OTC: STWI

StageWise Strategies Corp.

CIK 0001999261 · SIC 7374 · Computer Processing & Data Preparation

Micro Revenue $95K Assets $175K as of Sep 11, 2026

Unless the context otherwise requires, throughout this Annual Report on Form 10-K, the words “StageWise Strategies,” “we,” “us,” or the “Company” refer to StageWise Strategies Corp. (as applicable). About this business →

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

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8-K Filed Aug 3, 2026 · Period ending Jul 28, 2026

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8-K Filed Jul 7, 2026 · Period ending Jun 30, 2026

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8-K Filed Jun 11, 2026 · Period ending Jun 5, 2026

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10-Q/A Filed May 20, 2026 · Period ending Mar 31, 2026

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10-K/A Filed May 20, 2026 · Period ending Sep 30, 2025

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10-Q Filed Apr 30, 2026 · Period ending Mar 31, 2026

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10-K Filed Dec 16, 2025 · Period ending Sep 30, 2025

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10-K Filed Dec 30, 2024 · Period ending Sep 30, 2024

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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

Statements of Operations (Unaudited)

Description Three months ended June 30, 2026 Three months ended June 30, 2025 Nine months ended June 30, 2026 Nine months ended June 30, 2025
Revenue 11,307 8,196 55,774 77,886
Gross Profit 11,307 8,196 55,774 77,886
Operating Expenses
Office rent 142 442 353 542
Office Expenses 160 - 160 -
Postage and Delivery - - - -
Bank Service Charges 16 88 24 361
Business Licenses and Permits - - 150 200
Dues & Subscriptions - 30 - 30
Website CRO expenses - 9,000 - 9,000
Depreciation Expense 10,114 9,924 30,344 23,692
Professional Fees 8,358 22,953 37,836 42,452
SEO Services - 4,251 803 9,919
Marketing Services - 8,748 4,568 20,412
Server Lease - 2,800 2,707 5,600
Website and API Expenses - - 4,000 -
Website Technical Support (refund) - 3,000 (12,000) 3,000
Total operating expenses 18,790 61,236 68,944 115,208
Loss from Operations (7,483) (53,040) (13,170) (37,322)
Other Income (Expense)
Interest Income - - - 3
Total Other Income - - - 3
Net Loss (7,483) (53,040) (13,170) (37,319)
Net Loss per Common Share Basic & Diluted (0.00) (0.01) (0.00) (0.01)
Weighted Average Number of Common Shares Outstanding-Basic & Diluted 4,044,334 5,044,334 4,352,027 4,734,839

Balance Sheets

Description As of June 30, 2026 (Unaudited) As of September 30, 2025 (Audited)
Cash and cash equivalents 44,485 4,573
Total Current Assets 44,485 4,573
Other Assets
Intangible Assets, net 121,872 152,216
Prepaid expenses 8,250 8,078
Total Other Assets 130,122 160,294
TOTAL ASSETS 174,607 164,867
LIABILITIES & STOCKHOLDERS’ EQUITY
Liabilities
Accounts Payable - 8,599
Deferred revenue - 14,602
Loan from Related Parties - 218,700
Deposit for Common Stock 44,500 -
Total Current Liabilities 44,500 241,901
Total Liabilities 44,500 241,901
Stockholders’ Equity
Common Stock, $0.001 par value, 75,000,000 shares authorized, 4,044,334 shares issued and outstanding as of June 30, 2026 and 5,044,334 as of September 30, 2025 4,044 5,044
Additional Paid-in Capital 251,597 30,286
Accumulated Deficit (125,534) (112,364)
Total Stockholders’ Equity 130,107 (77,034)
TOTAL LIABILITIES & STOCKHOLDER’S EQUITY 174,607 164,867

Statements of Cash Flows (Unaudited)

Description Nine months ended June 30, 2026 Nine months ended June 30, 2025
Net Loss (13,170) (37,319)
Adjustments to reconcile Net Income to net cash provided by operations:
Prepaid expenses (172) (30,345)
Accounts payable (8,599) (4,901)
Deferred revenue (14,602) 8,028
Deposit for common stock 44,500 -
Amortization expense 30,344 23,692
Net cash provided by (used in) Operating Activities 38,301 (40,845)
CASH FLOWS FROM INVESTING ACTIVITIES
Intangible assets - (82,450)
Net cash provided by (used in) Investing Activities - (82,450)
CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from the Sale of Common Stock - 910
Additional Paid-in Capital - 26,400
Proceeds from Loan from Related Parties 13,611 84,870
Repayment to Loan from Related Parties (12,000) -
Net cash provided by Financing Activities 1,611 112,180
Cash at beginning of period 4,573 11,343
Cash at end of period 44,485 228
Net cash increase (decrease) for period 39,912 (11,115)
Supplemental Non-Cash Investing and Financing Activities
Repayment of Loan from Related Parties 220,311 -

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 ↗

About StageWise Strategies Corp.

Source: Item 1 (Business) from the 10-K filed December 16, 2025. Description as filed by the company with the SEC.

