0001213900-14-008185.txt : 20141114 0001213900-14-008185.hdr.sgml : 20141114 20141114124336 ACCESSION NUMBER: 0001213900-14-008185 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 8 CONFORMED PERIOD OF REPORT: 20140930 FILED AS OF DATE: 20141114 DATE AS OF CHANGE: 20141114 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BTHC X INC CENTRAL INDEX KEY: 0001375685 STANDARD INDUSTRIAL CLASSIFICATION: BLANK CHECKS [6770] IRS NUMBER: 205456047 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-52237 FILM NUMBER: 141222190 BUSINESS ADDRESS: STREET 1: 2 ARGYROKASTROU STREET STREET 2: VOULA 16673 CITY: ATHENS STATE: J3 ZIP: 16673 BUSINESS PHONE: 302108943047 MAIL ADDRESS: STREET 1: 2 ARGYROKASTROU STREET STREET 2: VOULA 16673 CITY: ATHENS STATE: J3 ZIP: 16673 FORMER COMPANY: FORMER CONFORMED NAME: BTHC X DATE OF NAME CHANGE: 20060915 10-Q 1 f10q0914_bthcxinc.htm QUARTERLY REPORT

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, DC 20549

 

Form 10-Q

 

(Mark one)

 

☒    Quarterly Report under Section 13 or 15(d) of the Securities Exchange Act of 1934

 

For the quarterly period ended September 30, 2014

 

☐    Transition Report under Section 13 or 15(d) of the Securities Exchange Act of 1934

 

For the transition period from ______________ to _____________

 

Commission File Number: 000-52237

 

BTHC X, Inc.

(Exact name of registrant as specified in its charter)

 

Delaware   20-5456047
(State of incorporation)    (IRS Employer ID Number)

 

2 ARGYROKASTROU STREET VOULA

16673, ATHENS, GREECE

(Address of principal executive offices)
 
+30 210 899 2896
(Issuer's telephone number)

 

Check whether the issuer (1) filed all reports required to be filed by Section 13 or 15(d) of the Exchange Act during the past 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. YES ☒      NO ☐

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). YES ☒       NO ☐

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer”, “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

 

Large accelerated filer Accelerated filer
Non-accelerated filer Smaller reporting company

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act): YES ☒       NO ☐     

 

State the number of shares outstanding of each of the issuer's classes of common equity as of the latest practicable date: November 14, 2014: 5,839,933

 

Transitional Small Business Disclosure Format (check one): YES ☐       NO ☒

 

 

 

 
 

 

BTHC X, Inc.

Form 10-Q for the Quarter ended September 30, 2014

Table of Contents

                                  

  Page
   
Part I - Financial Information  
   
Item 1 - Financial Statements F-2
   
Item 2 - Management's Discussion and Analysis or Plan of Operation 3
   
Item 3 - Quantitative and Qualitative Disclosures About Market Risk 7
   
Item 4 - Controls and Procedures 7
   
Part II - Other Information
   
Item 1 - Legal Proceedings 7
   
Item 1A - Risk Factors 7
   
Item 2 - Recent Sales of Unregistered Securities and Use of Proceeds 7
   
Item 3 - Defaults Upon Senior Securities 7
   
Item 4 - Mine Safety Disclosures 7
   
Item 5 - Other Information 8
   
Item 6 - Exhibits 8
   
Signatures 9

 

2
 

 

Part I

 

BTHC X, Inc.

(a development stage company)

 

Contents

 

  Page
Financial Statements  
   
Balance Sheets as of September 30, 2014 and December 31, 2013 F-2
   
Statements of Operations and Comprehensive Loss for the three and nine months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014 F-3
 
Statements of Cash Flows for the nine months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014 F-4
   
Notes to Financial Statements F-5

 

F-1
 

 

BTHC X, Inc.

(a development stage company)

Balance Sheets

September 30, 2014 and December 31, 2013

 

   September 30,   December 31, 
   2014
(unaudited)
   2013
(audited)
 
         
ASSETS        
Current Assets        
Cash on hand and in bank  $-   $- 
Prepaid Expenses   -    - 
Total Assets  $-   $- 
           
Current Liabilities          
Accounts payable – trade  $49,751   $49,195 
Due to controlling stockholder   240,819    200,541 
           
Total Liabilities   290,570    249,736 
           
Commitments and Contingencies          
           
Stockholders' Deficit          
Preferred stock - $0.001 par value 10,000,000 shares authorized. None issued and outstanding   -    - 
Common stock - $0.001 par value 40,000,000 shares authorized. 5,839,933 issued and outstanding   5,840    5,840 
Additional paid-in capital   65,140    65,140 
Deficit accumulated during the development stage   (361,550)   (320,716)
           
Total Stockholders' Deficit   (290,570)   (249,736)
           
Total Liabilities and Stockholders’ Deficit  $       $ 

 

The accompanying notes are in integral part of these financial statements.

 

F-2
 

 

BTHC X, Inc.

(a development stage company)

Statements of Operations and Comprehensive Loss

Three and Nine months ended September 30, 2014 and 2013 and

Period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014

 

   Nine months Ended September 30, 2014   Nine months Ended September 30, 2013   Three months Ended September 30, 2014   Three months ended September 30, 2013   Period from 29-Nov-04 (date of bankruptcy settlement) Through September 30, 2014 
                          
Revenues  $-   $-   $-   $-   $- 
                          
Operating expenses                         
Reorganization costs   -    -    -    -    2,248 
Professional fees   30,491    31,500    10,500    10,500    281,359 
General and administrative expenses   10,343    10,684    3,351    4,488    73,443 
                          
Total operating expenses   40,834    42,184    13,851    14,988    357,050 
                          
Loss from operations   (40,834)   (42,184)   (13,851)   (14,988)   (357,050)
                          
Other Expense                         
Abandonment of goodwill acquired in Sur-America Ventures Inc.   -    -    -    -    (4,500)
                          
Loss before Provision for Income Taxes   (40,834)   (42,184)   (13,851)   (14,988)   (361,550)
                          
Provision for income taxes   -    -    -    -    - 
                          
Net loss   (40,834)   (42,184)   (13,851)   (14,988)   (361,550)
                          
Other comprehensive income   -    -    -    -    - 
                          
Comprehensive loss  $(40,834)  $(42,184)  $(13,851)  $(14,988)  $(361,550)
                          
Loss per weighted-average share of common stock outstanding, computed on net loss - basic and fully diluted  $(0.01)  $(0.01)  $(0.01)  $(0.002)  $(0.12)
                          
Weighted-average number of shares of common stock outstanding - basic and fully diluted   5,839,933    5,839,933    5,839,933    5,839,933    3,112,576 

 

The accompanying notes are in integral part of these financial statements.

 

F-3
 

 

BTHC X, Inc.

(a development stage company)

Statements of Cash Flows

Nine months ended September 30, 2014 and 2013

Period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014

 

   Nine months ended September 30, 2014   Nine months ended September 30, 2013   Period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014 
Cash Flows from Operating Activities            
Net loss for the period  $(40,834)  $(42,184)  $(361,550)
Adjustments to reconcile net loss to net cash provided by operating activities Abandonment of goodwill acquired in Sur-America Ventures, Inc.   -    -    4,500 
Increase in prepaid expenses   -    -    - 
Decrease/ increase in accounts payable-trade   556    17,508    49,751 
                
Net cash used in operating activities   (40,278)   (24,676)   (307,299)
                
Cash Flows from Investing Activities   -    -    - 
                
Cash Flows from Financing Activities               
Cash funded from bankruptcy trust   -    -    1,000 
Cash received on sale of common stock   -    -    60,000 
Cash provided by former controlling shareholder   -    -    65,480 
Cash repaid to former controlling shareholder   -    -    (60,000)
Cash provided by current controlling stockholder   40,278    24,676    240,819 
                
Net cash provided by financing activities   40,278    24,676    307,299 
                
Decrease/ Increase in Cash   -    -    - 
                
Cash at beginning of period   -    -    - 
                
Cash at end of period  $-   $-   $- 
                
Supplemental Disclosure of Interest and Income Taxes Paid               
Interest paid during the period  $-   $-   $- 
Income taxes paid during the period  $-   $-   $- 
                
Supplemental Disclosure of Non-Cash Investing and Financing Activities               
Debt due former controlling stockholder contributed as additional paid-in capital  $-   $-   $- 

 

The accompanying notes are in integral part of these financial statements.

