EXHIBIT-1 ANNUAL REPORT TO SECURITY HOLDERS SEE EXHIBIT-1 Xgains4keeps Inc(Ltd)		Income Statement 	 For the Years Ending [June 30, 2020 and June 30, 2019] 		 $	 $ Revenue	 2020	 2019 	Sales revenue 	(Less sales returns and allowances) 	Service revenue	60,067 	 734 	Interest revenue 	Other revenue Total Revenues	 60,067 734 Expenses 	Advertising 	Bad debt 	Commissions	 209 	Cost of goods sold 	Depreciation 	Employee/Users benefits 59,243 	Furniture and equipment 	Insurance 	Interest expense 	Maintenance and repairs 	Office supplies 	Payroll taxes 	Rent	 55 	Research and development 	Salaries and wages	 565 	Software 	Travel 	Utilities 	Web hosting and domains	 488 	 384 	Other	 157 358 Total Expenses	 60,717 742 	Net Income Before Taxes	 (650)	 (8) 	Income tax expense Income from Continuing Operations (650)	 (8) Below-the-Line Items 	Income from discontinued operations 	Effect of accounting changes 	Extraordinary items Net Income	 (650)	 (8) Xgains4keeps Inc/Ltd		Balance Sheet 		Date:	June 30th 2020 Assets	 	 2020($)	 2019($) Current Assets 	Cash	 (650)	 (8) 	Accounts receivable 	Inventory 	Prepaid expenses 	Short-term investments 	Total current assets	 (650)	 (8) Fixed (Long-Term) Assets 	Long-term investments 	Property, plant, and equipment 	(Less accumulated depreciation) 	Intangible assets	 1,513,500,000	 13,500,000 	Total fixed assets	 1,513,500,000 	 13,500,000 Other Assets 	Deferred income tax 	Other 	Total Other Assets	 $ - 	 $ Total Assets	 1,513,499,350 	 13,499,992 Liabilities and Owner's Equity Current Liabilities 	Accounts payable 	Short-term loans 	Income taxes payable	 11,160 	 10,160 	Accrued salaries and wages 500,000 	 380,000 	Unearned revenue 	Current portion of long-term debt 	Total current liabilities 511,160 	 390,160 Long-Term Liabilities 	Long-term debt 	Deferred income tax 	Other 	Total long-term liabilities	 $ $ Owner's Equity 	Owner's investment	 908 	 734 	Retained earnings 	Other 	Total owner's equity	 908 	 734 Total Liabilities and Owner's Equity 512,068 	 390,894 Common Financial Ratios Debt Ratio (Total Liabilities / Total Assets)	 0.00	 0.03 Current Ratio (Current Assets / Current Liabilities) 0.00	 0.00 Working Capital (Current Assets - Current Liabilities)	 (511,810) (390,168) Assets-to-Equity Ratio (Total Assets / Owner's Equity)	 1,666,162.49	 18,390.86 Debt-to-Equity Ratio (Total Liabilities / Owner's Equity)	 562.72	 531.51 Xgains4keeps Inc/Ltd Cash Flow Statement For the Year Ending	30/06/2020 ($) 	Cash at Beginning of Year	 -8 Operations Cash receipts from 	Customers	2,406 	Other Operations Cash paid for 	Inventory purchases 	General operating and administrative expenses	908 	Wage expenses	 565 	Interest 	Income taxes Net Cash Flow from Operations	 3,879 Investing Activities Cash receipts from 	Sale of property and equipment 	Collection of principal on loans 	Sale of investment securities Cash paid for 	Purchase of property and equipment 	Making loans to other entities 	Purchase of investment securities Net Cash Flow from Investing Activities	 0 Financing Activities Cash receipts from 	Issuance of stock 	Borrowing	57,661 Cash paid for 	Repurchase of stock (treasury stock) 	Repayment of loans	 59,243 	Dividends Net Cash Flow from Financing Activities	 116,904 Net Increase in Cash	 120,784 Cash at End of Year	 120,766