OTC: KMFG

KEEMO Fashion Group Ltd

CIK 0001935033 · Industrials · SIC 5130 · Apparel & Piece Goods

Micro Revenue $15K Assets $314K as of Jul 19, 2026

Each report below shows a 3-bullet preview. Free accounts read 3 full reports a month — narrative summary, section diffs, and EDGAR-cited quotes.

Sign up free

Want to see a complete report first? Today's free report (RBLX 10-Q) is open in full — no account needed.

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

Summary not yet generated.

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

Summary not yet generated.

Partner

Trade KMFG commission-free

Open an account, get a free stock.

Sign up

Investing involves risk. Free stock terms apply.

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

Summary not yet generated.

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

Summary not yet generated.

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

Summary not yet generated.

Latest financial statements

From 10-Q filed Mar 16, 2026 (period ending Jan 31, 2026). SEC XBRL (companyfacts) — not generated by the model.

SEC XBRL

Consolidated Statements of Operations (Unaudited)

Description Q2 ended Jan 31, 2026 Six months ended Jan 31, 2026
Revenue:
Cost of revenue / cost of sales 1.00
Gross profit (1.00)
Operating expenses:
General and administrative 17,802
Operating income (17,803)
Income before income taxes (30,239)
Net income (17,803)
Basic earnings per share
Diluted earnings per share

Consolidated Balance Sheets (Unaudited)

Description Jan 31, 2026 Oct 31, 2025
Current assets:
Cash and equivalents 22,696 28,612
Accounts receivable, net 41.00 39.00
Prepaid expenses and other current assets 6,409 184.00
Total current assets 29,146 28,835
Goodwill 293,498 293,498
TOTAL ASSETS 322,644 322,333
Current liabilities:
Accrued liabilities 888.00 4,889
Deferred revenue, current 45,254 45,248
Other current liabilities 564,156 523,048
Total current liabilities 610,298 573,185
Total liabilities 610,298 573,185
Shareholders' equity:
Common stock 5,500 5,500
Capital in excess of stated value 25,317 25,317
Accumulated other comprehensive income (loss) (21,363) (2,364)
Retained earnings (deficit) (297,108) (279,305)
Total shareholders' equity (287,654) (250,852)
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY 322,644 322,333

Consolidated Statements of Cash Flows (Unaudited)

Description Six months ended Jan 31, 2026 Q1 ended Oct 31, 2025
Operating Activities:
Net cash from operating activities (47,982) (15,634)
Investing Activities:
Net cash from investing activities 29,687 29,687
Financing Activities:
Net cash from financing activities 37,125 11,293
Net increase/(decrease) in cash 19,608 25,524

Amounts in USD as reported; EPS as reported. Line labels are presentation-friendly mappings of filer XBRL tags — not a re-audit of the full statements. Use EDGAR for interactive notes and detail. Interactive statements & notes on EDGAR ↗