 

F-4
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements

September 30, 2014 and 2013

 

Note A - Background and Description of Business

 

BTHC X, Inc. (“Company”) was incorporated on August 16, 2006, in accordance with the Laws of the State of Delaware.  The Company is the U. S. Bankruptcy Court mandated reincorporation of and successor to BTHC X, LLC, a Texas Limited Liability Company which was discharged from bankruptcy on November 29, 2004.  The effective date of the merger of BTHC X, Inc. and BTHC X, LLC was August 16, 2006.

 

The Company’s emergence from Chapter 11 of Title 11 of the United States Code on November 29, 2004 created the combination of a change in majority ownership and voting control - that is, loss of control by the then-existing stockholders, a court-approved reorganization, and a reliable measure of the entity’s fair value - resulting in a fresh start, creating, in substance, a new reporting entity.  Accordingly, the Company, post bankruptcy, has no significant assets, liabilities or operating activities.  Therefore, the Company, as a new reporting entity, qualifies as a “development stage enterprise” as defined in the Reorganization topic of the FASB Accounting Standards Codification.

 

On May 21, 2009, the Company entered into a Share Exchange Agreement (“Share Exchange Agreement”) with Sur-America Ventures, Inc., a Delaware corporation (“SAV”), and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.

 

SAV was organized on May 19, 2009 as a Delaware corporation and was formed to seek and identify a privately-held operating company located in Latin America desiring to become a publicly held company with access to United States capital markets through a reverse merger or acquisition transaction.

 

On September 18, 2009, the Company entered into a Securities Purchase Agreement (“SPA”), with Magellan Alpha Investments Corp., a Marshall Islands corporation (“Magellan”) and Pierre Galoppi, the Company’s then-sole director and officer (“Seller”).  Pursuant to the SPA, Magellan purchased from the Seller an aggregate of 1,576,782 shares of the Company’s issued and outstanding common stock and, concurrent with the execution of the SPA, Magellan purchased an additional 4,087,953 newly issued shares of the Company’s common stock pursuant to a Subscription Agreement (“SA”), for $60,000 cash.  After closing of both the SPA and SA, Magellan then owned an aggregate of approximately 5,664,735 shares common stock of the Company and approximately 5,839,933 shares of the Company’s common stock were then issued and outstanding.  Magellan subsequently sold a portion of its shares to certain third parties in a private transaction.

 

The Company is currently considering alternative business plans, including but not limited to locating and combining with an existing company located in the Far East, which is profitable or, in management's view, has growth potential, irrespective of the industry in which it is engaged, desiring to become a publicly held company with access to United States capital markets through a combination transaction with the Company.  However, the Company does not intend to combine with a company which may be deemed to be an investment company subject to the Investment Company Act of 1940.  A combination may be structured as a merger, consolidation, exchange of our common stock for stock or assets or any other form which will result in the combined enterprises becoming a publicly-held corporation.

 

F-5
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note B - Bankruptcy Action

 

Commencing on March 28, 2003, BTHC X, LLC filed for protection under Chapter 11 of the Federal Bankruptcy Act in the United States Bankruptcy Court, Northern District of Texas - Dallas Division (“Bankruptcy Court”).  The Company’s bankruptcy action was part of a combined case (Case No. 03-33152-HDH-11) encompassing the following related entities: Ballantrae Healthcare, LLC; Ballantrae Texas, LLC; Ballantrae  New Mexico, LLC; Ballantrae Missouri, LLC; Ballantrae Illinois, LLC; BTHC I, LLC; BTHC II, LLC; BTHC III, LLC; BTHC IV, LLC; BTHC V, LLC; BTHC VI, LLC; BTHC VIII, LLC; BTHC VIIII, LLC; BTHC X, LLC; BTHC XI, LLC; BTHC XII, LLC; BTHC XIV, LLC; BTHC XV, LLC; BTHC XVII, LLC; BTHC XIX, LLC; BTHC XX, LLC; BTHC XXI, LLC; BNMHC I, LLC; BMOHC II, LLC; BILHC I, LLC, BILHC II, LLC; BILHC III, LLC; BILHC IV, LLC; BILHC V, LLC.

 

All assets, liabilities and other claims against the Company and its affiliated entities were combined for the purpose of distribution of funds to creditors.  Each of the entities otherwise remained separate corporate entities.  From the commencement of the bankruptcy proceedings through November 29, 2004 (the effective date of the Plan of Reorganization), all secured claims and/or administrative claims during this period were satisfied through either direct payment or negotiation.

 

A Plan of Reorganization was approved by the United States Bankruptcy Court, Northern District of Texas - Dallas Division on November 29, 2004.  The Plan of Reorganization, which contemplates the Company entering into a reverse merger transaction, provided that certain identified claimants as well as unsecured creditors, in accordance with the allocation provisions of the Plan of Reorganization, and the Company’s new controlling stockholder would receive “new” shares of the Company’s post-reorganization common stock, pursuant to Section 1145(a) of the Bankruptcy Code.  As a result of the Plan’s approval, all liens, security interests, encumbrances and other interests, as defined in the Plan of Reorganization, attach to the creditor’s trust.  Specific injunctions prohibit any of these claims from being asserted against the Company prior to the contemplated reverse merger.

 

The cancellation of all existing shares outstanding at the date of the bankruptcy filing and the issuance of all “new” shares of the reorganized entity caused an issuance of shares of common stock and a related change of control of the Company with more than 50.0% of the “new” shares being held by persons and/or entities which were not pre-bankruptcy stockholders.  Accordingly, per the Reorganization topic of the FASB Accounting Standards Codification (Reorganization topic), the Company adopted “fresh-start” accounting as of the bankruptcy discharge date whereby all continuing assets and liabilities of the Company were restated to the fair market value.  The Reorganization topic further states that fresh start financial statements prepared by entities emerging from bankruptcy will not be comparable with those prepared before their plans were confirmed because they are, in fact, those of a new entity.  For accounting purposes, the Company adopted fresh start accounting in accordance with the Reorganization topic as of November 29, 2004, the confirmation date of the Plan.

 

As of November 29, 2004, by virtue of the confirmed Plan of Reorganization, the only asset of the Company was approximately $1,000 in cash due from the Bankruptcy Estate.

 

Note C - Preparation of Financial Statements

 

The Company follows the accrual basis of accounting in accordance with generally accepted accounting principles and retains the Company’s pre-bankruptcy year-end of December 31.

 

F-6
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note C - Preparation of Financial Statements - Continued

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period.  Actual results could differ from those estimates.

 

Management further acknowledges that it is solely responsible for adopting sound accounting practices, establishing and maintaining a system of internal accounting control and preventing and detecting fraud.  The Company’s system of internal accounting control is designed to assure, among other items, that 1) recorded transactions are valid; 2) valid transactions are recorded; and 3) transactions are recorded in the proper period in a timely manner to produce financial statements which present fairly the financial condition, results of operations and cash flows of the Company for the respective periods being presented.

