Exhibit 99.1

 

NFT LIMITED AND ITS SUBSIDIARIES

UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS

(Stated in U.S. Dollars except Number of Shares)

 

   June 30,   December 31, 
   2025   2024 
   (Unaudited)     
ASSETS        
Current assets        
Cash and cash equivalents  $62,480,801   $82,272,479 
Restricted cash   4,283,608    4,351,692 
Prepayment and other current assets, net   39,175,392    
-
 
Total current assets   105,939,801    86,624,171 
           
Non-current assets          
Non-marketable investment, net   
-
    
-
 
Total non-current assets   
-
    
-
 
Total assets  $105,939,801   $86,624,171 
           
LIABILITIES AND SHAREHOLDERS’ EQUITY          
           
LIABILITIES          
Current liabilities          
Accrued expenses and other payables  $1,543,959   $1,357,964 
Advance from customers   4,283,608    4,351,692 
Tax payables   23,661    15,004 
Total current liabilities   5,851,228    5,724,660 
           
Non-current liabilities          
Convertible loan   20,000,000    
-
 
Total liabilities   25,851,228    5,724,660 
           
COMMITMENTS AND CONTINGENCIES   
-
    
-
 
           
SHAREHOLDERS’ EQUITY          
Common stock (90,000,000 Class A shares authorized; $0.005 par value;5,065,150 shares issued and outstanding as of June 30, 2025 and December 31, 2024)   25,326    25,326 
Additional paid-in capital   109,539,147    109,539,147 
Accumulated deficit   (29,475,900)   (28,664,962)
Total shareholders’ equity   80,088,573    80,899,511 
Total liabilities and shareholders’ equity  $105,939,801   $86,624,171 

 

The accompanying notes are an integral part of these interim condensed consolidated financial statements.

 

1

 

 

NFT LIMITED AND ITS SUBSIDIARIES

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS

(Stated in U.S. Dollars except Number of Shares)

 

   For the Six Months Ended 
   June 30, 
   2025   2024 
   (Unaudited)   (Unaudited) 
Revenue        
Commission  $316,966   $394,949 
Revenue   316,966    394,949 
Cost of revenue   (96,024)   (96,024)
           
Gross profit   220,942    298,925 
           
Operating expenses:          
General and administrative expenses   (904,316)   (894,813)
Total operating expenses   (904,316)   (894,813)
           
Loss from continuing operations   (683,374)   (595,888)
           
Other income and expenses:          
Interest Income   
-
    228,394 
Interest expenses   (118,907)   
-
 
Gain on change of fair value of warrant liability   
-
    6,661,993 
Total other (expenses) income   (118,907)   6,890,387 
           
(Loss) Profit before income taxes-continuing operations   (802,281)   6,294,499 
           
Income tax expenses   8,657    8,498 
           
Net (loss) profit   (810,938)   6,286,001 
           
Net (loss) profit  $(810,938)  $6,286,001 
           
Comprehensive income  $(810,938)  $6,286,001 
           
Profit/(Loss) per common share - basic  $(0.16)  $5.46 
Profit/(Loss) per common share -diluted  $(0.16)  $2.83 
Weighted average number of common shares outstanding-basic   5,065,150    1,151,703 
Weighted average number of common shares outstanding-diluted   5,065,150    2,223,328 

 

The accompanying notes are an integral part of these interim condensed consolidated financial statements.

 

2

 

 

NFT LIMITED AND ITS SUBSIDIARIES

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY

(Stated in U.S. Dollars except Number of Shares)

 

   Number of
shares
   Common
Stock
   Additional
Paid-in
capital
   Accumulated
deficit
   Accumulated
other
comprehensive
loss
   Total 
                         
Balance, December 31, 2023   1,399,676   $38,491   $95,726,623   $(34,961,476)  $
               -
   $60,803,638 
                               
*Correction of par value misstatement   -    (31,493)   31,493    
-
    
-
    
-
 
                               
Effect of rounding fractional shares into whole shares upon reverse stock split   75,458    377    (377)   
-
    
-
    
-
 
                               
Private placement   1,399,675    6,998    15,459,407    
-
    
-
    15,466,405 
                               
Issuance of common stock warrants   -    
-
    (11,158,348)   
-
    
-
    (11,158,348)
                               
Cashless exercise of common stock warrants   1,210,572    6,053    3,363,313    
-
    
-
    3,369,366 
                               
Net profit   -    
-
    
-
    6,286,001    
-
    6,286,001 
                               
Balance, June 30, 2024   4,085,381   $20,426   $103,422,111   $(28,675,475)  $
-
   $74,767,062 
                               
Balance, December 31, 2024   5,065,150   $25,326   $109,539,147   $(28,664,962)  $
-
   $80,899,511 
                               
Net loss    -    
-
    
-
    (810,938)   
-
    (810,938)
                               
Balance, June 30, 2025   5,065,150   $25,326   $109,539,147   $(29,475,900)  $
-
   $80,088,573 

  

* Reclassification between common stock and additional paid-in capital has been prospectively corrected in the current period due to the application of incorrect par value of common stock during the year ended December 31, 2023.

 

The accompanying notes are an integral part of these interim condensed consolidated financial statements.

 

3

 

 

NFT LIMITED AND ITS SUBSIDIARIES

INTERIM CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(Stated in U.S. Dollars)

 

   Six Months Ended 
   June 30,   June 30, 
   2025   2024 
Cash flows from operating activities:          
Net loss  $(810,938)  $6,286,001 
           
Adjustments to reconcile net loss to net cash provided by operating activities:          
Fair value gain on warrant liabilities   
-
    (6,661,993)
Changes in operating assets and liabilities(decrease)increase in:          
Prepayment and other current assets   (39,175,392)   396,263 
Customer deposits   (68,084)   63,349 
Accrued expenses and other payables   194,652    (2,043,296)
Net cash used in operating activities   (39,859,762)   (1,959,676)
           
Cash flows from financing activities:          
Proceeds from issuance of convertible note   20,000,000    
-
 
Proceeds from a private placement   
-
    21,904,920 
Net cash provided by financing activities   20,000,000    21,904,920 
           
Net change in cash and cash equivalents, and restricted cash   (19,859,762)   19,945,244 
           
Cash and cash equivalents, and restricted cash beginning balance   86,624,171    66,057,328 
           
Cash and cash equivalents and restricted cash ending balance  $66,764,409   $86,002,572 
           
Cash and cash equivalents  $62,480,801   $81,632,704 
Restricted cash as of June 30, 2025 and 2024, respectively   4,283,608    4,369,868 
Total cash, cash equivalents and restricted cash  $66,764,409   $86,002,572 

 

 

 

4

 

 

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