ITEM 1. BUSINESS

Business Overview

Unless the context otherwise requires, throughout
this Annual Report on Form 10-K, the words “StageWise Strategies,” “we,” “us,” or the “Company”
refer to StageWise Strategies Corp. (as applicable).

We are committed to providing Search Engine Optimization
(“SEO”) solutions to emerging entrepreneurs. Our platform provides a keyword research tool to identify and select keywords
relevant to a business or website. Through keyword analysis and website optimization, we boost search engine rankings, driving more organic
traffic and expanding product and service reach.

Our service is designed to provide entrepreneurs with
an enhanced approach to website promotion. We offer 15 complimentary queries, for a firsthand experience. We present three monthly subscription
plans: Basic, Standard, and Premium, each with expanding functionality and request allowances. These subscriptions enable clients to elevate
their website promotion efforts to align with their specific needs and ambitions.

Our subscription-based API tool is tailored to provide
a significantly expanded quota of queries. This enhancement elevates the quality of business development strategies, delivering advantages
for entrepreneurs managing multiple concurrent projects. Users have the capability to export the acquired keywords, facilitating their
utilization in content creation, search engine optimization, contextual advertising, or any other relevant applications.

Access to our service is facilitated through the website,
which offers extensive information on our services, pricing structures, and a dedicated contact option for plan selection.

Read full description ↓

Our platform allows entrepreneurs to maintain a comprehensive
focus on all their projects, regardless of their stage, whether they are startups or well-established businesses. With the assistance
of our platform's tips and guidance, entrepreneurs can systematically promote each project, ensuring a high-quality approach every step
of the way.

Business Model

Our business model is designed to serve emerging
entrepreneurs by offering SEO solutions that prioritize boosting online presence through keyword analysis and website optimization.
We empower our clients to attract more organic traffic and expand their product and service reach. Our revenue generation plan
includes subscription-based models, comprising Basic, Standard, and Premium tiers, each offering expanded functionality and request
allowances. Entrepreneurs managing multiple projects can benefit from our subscription-based API tool, which provides a
significantly increased quota of queries, enabling them to elevate the quality of their business development strategies.
Additionally, we offer a keyword research tool, allowing users to access 15 keywords and a comprehensive business description with a
single request. This tool serves entrepreneurs, particularly those managing multiple projects, by facilitating tasks such as content
creation, search engine optimization, contextual advertising, and can be accessed through our website. Our channels of engagement
primarily involve online access to our website, where clients can select subscription plans and download our program to access and
make use of our services.

4

Our Competitive Strengths:

Keyword Analysis and Optimization: We specialize in identifying and utilizing relevant keywords
to optimize websites for improved search engine performance.

Strategic Online Promotion: Our service delivers a methodical approach to online promotion,
recognizing the significance of a robust online presence for entrepreneurial success.

Complimentary Queries: We provide a complimentary allocation of 15 queries, allowing
users to sample our service by uncovering valuable keywords and receiving guidance within this limit.

Subscription Plans: We present three subscription tiers - Basic, Standard, and Premium - each
offering progressively advanced functionality and query allowances to cater to varying client needs.

Expanding Database: Our service features an expanding database containing comprehensive
information on business promotion and diverse project execution scenarios, aiding informed decision-making.

API Tool: For users handling multiple projects concurrently, our subscription-based
API tool offers an expanded query quota, enabling advanced business development strategies and keyword export for various applications.

User-Friendly Platform: Our service is easily accessible through our website, where
users can find detailed information on services, pricing plans, and an intuitive interface for plan selection.

Holistic Project Management: Entrepreneurs, whether startups or established businesses,
can benefit from our platform's guidance and tools for systematic project promotion.

Effect of General Economic Conditions on our Business

The state of the general economy significantly
affects our SEO business. During economic recoveries and stable periods, entrepreneurs are more willing to invest in enhancing their online
presence. A strong economy makes it easier for them to justify this investment, resulting in increased demand for our SEO services. In
contrast, economic downturns may lead to reduced demand as businesses tighten their budgets. Therefore, the economic environment plays
a pivotal role in determining the demand for our services.

Regulation

Our activities are subject to a number of
federal, state, and international laws and regulations governing online platforms and mobile devices. These laws cover areas such as
privacy, user data protection (including the collection of data from minors), online and mobile content, advertising, marketing
activities, and anti-corruption measures.

5

We recognize the dynamic nature of the regulatory
environment in the online platform and mobile device sector and are committed to fully complying with all applicable laws and regulations
governing our industry.

Employees

As of the date of this report, the Company
has no employees other than its executive officers. The Board of Directors consists of two members, Victor Balan and Marcelo Ramon Alarcon
Martinez. Victor Balan serves as President, Secretary, Treasurer and Chief Executive Officer.

None of the Company’s directors or executive
officers is party to an employment agreement with the Company.

Corporate organization

StageWise Strategies is a Nevada corporation
organized in 2023 with its principal office located at Friedrichstr. 114A, 10117, Berlin, Germany. Our telephone number is (413) 307-6199.