 

Note D - Going Concern Uncertainty

 

The Company has no post-bankruptcy operating history, no cash on hand, no operations and has a business plan with inherent risk.  Because of these factors, the Company’s auditors have issued an audit opinion on the Company’s financial statements which includes a statement describing our going concern status.  This means, in the auditor’s opinion, substantial doubt about our ability to continue as a going concern exists at the date of their opinion.

 

The Company’s current and former majority stockholder has maintained the corporate status of the Company and has provided all nominal working capital support on the Company's behalf since the bankruptcy discharge date.  Because of the Company's lack of operating assets, its continuance is fully dependent upon the majority stockholder's continuing support.  The majority stockholder intends to continue the funding of nominal necessary expenses to sustain the corporate entity.  However, the Company is at the mercy of future economic trends and business operations for the Company’s majority stockholder to have the resources available to support the Company.  Should we fail to obtain financing, the Company has not identified any alternative sources of working capital to support the Company. If no additional operating capital is received, the Company will be forced to rely on existing cash in the bank and additional funds loaned by management and/or significant stockholders.

 

The Company's continued existence is dependent upon its ability to generate sufficient cash flows from operations to support its daily operations as well as provide sufficient resources to retire existing liabilities and obligations on a timely basis.  Further, the Company faces considerable risk in its business plan and a potential shortfall of funding due to our inability to raise capital in the equity securities market.  If no additional operating capital is received during the next twelve months, the Company will be forced to rely on existing cash in the bank and additional funds loaned by management and/or significant stockholders.

 

The Company’s business plan is to seek an acquisition or merger with a private operating company which offers an opportunity for growth and possible appreciation of our stockholders’ investment in the then issued and outstanding common stock.  However, there is no assurance that the Company will be able to successfully consummate an acquisition or merger with a private operating company or, if successful, that any acquisition or merger will result in the appreciation of our stockholders’ investment in the then outstanding common stock.

 

The Company remains dependent upon additional external sources of financing; including being dependent upon its management and/or significant stockholders to provide sufficient working capital in excess of the Company’s initial capitalization to preserve the integrity of the corporate entity.

 

F-7
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note D - Going Concern Uncertainty - Continued

 

The Company anticipates offering future sales of equity securities.  However, there is no assurance that the Company will be able to obtain additional funding through the sales of additional equity securities or, that such funding, if available, will be obtained on terms favorable to or affordable by the Company.

 

The Company’s certificate of incorporation authorizes the issuance of up to 10,000,000 shares of preferred stock and 40,000,000 shares of common stock.  The Company’s ability to issue preferred stock may limit the Company’s ability to obtain debt or equity financing as well as impede potential takeover of the Company, which takeover may be in the best interest of stockholders.  The Company’s ability to issue these authorized but unissued securities may also negatively impact our ability to raise additional capital through the sale of our debt or equity securities.

 

It is the intent of management and the majority stockholder to provide sufficient working capital necessary to support and preserve the integrity of the corporate entity.  However, no formal commitments or arrangements to advance or loan funds to the Company or repay any such advances or loans exist.  There is no legal obligation for either management or the majority stockholder to provide additional future funding.

 

In such a restricted cash flow scenario, the Company would be unable to complete its business plan steps, and would, instead, delay all cash intensive activities.  Without necessary cash flow, the Company may become dormant during the next twelve months, or until such time as necessary funds could be raised in the equity securities market.

 

While the Company is of the opinion that good faith estimates of the Company’s ability to secure additional capital in the future to reach its goals have been made, there is no guarantee that the Company will receive sufficient funding to sustain operations or implement any future business plan steps.

 

Note E - Summary of Significant Accounting Policies 

 

1. Cash and cash equivalents
   
  The Company considers all cash on hand and in banks, certificates of deposit and other highly-liquid investments with maturities of three months or less, when purchased, to be cash and cash equivalents.
   
2. Reorganization costs
   
  The Company has adopted the provisions required by the Start-up Activities Topic of the FASB Accounting Standards Codification whereby all costs incurred with the incorporation and organization of the Company were charged to operations as incurred.
   
3. Income taxes
   
  The Company files income tax returns in the United States of America and may file, as applicable and appropriate, various state(s).  The Company does not anticipate any examinations of returns filed since 2006 or to be filed in future periods.

 

F-8
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note E - Summary of Significant Accounting Policies - Continued

 

3. Income taxes – continued
   
  The Company uses the asset and liability method of accounting for income taxes.  At September 30, 2014 and 2013, respectively, the deferred tax asset and deferred tax liability accounts, as recorded when material to the financial statements, are entirely the result of temporary differences.  Temporary differences generally represent differences in the recognition of assets and liabilities for tax and financial reporting purposes, primarily accumulated depreciation and amortization, allowance for doubtful accounts and vacation accruals.
   
  The Company has adopted the provisions required by the Income Taxes topic of the FASB Accounting Standards Codification.  The Codification Topic requires the recognition of potential liabilities as a result of management’s acceptance of potentially uncertain positions for income tax treatment on a “more-likely-than-not” probability of an assessment upon examination by a respective taxing authority.  As a result of the implementation of Codification’s Income Tax Topic, the Company did not incur any liability for unrecognized tax benefits.
   
  As of September 30, 2014 and 2013, respectively, the deferred tax asset related to the Company’s net operating loss carry forward is fully reserved.  Due to the provisions of Internal Revenue Code Section 338, the Company may have no net operating loss carry forwards available to offset financial statement or tax return taxable income in future periods as a result of a change in control involving 50 percentage points or more of the issued and outstanding securities of the Company.
   
4. Income (Loss) per share
   
  Basic earnings (loss) per share is computed by dividing the net income (loss) available to common stockholders by the weighted-average number of common shares outstanding during the respective period presented in our accompanying financial statements.
   
  Fully diluted earnings (loss) per share are computed similar to basic income (loss) per share except that the denominator is increased to include the number of common stock equivalents (primarily outstanding options and warrants).
   
  Common stock equivalents represent the dilutive effect of the assumed exercise of the outstanding stock options and warrants, using the treasury stock method, at either the beginning of the respective period presented or the date of issuance, whichever is later, and only if the common stock equivalents are considered dilutive based upon the Company’s net income (loss) position at the calculation date.
   
  As of September 30, 2014 and 2013, respectively, and subsequent thereto, the Company had no outstanding stock warrants, options or convertible securities which could be considered as dilutive for purposes of the loss per share calculation.
   
5. Pending and/or New Accounting Pronouncements
   
  The Company is of the opinion that any pending accounting pronouncements, either in the adoption phase or not yet required to be adopted, will not have a significant impact on the Company's financial position or results of operations.

 

F-9
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note F - Fair Value of Financial Instruments

 

The carrying amount of cash, accounts receivable, accounts payable and notes payable, as applicable, approximates fair value due to the short term nature of these items and/or the current interest rates payable in relation to current market conditions.

 

Interest rate risk is the risk that the Company’s earnings are subject to fluctuations in interest rates on either investments or on debt and is fully dependent upon the volatility of these rates.  The Company does not use derivative instruments to moderate its exposure to interest rate risk, if any.

 

Financial risk is the risk that the Company’s earnings are subject to fluctuations in interest rates or foreign exchange rates and are fully dependent upon the volatility of these rates.  The Company does not use derivative instruments to moderate its exposure to financial risk, if any.

 

Note G - Acquisition of Sur-America Ventures, Inc.

 

On May 21, 2009, the Company entered into a Share Exchange Agreement with Sur-America Ventures, Inc., a Delaware corporation (“SAV”), and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.

