OTC: KMFG

KEEMO Fashion Group Ltd

CIK 0001935033 · SIC 5130 · Apparel & Piece Goods

Micro Revenue $15K Assets $319K as of Sep 13, 2026

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10-Q Filed Aug 14, 2026 · Period ending Jun 30, 2026

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8-K Filed Apr 1, 2026 · Period ending Mar 30, 2026

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8-K Filed Mar 30, 2026 · Period ending Mar 30, 2026

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10-Q Filed Mar 16, 2026 · Period ending Jan 31, 2026

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8-K Filed Feb 19, 2026 · Period ending Feb 19, 2026

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10-Q Filed Dec 12, 2025 · Period ending Oct 31, 2025

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Latest financial statements

From 10-Q filed Aug 14, 2026 (period ending Jun 30, 2026). As printed on the EDGAR/iXBRL face — not generated by the model.

As filed

Condensed Consolidated Statement of Operations and Comprehensive Loss (Unaudited)

Description Three months ended June 30 2026 Three months ended June 30 2025
(Consolidated)
REVENUE - -
COST OF REVENUE (2) -
GROSS LOSS (2) -
GENERAL AND ADMINISTRATIVE EXPENSES (19,097) (7,316)
LOSS FROM OPERATIONS (19,099) (7,316)
OTHER INCOME - -
LOSS FROM OPERATIONS BEFORE INCOME TAX (19,099) (7,316)
INCOME TAX EXPENSES - -
NET LOSS (19,099) (7,316)
OTHER COMPREHENSIVE LOSS: - -
FOREIGN CURRENCY TRANSLATION ADJUSTMENTS 3,046 -
TOTAL COMPREHENSIVE LOSS (16,053) (7,316)
NET LOSS PER SHARE- BASIC AND DILUTED (0.00) (0.00)
WEIGHTED AVERAGE NUMBER OF COMMON SHARES OUTSTANDING, BASIC AND DILUTED 55,000,000 55,000,000

Condensed Consolidated Balance Sheets (Unaudited)

Description As of June 30, 2026 (Unaudited) As of March 31, 2026 (Audited)
(Consolidated)
ASSETS
CURRENT ASSETS
Cash and cash equivalents 22,147 15,667
Account receivable, net 45 39
Prepayment 3,176 5,111
TOTAL CURRENT ASSETS 25,368 20,817
NON-CURRENT ASSET
Goodwill 293,498 293,498
TOTAL NON-CURRENT ASSET 293,498 293,498
TOTAL ASSETS 318,866 314,315
LIABILITIES AND SHAREHOLDERS’ EQUITY
CURRENT LIABILITIES
Due to related parties 583,024 554,478
Deferred revenue 45,263 45,255
Other payables and accrued liabilities 20,030 27,980
TOTAL CURRENT LIABILITIES 648,317 627,713
TOTAL LIABILITIES 648,317 627,713
SHAREHOLDERS’ EQUITY
Common stock Par value $ 0.001; Authorized: 75,000,000 shares; Issued and outstanding: 55,000,000 as of June 30, 2026 and March 31, 2026 5,500 5,500
Additional paid in capital 26,600 26,600
Accumulated deficit (353,336) (334,237)
Accumulated other comprehensive loss (8,215) (11,261)
TOTAL SHAREHOLDERS’ DEFICIT (329,451) (313,398)
TOTAL LIABILITIES AND SHAREHOLDERS’ DEFICIT 318,866 314,315

Condensed Consolidated Statement of Cash Flows (Unaudited)

Description Three months ended June 30 2026 Three months ended June 30 2025
(Consolidated)
CASH FLOWS FROM OPERATING ACTIVITIES:
Net loss (19,099) (7,316)
Changes in operating assets and liabilities:
Accounts receivable (6) -
Prepayment 1,934 1,224
Deferred revenue 402 -
Other payables and accrued liabilities (7,867) 662
Net cash used in operating activities (24,636) (5,430)
CASH FLOWS FROM FINANCING ACTIVITY:
Advance from related parties 30,956 966
Net cash from financing activity 30,956 966
Effect of exchange rate changes on cash and cash equivalent 160 -
Net increase/(decrease) in cash and cash equivalents 6,480 (4,464)
Cash and cash equivalents, beginning of period 15,667 23,329
CASH AND CASH EQUIVALENTS, END OF PERIOD 22,147 18,865
SUPPLEMENTAL CASH FLOWS INFORMATION
Income taxes paid - -
Interest paid - -

Amounts as printed on the EDGAR/iXBRL face. Labels, columns, and figures are the filing face, not a GAAP stencil. Interactive statements & notes on EDGAR ↗