Exhibit 99.1

 

SOS Limited

 

Interim Condensed Consolidated Balance Sheets

(US$ thousands, except share data and per share data, or otherwise noted)

 

   Twelve months
as of
   Six months
as of
 
   31-Dec-24   30-Jun-25 
   Audited   Unaudited 
   US$   US$ 
Current assets:        
Cash and cash equivalents   237,484    4,163 
Investment securities   200    200 
Accounts receivable – net   2,630    3,410 
Inventories   33,011    29,153 
Other receivables – net   150,281    401,196 
Amount due from related parties   9,837    9,853 
Tax recoverable   1,823    1,885 
Intangible assets   29,873    29,873 
Total current assets   465,139    479,733 
Non-current assets:          
Property equipment and software-net   17,143    12,312 
Goodwill   72    72 
Total non-current assets   17,215    12,384 
Total assets   482,354    492,117 
           
Liabilities and Shareholders’ Equity          
Current liabilities:          
Accrued liabilities   21,498    28,414 
Accounts payable   12,511    13,324 
Amount due to related parties   642    642 
Tax payable   169    176 
Other payables   11,844    15,494 
Total current liabilities   46,664    58,050 
           
Total liabilities   46,664    58,050 
Shareholders’ equity          
Paid up capital   2,191    5,021 
Additional paid-in capital   761,391    767,271 
Statutory reserve   161    161 
Accumulated deficit   (290,261)   (310,717)
Other comprehensive loss   (31,557)   (27,664)
Non-controlling interests   (6,235)   (5)
Total Shareholders’ equity   435,690    434,067 
Total liabilities and shareholders’ equity   482,354    492,117 

 

 

 

 

SOS Limited

 

Interim Condensed Consolidated Statements of Comprehensive Loss

(US$ thousands, except share data and per share data, or otherwise noted)

 

   Six months ended 
   30-Jun-24   30-Jun-25 
   Unaudited   Unaudited 
   US$   US$ 
Revenue   60,514    89,595 
Operating costs   (58,083)   (90,904)
Gross profit/(loss)   2,431    (1,309)
Gross profit/(loss) ratio   4.0%   (1.5)%
Operating expenses          
Selling expense   (2,199)   (2,342)
General and administrative expense   (14,513)   (9,439)
Share-based compensation   (807)   (1,893)
Total operating expenses   (17,519)   (13,674)
Loss from operations   (15,088)   (14,983)
Other income (expenses):          
Interest income   
-
    (396)
Other income, net   2,333    1,148 
Total other income, net   2,333    752 
           
Loss before income taxes   (12,755)   (14,231)
Income tax expense   4    5 
Net loss   (12,751)   (14,226)
           
Discontinued operations          
Gain on disposal of discontinued operations   1    
-
 
           
Net loss   (12,750)   (14,226)
Non-controlling interests   1,848    10 
Net loss attributable to SOS Limited   (10,902)   (14,216)
           
Other comprehensive loss:          
Foreign currency translation adjustment-net of tax   4,738    (3,892)
Total comprehensive loss   (6,164)   (18,108)
           
Weighted average number of ordinary shares          
           
Basic   364,210,299    1,021,583,035 
Diluted*   364,210,299    1,021,583,035 
LOSS PER SHARE          
Basic   (0.0299)   (0.0139)
Diluted*   (0.0299)   (0.0139)

 

Note 1: *N/A Anti-diluted shares not considered

 

   Six months ended 
   30-Jun-24   30-Jun-25 
   US$   US$ 
None-GAAP adjusted net loss   (807)                
           

 

2

 

 

SOS Limited

 

Interim Condensed Consolidated Statements of Equity

(US$ thousands, except share data and per share data, or otherwise noted)

 

   Ordinary shares     Additional           Accumulated
other
   Non-   Total 
   Class A
shares
   Class B
shares
   Treasury
stock
   Total
shares
   Par
value
   Paid-in
capital
   Accumulated
deficits
   Statutory
Reserve
   comprehensive
loss
   controlling
interests
   shareholders’
equity
 
Balance, December 31, 2024   444,677,724    24,481,451    (13,936,000)   455,223,175    2,191    761,391    (290,261)   161    (31,557)   (6,235)   435,690 
Share-based compensation   339,018,360    5,004,000    -    344,022,360    1,720    173    
-
    
-
    
-
    
-
    1,893 
Issuance of Class A Ordinary Shares and warrant   222,337,500    -    -    222,337,500    1,110    5,707    
-
    
-
    
-
    
-
    6,817 
Net loss   -    -    -    -    
-
    
-
    (14,216)   
-
    
-
    (10)   (14,226)
Disposition of NCI   -    -    -    -    
-
    
-
    (6,240)   
-
    
-
)   6,240   
-
 
Foreign currency translation adjustments   -    -    -    -    
-
    
-
    
-
    
-
    3,893   
-
    3,893 
Balance, June 30, 2025   1,006,033,584    29,485,451    (13,936,000)   1,021,583,035    5,021    767,271    (310,717)   161    (27,664)   (5)   434,067 

 

3

 

 

SOS Limited

 

Interim Condensed Consolidated Statement of Cash Flow

(US$ thousands, except share data and per share data, or otherwise noted)

 

   Six months
ended
   Six months
ended
 
   30-Jun-24   30-Jun-25 
   Unaudited   Unaudited 
   US$   US$ 
Cash flows from operating activities:        
Net loss   (10,902)   (14,216)
Less: Net income from discontinued operation   1    
 
 
Net loss from continuing operation   (10,903)   (14,216)
Adjustments:          
Depreciation and amortization   8,765    4,871 
Share-based compensation   807    1,893 
Amortization of right of use assets   281    
-
 
Accretion of finance leases   6    
-
 
Disposition of NCI   
-
    6,240 
Operating cash flows before movements in working capital   (1,044)   (1,212)
Changes in working capital:          
Inventory   (155)   1,233 
Accounts receivable   297    (780)
Other receivables   (115,566)   (250,915)
Amount due from related parties   29,739    (16)
Accrued liabilities   25,642    6,916 
Accounts payable   (24,016)   813 
Tax payable   400    (55)
Other payables   32,588    3,650 
Amount due to related parties   (999)   
-
 
Lease liabilities   (282)   
-
 
Net cash used in operating activities from continuing operations   (53,396)   (240,366)
Net cash used in in generating from discontinued operating activities   1    
-
 
Net cash used in operating activities   (53,395)   (240,366)
Cash flows from financing activities:          
Repayment of principle portion of lease liabilities   (288)   
-
 
Proceeds from share issuance, net of issuance costs   24,836    6,817 
Net cash generated from financing activities   24,548    6,817 
Net decrease on cash and cash equivalents   (28,847)   (233,549)
Cash and cash equivalents at beginning of the period   279,177    237,484 
Effect of exchange rates on cash and cash equivalents   (3,603)   228 
Cash and cash equivalents at end of the period   246,727    4,163 
Supplemental cash flow information          
Cash paid for income tax   
-
    3 

 

4

 

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