 

The goodwill of approximately $4,500 arising from the acquisition consists largely of the synergies and access to new business contacts that the management of SAV brings to the Company in order to more effectively implement the Company’s business plan.  It is anticipated that goodwill may not be deductible for Federal and State income taxes.  Concurrent with the October 9, 2009 closing of the change in control with Magellan, as previously discussed, the Company’s management changed the Company’s business plan as established through the SAV transaction and, accordingly, charged the $4,500 in goodwill to operations on that date.

 

The following table summarizes the consideration paid for SAV and the amounts of the assets acquired and liabilities assumed recognized at the May 21, 2009 acquisition date.

 

Equity interest (1,576,782 shares of common stock)  $6,000 
      
Fair value of total consideration transferred  $6,000 
     
Acquisition-related costs (included in professional fees in the accompanying financial statements for the three months ended March 31, 2009)  $20,000 
      
Recognized amounts of identifiable assets acquired and liabilities assumed Cash  $1,500 
      
Total net identifiable assets   1,500 
Goodwill   4,500 
      
   $6,000 

  

F-10
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note G - Acquisition of Sur-America Ventures, Inc. -Continued

 

The fair value of the 1,576,782 shares given in consideration for the acquisition of SAV was determined using approximately the average of the transaction value of the shares of the Company issued at the date of the bankruptcy settlement ($1,000) using both the initial number of shares (500,000) and the post-reverse split number of shares outstanding (175,198).  There were no contingent consideration arrangements and no contingent liabilities assumed by the Company.  SAV had no operations prior to the acquisition.

 

Note H - Income Taxes

 

The components of income tax (benefit) expense for each of the nine and three months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014, respectively, are as follows:

 

   Nine months   Nine months   Three months   Three months  

Period from
November 29, 2004

(date of bankruptcy

settlement)

 
   Ended   ended   ended   ended   through 
   September 30,   September 30,   September 30,   September 30,   September 30, 
   2014   2013   2014   2013   2014 
Federal:                         
Current  $-   $-   $-   $-   $- 
Deferred   -    -    -    -    - 
    -    -    -    -    - 
State:                         
Current   -    -    -    -    - 
Deferred   -    -    -    -    - 
    -    -    -    -    - 
                          
Total  $-   $-   $-   -   -

 

As of September 30, 2014, and after the September 18, 2009 change in control transaction, the Company has a net operating loss carryforward of approximately $282,000 to offset future taxable income.  The amount and availability of any net operating loss carryforwards will be subject to the limitations set forth in the Internal Revenue Code.  Such factors as the number of shares ultimately issued within a three year look-back period; whether there is a deemed more than 50 percent change in control; the applicable long-term tax exempt bond rate; continuity of historical business; and subsequent income of the Company all enter into the annual computation of allowable annual utilization of any net operating loss carryforward(s).

 

(Remainder of this page left blank intentionally)

 

F-11
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note H - Income Taxes - Continued

 

The Company's income tax expense for each of the nine months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014, respectively, is as follows:

 

   Nine months
ended 
September 30, 2014
   Nine months
ended 
September 30,
2013
   Period from
November 29, 2004
(date of bankruptcy
settlement) through 
September 30,
2014
 
             
Statutory rate applied to income before income taxes  $(13,883)  $(14,343)  $(130,309)
Increase (decrease) in income               
taxes resulting from:               
State income taxes               
Other, including reserve for deferred tax asset and application of net operating loss carryforward   (13,883)   14,343    130,309 
                
Income tax expense  $-   $-   $- 

 

The Company’s only temporary difference as of September 30, 2014 and 2013, respectively, relates to the Company’s net operating loss pursuant to the applicable Federal Tax Law.  As of September 30, 2014 and 2013, respectively, the deferred tax asset is as follows:

 

   September 30,   September 30, 
   2014   2013 
Deferred tax assets        
Net operating loss carryforwards  $130,309   $110,176 
Less valuation allowance   (130,309)  $(110,176)
           
Net Deferred Tax Asset  $-   $- 

 

As of September 30, 2014 and 2013, respectively, the valuation allowance against the deferred tax asset increased by approximately $13,883 and $14,340.

 

F-12
 

 

BTHC X, Inc.

(a development stage company)

Notes to Financial Statements - Continued

September 30, 2014 and 2013

 

Note I - Capital Stock Transactions

 

Pursuant to the First Amended Joint Plan of Reorganization proposed by the Debtors and affirmed by the U. S. Bankruptcy Court - Northern District of Texas - Dallas Division on November 29, 2004, the Company “will include the issuance of a sufficient number of Plan shares to meet the requirements of the Plan.  Such number is estimated to be approximately 500,000 Plan Shares relative to each Post Confirmation Debtor.  The Plan Shares shall all be of the same class.”  As provided in the Plan, 70.0% of the Plan Shares of the Company were issued to the Company’s then-controlling stockholder, in exchange for the release of its Allowed Administrative Claims and for the performance of certain services and the payment of certain fees related to an anticipated reverse merger or other acquisition transaction(s) described in the Plan.  The remaining 30.0% of the Plan Shares of the Company were issued to other holders of various claims as defined in the Order Confirming First Amended Joint Plan of Reorganization.

 

On December 31, 2007, the Company amended its Certificate of Incorporation through the filing of a Certificate of Amendment of Certificate of Incorporation with the State of Delaware for the purpose of effecting a 1-for-2.86 reverse split of its $0.001 par value common stock.  This action was approved on November 29, 2007 by written consent of stockholders holding a majority of the Company's outstanding Common Stock in lieu of a special meeting.  As a result of the reverse split, the Company then had 175,198 shares of Common Stock outstanding.  The effect of this action is reflected in the accompanying financial statements as of the first day of the first period presented.

 

On May 21, 2009, the Company entered into the Share Exchange Agreement with SAV, and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.  The Company relied upon Section 4(2) of the Securities Act of 1933, as amended, for an exemption from registration of these shares and no underwriter was used in this transaction.

 

On September 18, 2009, the Company entered into the SPA, with Magellan Alpha Investments Corp., a Marshall Islands corporation (“Purchaser”) and Pierre Galoppi, the Company’s then-sole director and officer (“Seller”).  Pursuant to the SPA, the Purchaser purchased from the Seller an aggregate of 1,576,782 shares of the Company’s issued and outstanding common stock and, concurrent with the execution of the SPA, the Purchaser purchased an additional 4,087,953 newly issued shares of our common stock pursuant to the SA, for $60,000 cash.  Immediately after closing of both the SPA and SA, the Purchaser then owned  an aggregate of approximately 5,664,735 shares common stock of the Company and approximately 5,839,933 shares of the Company’s common stock were then issued and outstanding.  These transactions closed on October 9, 2009.  The Company relied upon Section 4(2) of the Securities Act of 1933, as amended, for an exemption from registration of the newly issued shares and no underwriter was used in this transaction.  The Purchaser subsequently sold a portion of its shares to certain third parties in a private transaction.

 

Note J - Subsequent Events

 

Management has evaluated all activity of the Company through November 12, 2014 (the issue date of the financial statements) and concluded that no subsequent events have occurred that would require recognition in the financial statements or disclosure in the notes to financial statements.

 

(Remainder of this page left blank intentionally)

 

F-13
 

 

Part I - Item 2 

 

Management’s Discussion and Analysis of Financial Condition and Results of Operations

 

(1) Caution Regarding Forward-Looking Information

 

Certain statements contained in this quarterly filing, including, without limitation, statements containing the words "believes", "anticipates", "expects", “intend”, “estimate”, “plan” and words of similar import, constitute forward-looking statements. Such forward-looking statements involve known and unknown risks, uncertainties and other factors that may cause the actual results, performance or achievements of the Company, or industry results, to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements.

