Hartford Creative Group Files Q1 10-Q/A
Ticker: HFUS · Form: 10-Q/A · Filed: Jan 16, 2025 · CIK: 1482554
Sentiment: neutral
Topics: 10-Q/A, quarterly-report, amendment
TL;DR
Hartford Creative Group filed their Q1 10-Q/A. Check financials.
AI Summary
Hartford Creative Group, Inc. filed a 10-Q/A on January 16, 2025, for the period ending October 31, 2024. The filing pertains to their first quarter (Q1) results. The company, previously known as Hartford Great Health Corp. and Photoamigo, Inc., is incorporated in Nevada and operates in computer processing and data preparation services.
Why It Matters
This filing provides an update on Hartford Creative Group's financial performance and operational status for the first quarter of their fiscal year.
Risk Assessment
Risk Level: low — The filing is a routine quarterly report (10-Q/A) and does not appear to contain significant new negative information.
Key Numbers
- Q1 — Quarter (Reporting period for the 10-Q/A filing.)
- 2024-10-31 — Period End Date (The end date for the financial reporting period.)
- 2025-01-16 — Filing Date (The date the 10-Q/A was officially filed with the SEC.)
Key Players & Entities
- Hartford Creative Group, Inc. (company) — Filer
- 20241031 (date) — Period of Report
- 20250116 (date) — Filing Date
- Hartford Great Health Corp. (company) — Former Company Name
- Photoamigo, Inc. (company) — Former Company Name
- 7374 (industry_code) — Standard Industrial Classification
FAQ
What is the primary purpose of this 10-Q/A filing?
This 10-Q/A filing is an amended quarterly report for Hartford Creative Group, Inc., covering the period ending October 31, 2024.
What were Hartford Creative Group's previous names?
Hartford Creative Group, Inc. was formerly known as Hartford Great Health Corp. and Photoamigo, Inc.
What industry does Hartford Creative Group operate in?
Hartford Creative Group, Inc. operates in the Services-Computer Processing & Data Preparation sector, with SIC code 7374.
When was the period of report for this filing?
The period of report for this 10-Q/A filing was October 31, 2024.
What is the company's state of incorporation?
Hartford Creative Group, Inc. is incorporated in Nevada (NV).
Filing Stats: 4,458 words · 18 min read · ~15 pages · Grade level 14.1 · Accepted 2025-01-16 16:31:37
Key Financial Figures
- $0.001 — ch registered Common stock, par value $0.001 par value HFUS OTC Markets Group
Filing Documents
- form10-qa.htm (10-Q/A) — 391KB
- ex31-1.htm (EX-31.1) — 15KB
- ex31-2.htm (EX-31.2) — 15KB
- ex32-1.htm (EX-32.1) — 6KB
- 0001493152-25-002558.txt ( ) — 2349KB
- hfus-20241031.xsd (EX-101.SCH) — 21KB
- hfus-20241031_cal.xml (EX-101.CAL) — 39KB
- hfus-20241031_def.xml (EX-101.DEF) — 72KB
- hfus-20241031_lab.xml (EX-101.LAB) — 187KB
- hfus-20241031_pre.xml (EX-101.PRE) — 135KB
- form10-qa_htm.xml (XML) — 202KB
Management's Discussion and Analysis or Plan of Operation
Management's Discussion and Analysis or Plan of Operation 12 Item 3.
Quantitative and Qualitative Disclosures About Market Risk
Quantitative and Qualitative Disclosures About Market Risk 16 Item 4.
Controls and Procedures
Controls and Procedures 16
- OTHER INFORMATION
Part II - OTHER INFORMATION Item 1.
Legal Proceedings
Legal Proceedings 17 Item 1A.
Risk Factors
Risk Factors 17 Item 2. Unregistered Sales of Equity Securities and Use of Proceeds 17 Item 3. Defaults Upon Senior Securities 17 Item 4. Mine Safety Disclosures 17 Item 5. Other Information 17 Item 6. Exhibits 17
SIGNATURES
SIGNATURES 18 2 HARTFORD CREATIVE GROUP, INC. CONDENSED CONSOLIDATED BALANCE SHEETS October 31, 2024 July 31, 2024 (Unaudited) ASSETS Current Assets Cash and cash equivalents $ 52,895 $ 310,763 Accounts receivable - 573,530 Advance to contractor 829,377 2,422,392 Current loan receivable 814,847 138,577 Related party receivable * - - Prepaid and Other current receivables 25,963 26,483 Total Current Assets 1,723,082 3,471,745 Non-current Assets Property and equipment, net 595 587 ROU assets-operating lease 9,105 10,771 Deferred tax assets 204,901 204,901 Total Non-current Assets 214,601 216,259 TOTAL ASSETS $ 1,937,683 $ 3,688,004 LIABILITIES AND STOCKHOLDERS' EQUITY Current Liabilities Accounts payable $ 169,292 $ 1,326,907 Related party loan and payables * 748,653 648,643 Contract liabilities 504,325 1,315,189 Current operating Lease liabilities 5,533 3,491 Other current payable 475,334 461,319 Non-interest-bearing payable * 3,302,469 3,282,161 Total Current Liabilities 5,205,606 7,037,710 Lease liabilities, noncurrent 1,923 3,768 TOTAL LIABILITIES 5,207,529 7,041,478 Commitments and contingencies - - Stockholders' Equity (Deficit) Preferred stock - $ 0.001 par value, 5,000,000 shares authorized, no shares issued and outstanding - - Common stock - $ 0.001 par value, 300,000,000 shares authorized, 100,108,000 shares outstanding at both of October 31, 2024 and July 31, 2024. 100,108 100,108 Additional paid-in capital 2,173,521 2,173,521 Accumulated deficit ( 5,783,574 ) ( 5,910,843 ) Accumulated other comprehensive income 240,099 283,740 Total Stockholders' Deficit ( 3,269,846 ) ( 3,353,474 ) TOTAL LIABILITIES AND STOCKHOLDERS' DEFICIT $ 1,937,683 $ 3,688,004 * Balances reclassified due to related party relationship changes. See Note 4. The accompanying notes are an integral part of these condensed consolidated unaudited finan