$RADC
Readvantage Corp.
CIK:0002057381|SEC Filings
STATEMENT OF OPERATIONS - USD ($) |
12 Months Ended | |
|---|---|---|
Jun. 30, 2026 |
Jun. 30, 2025 |
|
| Income Statement [Abstract] | ||
| NET REVENUE | $ 47,763 | $ 12,966 |
| Other operating costs | (102,509) | (16,133) |
| Depreciation and amortization | (30,605) | (26,200) |
| Other expenses | (21,000) | (19,000) |
| OPERATING LOSS | (106,351) | (48,367) |
| Other income - net | ||
| Finance cost | (20) | (40) |
| LOSS BEFORE TAXATION | (106,371) | (48,407) |
| Taxation | ||
| NET LOSS | $ (106,371) | $ (48,407) |
| NET LOSS PER SHARE: BASIC AND DILUTED | $ (0.02) | $ (0.01) |
| WEIGHTED AVERAGE NUMBER OF SHARES OUTSTANDING: BASIC AND DILUTED | 6,739,314 | 4,504,708 |
STATEMENTS OF CASH FLOWS - USD ($) |
12 Months Ended | |
|---|---|---|
Jun. 30, 2026 |
Jun. 30, 2025 |
|
| $ (106,371) | $ (48,407) | |
| 30,605 | 26,200 | |
| (6,800) | (22,200) | |
| (7,075) | 7,075 | |
| (89,641) | (37,332) | |
| (27,900) | (22,800) | |
| (27,900) | (22,800) | |
| 2,019 | 428 | |
| 55,887 | 60,582 | |
| 48,475 | 10,263 | |
| 106,381 | 71,273 | |
| Net Increase in Cash and Cash Equivalents | (11,160) | 11,140 |
| Cash and cash equivalent at the beginning of the period | 11,160 | 20 |
| Cash and cash equivalent at the end of the period | $ 11,160 | |
BALANCE SHEETS - USD ($) |
Jun. 30, 2026 |
Jun. 30, 2025 |
|---|---|---|
| $ 11,160 | ||
| 11,160 | ||
| 97,296 | 100,001 | |
| 97,296 | 100,001 | |
| 97,296 | 111,161 | |
| 12,000 | 18,800 | |
| 7,075 | ||
| 217,878 | 161,990 | |
| 229,878 | 187,866 | |
| 229,878 | 187,866 | |
| 6,947 | 4,928 | |
| 58,738 | 10,263 | |
| (198,267) | (91,896) | |
| (132,582) | (76,705) | |
| TOTAL LIABILITIES AND STOCKHOLDERS` EQUITY (DEFICIT) | $ 97,296 | $ 111,161 |