 

Forward-looking statements are based on our current expectations and assumptions regarding our business, potential target businesses, the economy and other future conditions. Because forward-looking statements relate to the future, by their nature, they are subject to inherent uncertainties, risks and changes in circumstances that are difficult to predict. Our actual results may differ materially from those contemplated by the forward-looking statements. We caution you therefore that you should not rely on any of these forward-looking statements as statements of historical fact or as guarantees or assurances of future performance. Important factors that could cause actual results to differ materially from those in the forward-looking statements include changes in local, regional, national or global political, economic, business, competitive, market (supply and demand) and regulatory conditions relating to our target business after consummation of a business combination, and the following:

 

   our status as a development stage company;
   our selection of a prospective target business or asset;
   our issuance of our capital shares or incurrence of debt to complete a business combination;
   removal of our securities from OTC Bulletin Board quotation system, or the ability to have our securities quoted on OTC Bulletin Board or listed on another exchange following our business combination;
   our ability to consummate an attractive business combination due to our limited resources and the significant competition for business combination opportunities;
   conflicts of interest of our officers and directors;
   potential current or future affiliations of our officers and directors with competing businesses;
   our ability to obtain additional financing if necessary;
   the control by our existing stockholders of a substantial interest in us;
   our being deemed an investment company;
   our dependence on our key personnel;
   our dependence on a single company after our business combination;
   business and market outlook;
   our and our customers’ business strategies following the consummation of a business combination;
   environmental, obtaining permits and other regulatory risks following the consummation of a business combination;
   foreign currency fluctuations and overall political risk in foreign jurisdictions following the consummation of a business combination;
   operating and capital expenditures by us following the consummation of a business combination;
   our competitive position following the consummation of a business combination;

   outcomes of legal proceedings following the consummation of a business combination;
   expected results of operations and/or financial position following the consummation of a business combination;
   future effective tax rates; and
   compliance with applicable laws.

 

3
 

 

These risks are not exhaustive.

 

Given these uncertainties, readers of this Form 10-Q and investors are cautioned not to place undue reliance on such forward-looking statements. The Company disclaims any obligation to update any such factors or to publicly announce the result of any revisions to any of the forward-looking statements contained herein to reflect future events or developments.

 

(2) Results of Operations

 

The Company had no revenue for either of the nine month periods ended September 30, 2014 and 2013 or for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014.

 

Operating expenses, including general and administrative expenses for the respective nine month periods ended September 30, 2014 and 2013 were approximately $(40,834) and $(42,184) respectively. These expenses were directly related to the maintenance of the corporate entity and the preparation and filing of periodic reporting requirements. It is anticipated that future expenditure levels may increase as the Company intends to fully comply with its periodic reporting requirements. Loss per share for the respective nine month periods ended September 30, 2014 and 2013 and for the cumulative period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014, respectively, were $(0.01), $(0.01) and $(0.12), based on the weighted-average shares issued and outstanding at the end of each respective period.

 

On May 21, 2009, the Company entered into a Share Exchange Agreement (the “Share Exchange Agreement”) with Sur-America Ventures, Inc., a Delaware corporation (“SAV”), and the sole stockholder of SAV. Pursuant to the Share Exchange Agreement, the stockholder of SAV transferred 100% of the issued and outstanding shares of the capital stock of SAV in exchange for 1,576,782 newly issued shares of our common stock that, in the aggregate, constituted approximately 90% of our issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange. As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.

 

SAV was organized on May 19, 2009 as a Delaware corporation and was formed to seek and identify a privately-held operating company located in Latin America desiring to become a publicly held company with access to United States capital markets.

 

On May 28, 2009, the Company filed a certificate of compliance with reverse acquisition requirements, as required by the Plan for a discharge from bankruptcy.

 

On September 18, 2009 the Company entered into a Securities Purchase Agreement (the “SPA”) with Magellan Alpha Investments, Corp., a Marshall Islands corporation (“Magellan”) and Pierre Galoppi, the Company’s then sole director and officer (“Seller”). Pursuant to the SPA and upon its consummation, Magellan purchased from the Seller an aggregate of 1,576,782 shares of our issued and outstanding common stock that, in the aggregate, constituted 90% of our then issued and outstanding capital stock on a fully-diluted basis as of and immediately prior to the consummation of the SPA. Following consummation of the SPA, Pierre Galoppi resigned as our sole director and officer.

 

In addition, on October 9, 2009, pursuant to a subscription agreement (the “SA”), the Company closed a transaction by which Magellan subscribed for an additional 4,087,953 newly issued shares of our common stock, which newly issued shares constituted 70% of our issued and outstanding common stock on a fully diluted basis following the consummation of the transaction contemplated by the SA. As a result of these transactions, 5,839,933 shares of our common stock are issued and outstanding. Immediately upon the closing of the SPA and SA, Magellan then owned an aggregate of 5,664,735 shares, or 97% of the issued and outstanding common stock of the Company. Subsequently, Magellan sold an aggregate of 2,032,656 shares of common stock to certain third parties, thereby reducing Magellan’s ownership to 3,682,079 shares, or 63.05% of the issued and outstanding common stock of the Company.

 

4
 

 

George Syllantavos, our President, Secretary, Treasurer and sole director, is the President and majority shareholder of Magellan.

 

The Company does not expect to generate any revenue or incur operating expenses for purposes other than fulfilling the obligations of a reporting company under the Securities Exchange Act of 1934 unless and until such time that the Company completes a reverse acquisition transaction with an operating entity.

 

At September 30, 2014 and December 31, 2013, the Company had working capital (deficit) of approximately $(290,570) and $(231,355), respectively.

 

It is the belief of management and significant stockholders that they will provide sufficient working capital necessary to support and preserve the integrity of the corporate entity. However, there is no legal obligation for either management or significant stockholders to provide additional future funding. Further, the Company is at the mercy of future economic trends and business operations for the Company’s majority stockholder to have the resources available to support the Company. Should such persons fail to provide financing, the Company has not identified any alternative sources. Consequently, there is substantial doubt about the Company's ability to continue as a going concern.

 

(3) Plan of Business

 

General

 

This Company is currently considering alternative business plans, including but not limited to locating and combining with an existing company located in the Far East, and which is profitable or, in management's view, has growth potential, irrespective of the industry in which it is engaged, desiring to become a publicly held company with access to United States capital markets through a combination transaction with us. However, the Company does not intend to combine with a company which may be deemed to be an investment company subject to the Investment Company Act of 1940. A combination may be structured as a merger, consolidation, exchange of our common stock for stock or assets or any other form which will result in the combined enterprises becoming a publicly-held corporation.

 

The Company does not expect to generate any revenue or incur operating expenses for purposes other than fulfilling the obligations of a reporting company under the Securities Exchange Act of 1934 unless and until such time that the Company completes a transaction with an operating entity.

 

Pending negotiation and consummation of a combination, the Company anticipates that it will have, aside from carrying on its search for a combination partner, no business activities, and, thus, will have no source of revenue. Should the Company incur any significant liabilities prior to a combination, it may not be able to satisfy such liabilities as are incurred.

 

If the Company's management pursues one or more combination opportunities beyond the preliminary negotiations stage and those negotiations are subsequently terminated, it is foreseeable that such efforts will exhaust the Company's ability to continue to seek such combination opportunities before any successful combination can be consummated. In that event, the Company's common stock will become worthless and holders of the Company's common stock will receive a nominal distribution, if any, upon the Company's liquidation and dissolution.

