIABILITIES
AND STOCKHOLDERS’ DEFICIT
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Current
liabilities:
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Accounts
payable
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$ | 80,710 | $ | 80,696 | ||||
Amount
due to a related party
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4,580,097 | 4,448,351 | ||||||
Other
payables and accrued liabilities
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205,521 | 262,909 | ||||||
Total
current liabilities
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4,866,328 | 4,791,956 | ||||||
Commitments
and contingencies
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Stockholders’
deficit:
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Common
stock, $0.001 par value; 50,000,000 shares authorized; 37,898,251 shares
issued and outstanding as of March 31, 2010 and December 31,
2009
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37,898 | 37,898 | ||||||
Additional
paid-in capital
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6,901,232 | 6,901,232 | ||||||
Accumulated
other comprehensive income
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528,994 | 531,230 | ||||||
Accumulated
deficit
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(11,534,124 | ) | (11,447,180 | ) | ||||
Total
stockholders’ deficit
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(4,066,000 | ) | (3,976,820 | ) | ||||
TOTAL
LIABILITIES AND STOCKHOLDERS’ DEFICIT
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$ | 800,328 | $ | 815,136 |
Three months ended March 31,
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2010
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2009
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Revenues,
net
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$ | - | $ | - | ||||
Cost
of revenue
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- | - | ||||||
Gross
profit
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- | - | ||||||
Operating
expenses:
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General
and administrative
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86,944 | 115,788 | ||||||
Total
operating expenses
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86,944 | 115,788 | ||||||
LOSS
BEFORE INCOME TAXES
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(86,944 | ) | (115,788 | ) | ||||
Income
tax expense
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- | - | ||||||
NET
LOSS
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$ | (86,944 | ) | $ | (115,788 | ) | ||
Other
comprehensive (loss) income:
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Foreign
currency translation (loss) gain
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(2,236 | ) | 5,471 | |||||
COMPREHENSIVE
LOSS
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$ | (89,180 | ) | $ | (110,317 | ) | ||
Net
loss per share – Basic and diluted
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$ | (0.00 | ) | $ | (0.00 | ) | ||
Weighted
average shares outstanding – Basic and diluted
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37,898,251 | 37,898,251 |
Three months ended March 31,
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2010
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2009
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Cash
flows from operating activities:
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Net
loss
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$ | (86,944 | ) | $ | (115,788 | ) | ||
Adjustments
to reconcile net loss to net cash used in operating
activities:
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Depreciation
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841 | 788 | ||||||
Change
in operating assets and liabilities:
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Prepayments
and other receivables
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17,701 | - | ||||||
Accounts
payable
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14 | - | ||||||
Other
payables and accrued liabilities
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(57,388 | ) | 8,463 | |||||
Net
cash used in operating activities
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(125,776 | ) | (106,537 | ) | ||||
Cash
flows from investing activities:
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Payment
on plant and equipment
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(3,363 | ) | - | |||||
Net
cash used in investing activities
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(3,363 | ) | - | |||||
Cash
flows from financing activities:
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Advances
from a related party
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131,746 | 97,387 | ||||||
Net
cash provided by financing activities
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131,746 | 97,387 | ||||||
Effect
of exchange rate changes on cash and cash equivalents
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(2,358 | ) | 6,300 | |||||
Net
change in cash and cash equivalents
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249 | (2,850 | ) | |||||
CASH
AND CASH EQUIVALENT, BEGINNING OF PERIOD
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7,548 | 11,553 | ||||||
CASH
AND CASH EQUIVALENT, END OF PERIOD
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$ | 7,797 | $ | 8,703 | ||||
SUPPLEMENTAL
DISCLOSURE OF CASH FLOW INFORMATION:
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Cash
paid for income taxes
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$ | - | $ | - | ||||
Cash
paid for interest
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$ | - | $ | - |
Common stock
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Additional
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Accumulated
other
comprehensive
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Accumulated
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Total
stockholders’
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||||||||||||||||||||
No. of shares
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Amount
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paid-in capital
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(loss) income
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deficit
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deficit
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Balance
as of December 31, 2009
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37,898,251 | $ | 37,898 | $ | 6,901,232 | $ | 531,230 | $ | (11,447,180 | ) | $ | (3,976,820 | ) | |||||||||||
Net
loss for the period
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- | - | - | - | (86,944 | ) | (86,944 | ) | ||||||||||||||||
Foreign
currency translation adjustment
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- | - | - | (2,236 | ) | - | (2,236 | ) | ||||||||||||||||
Balance
as of March 31, 2010
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37,898,251 | $ | 37,898 | $ | 6,901,232 | $ | 528,994 | $ | (11,534,124 | ) | $ | (4,066,000 | ) |
NOTE
