Restated Statements Of Operations And Cash Flows (Details) - USD ($) | 12 Months Ended |
Jun. 30, 2020 | Jun. 30, 2019 |
Revenue | | |
Expenses | | |
General and administrative Exp | 6,401 | 995 |
Professional fees | 20,432 | 29,700 |
Total expenses | 27,618 | 30,695 |
Net (Loss) | (27,618) | (30,695) |
Cash flow from operating activities | | |
Net loss | (27,618) | (30,695) |
Changes in Operating Assets and Liabilities: | | |
Increase (Decrease) in advances | (4,638) | 4,638 |
Increase (Decrease) in due to related party | | 1,000 |
Net cash used in operating activities | (11,801) | (34,333) |
Cash flows from investing activities | | |
Net cash flows from investing activities | | |
Cash flows from financing activities | | |
Net cash provided by financing activities | | |
Net increase in cash, cash equivalents, and restricted cash | (11,801) | (34,333) |
Cash, cash equivalents, and restricted cash at beginning of year | 17,367 | 51,700 |
Cash, cash equivalents, and restricted cash at end of year | 5,566 | 17,367 |
Supplemental cash flow information: | | |
Cash paid for interest | | |
Cash paid for income taxes | | |
Previously Reported [Member] | | |
Revenue | | |
Expenses | | |
General and administrative Exp | | 995 |
Professional fees | | 33,338 |
Total expenses | | 34,333 |
Net (Loss) | | $ (34,333) |
Basic and diluted loss per common share | | $ (0.0076) |
Weighted average number of common shares outstanding - basic and diluted | | 4,500,000 |
Cash flow from operating activities | | |
Net loss | | $ (34,333) |
Changes in Operating Assets and Liabilities: | | |
Increase (Decrease) in advances | | |
Increase (Decrease) in due to related party | | |
Net cash used in operating activities | | (34,333) |
Cash flows from investing activities | | |
Net cash flows from investing activities | | |
Cash flows from financing activities | | |
Net cash provided by financing activities | | |
Net increase in cash, cash equivalents, and restricted cash | | (34,333) |
Cash, cash equivalents, and restricted cash at beginning of year | 17,367 | 51,700 |
Cash, cash equivalents, and restricted cash at end of year | | 17,367 |
Supplemental cash flow information: | | |
Cash paid for interest | | |
Cash paid for income taxes | | |
Restatement Adjustment [Member] | | |
Revenue | | |
Expenses | | |
General and administrative Exp | | |
Professional fees | | (3,638) |
Total expenses | | (3,638) |
Net (Loss) | | $ 3,638 |
Basic and diluted loss per common share | | $ 0.0008 |
Weighted average number of common shares outstanding - basic and diluted | | 4,500,000 |
Cash flow from operating activities | | |
Net loss | | $ 3,638 |
Changes in Operating Assets and Liabilities: | | |
Increase (Decrease) in advances | | 4,638 |
Increase (Decrease) in due to related party | | 1,000 |
Net cash used in operating activities | | |
Cash flows from investing activities | | |
Net cash flows from investing activities | | |
Cash flows from financing activities | | |
Net cash provided by financing activities | | |
Net increase in cash, cash equivalents, and restricted cash | | |
Cash, cash equivalents, and restricted cash at beginning of year | | |
Cash, cash equivalents, and restricted cash at end of year | | |
Supplemental cash flow information: | | |
Cash paid for interest | | |
Cash paid for income taxes | | |
Restated [Member] | | |
Revenue | | |
Expenses | | |
General and administrative Exp | | 995 |
Professional fees | | 29,700 |
Total expenses | | 30,695 |
Net (Loss) | | $ (30,695) |
Basic and diluted loss per common share | | $ (0.0068) |
Weighted average number of common shares outstanding - basic and diluted | | 4,500,000 |
Cash flow from operating activities | | |
Net loss | | $ (30,695) |
Changes in Operating Assets and Liabilities: | | |
Increase (Decrease) in advances | | 4,638 |
Increase (Decrease) in due to related party | | 1,000 |
Net cash used in operating activities | | (34,333) |
Cash flows from investing activities | | |
Net cash flows from investing activities | | |
Cash flows from financing activities | | |
Net cash provided by financing activities | | |
Net increase in cash, cash equivalents, and restricted cash | | (34,333) |
Cash, cash equivalents, and restricted cash at beginning of year | $ 17,367 | 51,700 |
Cash, cash equivalents, and restricted cash at end of year | | 17,367 |
Supplemental cash flow information: | | |
Cash paid for interest | | |
Cash paid for income taxes | | |