 

5
 

 

Combination Suitability Standards

 

In its pursuit for a combination partner, the Company's management intends to consider only combination candidates which are profitable or, in management's view, have growth potential. The Company's management does not intend to pursue any combination proposal beyond the preliminary negotiation stage with any combination candidate which does not furnish the Company with audited financial statements for at least its most recent fiscal year and unaudited financial statements for interim periods subsequent to the date of such audited financial statements, or is in a position to provide such financial statements in a timely manner. The Company will, if necessary funds are available, engage attorneys and/or accountants in its efforts to investigate a combination candidate and to consummate a business combination. The Company may require payment of fees by such combination candidate to fund the investigation of such candidate. In the event such a combination candidate is engaged in a high technology business, the Company may also obtain reports from independent organizations of recognized standing covering the technology being developed and/or used by the candidate. The Company's limited financial resources may make the acquisition of such reports difficult or even impossible to obtain and, thus, there can be no assurance that the Company will have sufficient funds to obtain such reports when considering combination proposals or candidates. To the extent the Company is unable to obtain the advice or reports from experts, the risks of any combined enterprise's being unsuccessful will be enhanced. Furthermore, to the knowledge of the Company's officers and directors, neither the candidate nor any of its directors, executive officers, principal stockholders or general partners:

 

   (1) will have been convicted of securities fraud, mail fraud, tax fraud, embezzlement, bribery, or a similar criminal offense involving misappropriation or theft of funds, or be the subject of a pending investigation or indictment involving any of those offenses;  
        
   (2) will have been subject to a temporary or permanent injunction or restraining order arising from unlawful transactions in securities, whether as issuer, underwriter, broker, dealer, or investment advisor, may be the subject of any pending investigation or a defendant in a pending lawsuit arising from or based upon allegations of unlawful transactions in securities; or  
        
   (3) will have been a defendant in a civil action which resulted in a final judgment against it or him awarding damages or rescission based upon unlawful practices or sales of securities.  

 

The Company's officers and directors will make these determinations by asking pertinent questions of the management of prospective combination candidates. Such persons will also ask pertinent questions of others who may be involved in the combination proceedings. However, the officers and directors of the Company will not generally take other steps to verify independently information obtained in this manner which is favorable. Unless something comes to their attention which puts them on notice of a possible disqualification which is being concealed from them, such persons will rely on information received from the management of the prospective combination candidate and from others who may be involved in the combination proceedings.

 

(4) Liquidity and Capital Resources

 

It is the belief of management and significant stockholders that they will provide sufficient working capital necessary to support and preserve the integrity of the corporate entity. However, there is no legal obligation for either management or significant stockholders to provide additional future funding. Further, the Company is at the mercy of future economic trends and business operations for the Company’s majority stockholder to have the resources available to support the Company. Should such persons fail to provide financing, the Company has not identified any alternative sources. Consequently, there is substantial doubt about the Company's ability to continue as a going concern.

 

The Company has no current plans, proposals, arrangements or understandings with respect to the sale or issuance of additional securities. Accordingly, there can be no assurance that sufficient funds will be available to the Company to allow it to cover its expenses.

 

Regardless of whether the Company’s cash assets prove to be inadequate to meet the Company’s operational needs, the Company might seek to compensate providers of services by issuances of stock in lieu of cash.

 

(5) Critical Accounting Policies

 

Our financial statements and related public financial information are based on the application of accounting principles generally accepted in the United States (“GAAP”). GAAP requires the use of estimates; assumptions, judgments and subjective interpretations of accounting principles that have an impact on the assets, liabilities, revenue and expense amounts reported. These estimates can also affect supplemental information contained in our external disclosures including information regarding contingencies, risk and financial condition. We believe our use of estimates and underlying accounting assumptions adhere to GAAP and are consistently and conservatively applied. We base our estimates on historical experience and on various other assumptions that we believe to be reasonable under the circumstances. Actual results may differ materially from these estimates under different assumptions or conditions. We continue to monitor significant estimates made during the preparation of our financial statements.

 

6
 

 

Our significant accounting policies are summarized in Note E of our financial statements. While all these significant accounting policies impact our financial condition and results of operations, we view certain of these policies as critical. Policies determined to be critical are those policies that have the most significant impact on our financial statements and require management to use a greater degree of judgment and estimates. Actual results may differ from those estimates. Our management believes that given current facts and circumstances, it is unlikely that applying any other reasonable judgments or estimate methodologies would cause effect on our consolidated results of operations, financial position or liquidity for the periods presented in this report.

 

Item 3 - Quantitative and Qualitative Disclosures About Market Risk

 

In future periods, the Company may become subject to certain market risks, including changes in interest rates and currency exchange rates. At the present time, the Company has no identified exposure and does not undertake any specific actions to limit exposures, if any.

 

Item 4 - Controls and Procedures

 

(a) Evaluation of Disclosure Controls and Procedures

 

Our management, under the supervision and with the participation of our certifying officer, who is our sole officer and acts as our chief executive officer and chief financial officer (the “Certifying Officer”), has evaluated the effectiveness of our disclosure controls and procedures as defined in Rules 13a-15 promulgated under the Exchange Act as of September 30, 2014. Based on such evaluation, our Certifying Officer has concluded that, as of the end of the period covered by this Quarterly Report, our disclosure controls and procedures are effective.

 

(b) Changes in Internal Controls

 

There were no significant changes (including corrective actions with regard to significant deficiencies or material weaknesses) in our internal controls over financial reporting that occurred during the quarter ended September 30, 2014 that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

 

Part II - Other Information

 

Item 1 - Legal Proceedings

 

None

 

Item 1A – Risk Factors

 

Not applicable

 

Item 2 - Unregistered Sales of Equity Securities and Use of Proceeds

 

None

 

Item 3 - Defaults Upon Senior Securities

 

None

  

Item 4 - Mine Safety Disclosures

 

None

 

7
 

 

Item 5 - Other Information

 

None

 

Item 6 - Exhibits

 

31.1 Certification pursuant to Section 302 of Sarbanes-Oxley Act of 2002
32.1 Certification pursuant to Section 906 of Sarbanes-Oxley Act of 2002
101.INS XBRL Instance Document
101.SCH XBRL Taxonomy Extension Schema Document
101.CAL XBRL Taxonomy Extension Calculation Linkbase Document
101.DEF XBRL Taxonomy Extension Definition Linkbase Document
101.LAB XBRL Taxonomy Extension Label Linkbase Document
101.PRE XBRL Taxonomy Extension Presentation Linkbase Document

 

 

8
 

 

SIGNATURES

 

In accordance with the requirements of the Exchange Act, the registrant caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

   BTHC X, Inc.
     
Dated: November 14,  2014 /s/ George Syllantavos
   George Syllantavos
   President, Chief Executive Officer,
   and Certifying Officer

 

 

9

 
EX-31.1 2 f10q0914ex31i_bthcxinc.htm CERTIFICATION

Exhibit No. 31.1

 

Certification

 

I, George Syllantavos, certify that:

 

1.   I have reviewed this quarterly report on Form 10-Q for the quarter ended September 30, 2014 of BTHC X, Inc.;
     
2.   Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
     
3.   Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
     
4.   The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
     
     (a)

Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

    (b)

Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

    (c)

Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

    (d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and
       
5.   The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):
       
    (a) significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and
       
    (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

Dated: November 14, 2014 By: /s/ George Syllantavos
   

George Syllantavos

Chief Executive Officer

and Chief Financial Officer

 

EX-32.1 3 f10q0914ex32i_bthcxinc.htm CERTIFICATION

Exhibit No. 32.1

 

Certification Pursuant to 18 U.S.C. Section 1350, as Adopted

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

In connection with the Quarterly Report of BTHC X, Inc. (the “Company”) on Form 10-Q for the period ended September 30, 2014 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, George Syllantavos, Chief Executive and Chief Financial Officer of the Company, certify pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