- 1
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BASIS
OF PRESENTATION
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NOTE
- 2
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ORGANIZATION
AND BUSINESS BACKGROUND
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NOTE
- 3
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GOING
CONCERN UNCERTAINTIES
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NOTE
- 4
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SUMMARY
OF SIGNIFICANT ACCOUNTING POLICIES
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l
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Use
of estimates
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l
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Basis
of consolidation
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l
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Revenue
recognition
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l
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Cash
and cash equivalents
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l
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Property,
plant and equipment, net
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Depreciable life
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Residual value
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|||||
Plant
and machinery
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5-10
years
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5 | % | |||
Furniture,
fixtures and office equipment
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5
years
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5 | % | |||
Leasehold
improvement
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2
years
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0 | % |
l
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Valuation
of long-lived assets
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l
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Comprehensive
income or loss
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l
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Income
taxes
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l
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Net
loss per share
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l
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Foreign
currencies translation
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March 31, 2010
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March 31, 2009
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|||||||
Period-end
RMB:US$1 exchange rate
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6.8159 | 6.8293 | ||||||
Average
period RMB:US$1 exchange rate
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6.8193 | 6.8252 | ||||||
Period-end
HK$:US$1 exchange rate
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7.7647 | 7.7505 | ||||||
Average
period HK$:US$1 exchange rate
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7.7639 | 7.7547 |
l
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Related
parties
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l
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Fair
value measurement
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l
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Financial
instruments
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l
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Recent
accounting pronouncements
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NOTE
- 5
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AMOUNT
DUE TO A RELATED PARTY
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NOTE
- 6
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INCOME
TAXES
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NOTE
- 7
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COMMITMENTS
AND CONTINGENCIES
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ITEM
2.
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MANAGEMENTS
DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION OR PLAN OF
OPERATION
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Three Months ended March 31,
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||||||||
2010
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2009
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Depreciation
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$ | 841 | $ | 788 |
ITEM
3.
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QUANTITATIVE
AND QUALITATIVE DISCLOSURES ABOUT MARKET
RISK.
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ITEM
4T.
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CONTROLS
AND PROCEDURES.
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ITEM
1.
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LEGAL
PROCEEDINGS
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ITEM
1A.
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RISK
FACTORS
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ITEM
2.
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UNREGISTERED
SALES OF EQUITY SECURITIES AND USE OF
PROCEEDS
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ITEM
3.
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DEFAULTS
UPON SENIOR SECURITIES
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ITEM 4.
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SUBMISSION OF MATTERS TO A VOTE
OF SECURITY HOLDERS
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ITEM
5.
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OTHER
INFORMATION
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ITEM
6.
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EXHIBITS
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31.1
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Rule
13a-14 (a)/15d-14 (a) Certification of Chief Executive
Officer
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31.2
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Rule
13a-14 (a)/15d-14 (a) Certification of Chief Financial
Officer
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32.1
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Section
1350 Certification of Chief Executive Officer
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32.2
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Section
1350 Certification of Chief Financial
Officer
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INNOCOM
TECHNOLOGY HOLDINGS, INC.
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/s/ William Yan Sui Hui
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Dated:
May 18, 2010
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William
Yan Sui Hui, Chief Executive Officer
(Principal
executive officer)
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/s/ Cheung Wai Hung,
Eddie
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Dated:
May 18, 2010
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Cheung
Wai Hung, Eddie, Chief Financial Officer
(Principal
financial officer)
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