Financials

v3.25.3
Statements of Assets and Liabilities - USD ($)
Sep. 30, 2025
Dec. 31, 2024
ASSETS    
Total investments at fair value $ 16,654,297 $ 19,217,779
Cash and cash equivalents 535,349 1,290,864
Restricted cash 5,000 5,000
Due from portfolio companies 33,574 33,049
Interest receivable, net of allowance for bad debt of $0 and $0, respectively 568,329 584,769
Prepaid expenses 100,392 76,418
Total assets 17,896,941 21,207,879
LIABILITIES    
Accrued management fees 91,645 55,286
Accounts payable 149,804 16,545
Due to affiliates [1] 129,750 64,875
Taxes payable 342
Accrued expenses and other liabilities 59,517 27,907
Total liabilities 431,058 164,613
Net assets 17,465,883 21,043,266
NET ASSETS    
Common Stock, par value $0.001 per share (250,000,000 shares authorized; 120,486,061 shares issued and outstanding at September 30, 2025 and December 31, 2024) 120,486 120,486
Paid-in capital 64,868,884 64,868,884
Accumulated deficit (47,523,487) (43,946,104)
Total net assets $ 17,465,883 $ 21,043,266
Net asset value per share (in Dollars per share) [2] $ 0.145 $ 0.175
Control Investments    
ASSETS    
Total investments at fair value $ 12,162,667 $ 15,066,529
Non-control/non-affiliate investments    
ASSETS    
Total investments at fair value $ 4,491,630 $ 4,151,250
[1] Amounts under Due to Affiliates are for accrued amounts payable to the Company’s investment advisor, House Hanover, LLC for the reimbursement of administration fees that it incurs on the Company’s behalf. See Note 6 of the Notes to Financial Statements.
[2] Financial highlights are based on weighted average shares outstanding.

Source

v3.25.3
Statements of Operations (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
INVESTMENT INCOME        
Interest income from non-control/non-affiliate investments $ 2,520 $ 173,452 $ 6,602 $ 514,917
Interest income paid-in kind-from non-control/non-affiliate investments 81,378 234,092
Interest income from control investments 22,043 68,065 110,431 202,712
Other income 8 315 40 938
Total investment income 25,734 326,698 125,213 963,124
OPERATING EXPENSES        
Management fees 44,829 58,140 140,404 202,098
Administration fees 108,859 107,024 322,908 316,853
Audit fees 20,800 20,800 140,400 127,920
Professional fees 9,870 34,465 14,540
Legal fees 17,272 47,361 87,492 123,037
Valuation fees 22,500 22,500 67,500 67,500
Directors’ fees 38,625 38,625 120,375 115,875
Insurance expense 33,198 33,198 98,510 84,038
Other general and administrative expenses 30,282 24,586 97,074 100,292
Total operating expenses 326,235 352,234 1,109,128 1,152,153
Net investment loss before tax (300,501) (25,536) (983,915) (189,029)
Income tax expense 9,302 1,402 9,986 3,356
Net investment loss after taxes (309,803) (26,938) (993,901) (192,385)
Net realized loss on:        
Total net realized loss on investments (5,549,735)
Net change in unrealized gain (loss) on:        
Net change in unrealized gain (loss) on investments (702,832) (986,123) (2,583,482) (3,037,038)
Net realized and unrealized loss on investments (702,832) (986,123) (2,583,482) (8,586,773)
Net decrease in net assets resulting from operations [1] $ (1,012,635) $ (1,013,061) $ (3,577,383) $ (8,779,158)
Net investment loss per share        
Basic (in Dollars per share) $ (0.002) $ 0 $ (0.008) $ (0.002)
Diluted (in Dollars per share) (0.002) 0 (0.008) (0.002)
Net decrease in net assets resulting from operations per share        
Basic (in Dollars per share) [1] (0.008) (0.008) (0.03) (0.073)
Diluted (in Dollars per share) [1] $ (0.008) $ (0.008) $ (0.03) $ (0.073)
Weighted average shares of common stock outstanding        
Basic (in Shares) [1],[2] 120,486,061 120,486,061 120,486,061 120,486,061
Diluted (in Shares) [1] 120,486,061 120,486,061 120,486,061 120,486,061
Non-control/non-affiliate investments        
INVESTMENT INCOME        
Other income $ 1,163 $ 3,488 $ 8,140 $ 10,465
Net change in unrealized gain (loss) on:        
Net change in unrealized gain (loss) on investments 481,278 (705,752) 340,380 (5,548,873)
Control investments        
Net realized loss on:        
Total net realized loss on investments (5,549,735)
Net change in unrealized gain (loss) on:        
Net change in unrealized gain (loss) on investments $ (1,184,110) $ (280,371) $ (2,923,862) $ 2,511,835
[1] Per share data based on weighted average shares outstanding.
[2] Financial highlights are based on weighted average shares outstanding.

Source

v3.25.3
Statements of Cash Flows (Unaudited) - USD ($)
9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Cash flows from operating activities:    
Net decrease in net assets resulting from operations [1] $ (3,577,383) $ (8,779,158)
Adjustments to reconcile net decrease in net assets resulting from operations to net cash used in operating activities:    
Net realized loss on investments 5,549,735
Net change in unrealized loss on investments 2,583,482 3,037,038
Purchase of investments (20,000) (65,000)
Increase in investments due to PIK (234,092)
Sale of investments 192,932
Changes in operating assets and liabilities:    
Due from portfolio companies (525) (5,197)
Interest receivable 16,440 17,229
Allowance for bad debt (16,549)
Prepaid expenses (23,974) (62,309)
Accrued management fees 36,359 (20,749)
Accounts payable 133,259 (53,111)
Due to affiliates 64,875
Taxes payable 342 (59,331)
Deferred fee income 31,395
Accrued expenses and other liabilities 31,610 (40,735)
Net cash used in operating activities (755,515) (507,902)
Net decrease in cash, cash equivalents and restricted cash (755,515) (507,902)
Cash, cash equivalents and restricted cash at beginning of period 1,295,864 1,979,659
Cash, cash equivalents and restricted cash at end of period 540,349 1,471,757
Supplemental disclosure of cash flow financing activities:    
Income tax paid $ 9,644 $ 62,687
[1] Per share data based on weighted average shares outstanding.

Source