  (1) the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
     
  (2) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Dated: November 14, 2014 By: /s/ George Syllantavos
   

George Syllantavos

Chief Executive Officer

and Chief Financial Officer

 

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Income Taxes (Details 1) (USD $)
9 Months Ended 118 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Schedule of income tax expenses      
Statutory rate applied to income before income taxes $ (13,883) $ (14,343) $ (130,309)
Increase (decrease) in income taxes resulting from: State income taxes         
Other, including reserve for deferred tax asset and application of net operating loss carryforward (13,883) 14,343 130,309
Income Tax Expense (Benefit), Total         

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XML 13 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Going Concern Uncertainty
9 Months Ended
Sep. 30, 2014
Going Concern Uncertainty [Abstract]  
Going Concern Uncertainty

Note D - Going Concern Uncertainty

 

The Company has no post-bankruptcy operating history, no cash on hand, no operations and has a business plan with inherent risk.  Because of these factors, the Company’s auditors have issued an audit opinion on the Company’s financial statements which includes a statement describing our going concern status.  This means, in the auditor’s opinion, substantial doubt about our ability to continue as a going concern exists at the date of their opinion.

 

The Company’s current and former majority stockholder has maintained the corporate status of the Company and has provided all nominal working capital support on the Company's behalf since the bankruptcy discharge date.  Because of the Company's lack of operating assets, its continuance is fully dependent upon the majority stockholder's continuing support.  The majority stockholder intends to continue the funding of nominal necessary expenses to sustain the corporate entity.  However, the Company is at the mercy of future economic trends and business operations for the Company’s majority stockholder to have the resources available to support the Company.  Should we fail to obtain financing, the Company has not identified any alternative sources of working capital to support the Company. If no additional operating capital is received, the Company will be forced to rely on existing cash in the bank and additional funds loaned by management and/or significant stockholders.

 

The Company's continued existence is dependent upon its ability to generate sufficient cash flows from operations to support its daily operations as well as provide sufficient resources to retire existing liabilities and obligations on a timely basis.  Further, the Company faces considerable risk in its business plan and a potential shortfall of funding due to our inability to raise capital in the equity securities market.  If no additional operating capital is received during the next twelve months, the Company will be forced to rely on existing cash in the bank and additional funds loaned by management and/or significant stockholders.

 

The Company’s business plan is to seek an acquisition or merger with a private operating company which offers an opportunity for growth and possible appreciation of our stockholders’ investment in the then issued and outstanding common stock.  However, there is no assurance that the Company will be able to successfully consummate an acquisition or merger with a private operating company or, if successful, that any acquisition or merger will result in the appreciation of our stockholders’ investment in the then outstanding common stock.

 

The Company remains dependent upon additional external sources of financing; including being dependent upon its management and/or significant stockholders to provide sufficient working capital in excess of the Company’s initial capitalization to preserve the integrity of the corporate entity.

 

 

The Company anticipates offering future sales of equity securities.  However, there is no assurance that the Company will be able to obtain additional funding through the sales of additional equity securities or, that such funding, if available, will be obtained on terms favorable to or affordable by the Company.

 

The Company’s certificate of incorporation authorizes the issuance of up to 10,000,000 shares of preferred stock and 40,000,000 shares of common stock.  The Company’s ability to issue preferred stock may limit the Company’s ability to obtain debt or equity financing as well as impede potential takeover of the Company, which takeover may be in the best interest of stockholders.  The Company’s ability to issue these authorized but unissued securities may also negatively impact our ability to raise additional capital through the sale of our debt or equity securities.

 

It is the intent of management and the majority stockholder to provide sufficient working capital necessary to support and preserve the integrity of the corporate entity.  However, no formal commitments or arrangements to advance or loan funds to the Company or repay any such advances or loans exist.  There is no legal obligation for either management or the majority stockholder to provide additional future funding.

 

In such a restricted cash flow scenario, the Company would be unable to complete its business plan steps, and would, instead, delay all cash intensive activities.  Without necessary cash flow, the Company may become dormant during the next twelve months, or until such time as necessary funds could be raised in the equity securities market.

 

While the Company is of the opinion that good faith estimates of the Company’s ability to secure additional capital in the future to reach its goals have been made, there is no guarantee that the Company will receive sufficient funding to sustain operations or implement any future business plan steps.

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Capital Stock Transactions (Details) (USD $)
1 Months Ended 9 Months Ended
Sep. 18, 2009
May 21, 2009
Dec. 31, 2007
Nov. 29, 2004
Sep. 30, 2014
Dec. 31, 2013
Capital Stock Transactions (Textual)            
Plan of Reorganization approval date         Nov. 29, 2004  
Plan of Reorganization shares issued       Approximately 500,000 Plan Shares relative to each Post Confirmation Debtor.    
Percentage of plan shares issued to then-controlling stockholder       70.00%    
Percentage of plan shares issued to other holders of various claims       30.00%    
Reverse stock split     1-for-2.86      
Common stock, par value         $ 0.001 $ 0.001
Common stock newly issued under share exchange agreement   1,576,782        
Approved date of reverse split     Nov. 29, 2007      
Share outstanding after reverse stock split     175,198      
Percentage of equity interest acquired in Sur-America Ventures, Inc.   100.00%        
Percentage of then-issued and outstanding capital stock issued to acquiree   90.00%        
Shares, issued   1,751,980        
Shares, outstanding   1,751,980        
Shares sold under the securities purchase agreement 1,576,782          
Additional shares sold under subscription agreement $ 60,000          
Additional shares sold under subscription agreement, shares 4,087,953          
Aggregate common stock shares owned by Marshall Islands corporation after SPA 5,664,735          
Common stock shares owned by Marshall Islands corporation under securities purchase and subscription agreement of then issued and outstanding 5,839,933          
Closing date of securities purchase agreement Oct. 09, 2009          
XML 16 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Preparation of Financial Statements
9 Months Ended
Sep. 30, 2014
Background and Description Of Business and Preparation Of Financial Statements [Abstract]  
Preparation of Financial Statements

Note C - Preparation of Financial Statements

 

The Company follows the accrual basis of accounting in accordance with generally accepted accounting principles and retains the Company’s pre-bankruptcy year-end of December 31.

  

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period.  Actual results could differ from those estimates.

 

Management further acknowledges that it is solely responsible for adopting sound accounting practices, establishing and maintaining a system of internal accounting control and preventing and detecting fraud.  The Company’s system of internal accounting control is designed to assure, among other items, that 1) recorded transactions are valid; 2) valid transactions are recorded; and 3) transactions are recorded in the proper period in a timely manner to produce financial statements which present fairly the financial condition, results of operations and cash flows of the Company for the respective periods being presented.

XML 17 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheets (USD $)
Sep. 30, 2014
Dec. 31, 2013
Current Assets    
Cash on hand and in bank      
Prepaid Expenses      
Total Assets      
Current Liabilities    
Accounts payable - trade 49,751 49,195
Due to controlling stockholder 240,819 200,541
Total Liabilities 290,570 249,736
Commitments and Contingencies      
Stockholders' Deficit    
Preferred stock - $0.001 par value 10,000,000 shares authorized. None issued and outstanding      
Common stock - $0.001 par value 40,000,000 shares authorized. 5,839,933 issued and outstanding 5,840 5,840
Additional paid-in capital 65,140 65,140
Deficit accumulated during the development stage (361,550) (320,716)
Total Stockholders' Deficit (290,570) (249,736)
Total Liabilities and Stockholders' Deficit      
XML 18 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Background and Description of Business
9 Months Ended
Sep. 30, 2014
Background and Description Of Business and Preparation Of Financial Statements [Abstract]  
Background and Description of Business

Note A - Background and Description of Business

 

BTHC X, Inc. (“Company”) was incorporated on August 16, 2006, in accordance with the Laws of the State of Delaware.  The Company is the U. S. Bankruptcy Court mandated reincorporation of and successor to BTHC X, LLC, a Texas Limited Liability Company which was discharged from bankruptcy on November 29, 2004.  The effective date of the merger of BTHC X, Inc. and BTHC X, LLC was August 16, 2006.

 

The Company’s emergence from Chapter 11 of Title 11 of the United States Code on November 29, 2004 created the combination of a change in majority ownership and voting control - that is, loss of control by the then-existing stockholders, a court-approved reorganization, and a reliable measure of the entity’s fair value - resulting in a fresh start, creating, in substance, a new reporting entity.  Accordingly, the Company, post bankruptcy, has no significant assets, liabilities or operating activities.  Therefore, the Company, as a new reporting entity, qualifies as a “development stage enterprise” as defined in the Reorganization topic of the FASB Accounting Standards Codification.

 

On May 21, 2009, the Company entered into a Share Exchange Agreement (“Share Exchange Agreement”) with Sur-America Ventures, Inc., a Delaware corporation (“SAV”), and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.

 

SAV was organized on May 19, 2009 as a Delaware corporation and was formed to seek and identify a privately-held operating company located in Latin America desiring to become a publicly held company with access to United States capital markets through a reverse merger or acquisition transaction.

 

On September 18, 2009, the Company entered into a Securities Purchase Agreement (“SPA”), with Magellan Alpha Investments Corp., a Marshall Islands corporation (“Magellan”) and Pierre Galoppi, the Company’s then-sole director and officer (“Seller”).  Pursuant to the SPA, Magellan purchased from the Seller an aggregate of 1,576,782 shares of the Company’s issued and outstanding common stock and, concurrent with the execution of the SPA, Magellan purchased an additional 4,087,953 newly issued shares of the Company’s common stock pursuant to a Subscription Agreement (“SA”), for $60,000 cash.  After closing of both the SPA and SA, Magellan then owned an aggregate of approximately 5,664,735 shares common stock of the Company and approximately 5,839,933 shares of the Company’s common stock were then issued and outstanding.  Magellan subsequently sold a portion of its shares to certain third parties in a private transaction.

 

The Company is currently considering alternative business plans, including but not limited to locating and combining with an existing company located in the Far East, which is profitable or, in management's view, has growth potential, irrespective of the industry in which it is engaged, desiring to become a publicly held company with access to United States capital markets through a combination transaction with the Company.  However, the Company does not intend to combine with a company which may be deemed to be an investment company subject to the Investment Company Act of 1940.  A combination may be structured as a merger, consolidation, exchange of our common stock for stock or assets or any other form which will result in the combined enterprises becoming a publicly-held corporation.

XML 19 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition of Sur-America Ventures, Inc. (Details) (USD $)
1 Months Ended
May 21, 2009
Consideration paid and amounts of the assets acquired and liabilities assumed  
Equity interest (1,576,782 shares of common stock) $ 6,000
Fair value of total consideration transferred 6,000
Acquisition-related costs (included in professional fees in the accompanying financial statements for the three months ended March 31, 2009) 20,000
Recognized amounts of identifiable assets acquired and liabilities assumed Cash 1,500
Total net identifiable assets 1,500
Goodwill 4,500
Total amounts of the assets acquired and liabilities assumed $ 6,000
XML 20 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
3 Months Ended 9 Months Ended 118 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Federal:          
Current               
Deferred               
Federal income tax, total               
State:          
Current               
Deferred               
State income tax, total               
Income Tax Expense (Benefit), Total             
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Bankruptcy Action
9 Months Ended
Sep. 30, 2014
Bankruptcy Action [Abstract]  
Bankruptcy Action

Note B - Bankruptcy Action

 

Commencing on March 28, 2003, BTHC X, LLC filed for protection under Chapter 11 of the Federal Bankruptcy Act in the United States Bankruptcy Court, Northern District of Texas - Dallas Division (“Bankruptcy Court”).  The Company’s bankruptcy action was part of a combined case (Case No. 03-33152-HDH-11) encompassing the following related entities: Ballantrae Healthcare, LLC; Ballantrae Texas, LLC; Ballantrae  New Mexico, LLC; Ballantrae Missouri, LLC; Ballantrae Illinois, LLC; BTHC I, LLC; BTHC II, LLC; BTHC III, LLC; BTHC IV, LLC; BTHC V, LLC; BTHC VI, LLC; BTHC VIII, LLC; BTHC VIIII, LLC; BTHC X, LLC; BTHC XI, LLC; BTHC XII, LLC; BTHC XIV, LLC; BTHC XV, LLC; BTHC XVII, LLC; BTHC XIX, LLC; BTHC XX, LLC; BTHC XXI, LLC; BNMHC I, LLC; BMOHC II, LLC; BILHC I, LLC, BILHC II, LLC; BILHC III, LLC; BILHC IV, LLC; BILHC V, LLC.

 

All assets, liabilities and other claims against the Company and its affiliated entities were combined for the purpose of distribution of funds to creditors.  Each of the entities otherwise remained separate corporate entities.  From the commencement of the bankruptcy proceedings through November 29, 2004 (the effective date of the Plan of Reorganization), all secured claims and/or administrative claims during this period were satisfied through either direct payment or negotiation.

 

A Plan of Reorganization was approved by the United States Bankruptcy Court, Northern District of Texas - Dallas Division on November 29, 2004.  The Plan of Reorganization, which contemplates the Company entering into a reverse merger transaction, provided that certain identified claimants as well as unsecured creditors, in accordance with the allocation provisions of the Plan of Reorganization, and the Company’s new controlling stockholder would receive “new” shares of the Company’s post-reorganization common stock, pursuant to Section 1145(a) of the Bankruptcy Code.  As a result of the Plan’s approval, all liens, security interests, encumbrances and other interests, as defined in the Plan of Reorganization, attach to the creditor’s trust.  Specific injunctions prohibit any of these claims from being asserted against the Company prior to the contemplated reverse merger.

 

The cancellation of all existing shares outstanding at the date of the bankruptcy filing and the issuance of all “new” shares of the reorganized entity caused an issuance of shares of common stock and a related change of control of the Company with more than 50.0% of the “new” shares being held by persons and/or entities which were not pre-bankruptcy stockholders.  Accordingly, per the Reorganization topic of the FASB Accounting Standards Codification (Reorganization topic), the Company adopted “fresh-start” accounting as of the bankruptcy discharge date whereby all continuing assets and liabilities of the Company were restated to the fair market value.  The Reorganization topic further states that fresh start financial statements prepared by entities emerging from bankruptcy will not be comparable with those prepared before their plans were confirmed because they are, in fact, those of a new entity.  For accounting purposes, the Company adopted fresh start accounting in accordance with the Reorganization topic as of November 29, 2004, the confirmation date of the Plan.

 

As of November 29, 2004, by virtue of the confirmed Plan of Reorganization, the only asset of the Company was approximately $1,000 in cash due from the Bankruptcy Estate.

XML 23 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Balance Sheets (Parenthetical) (USD $)
Sep. 30, 2014
Dec. 31, 2013
Balance Sheets [Abstract]    
Preferred stock, par value $ 0.001 $ 0.001
Preferred stock, shares authorized 10,000,000 10,000,000
Preferred stock, shares issued      
Preferred stock, shares outstanding      
Common stock, par value $ 0.001 $ 0.001
Common stock, shares authorized 40,000,000 40,000,000
Common stock, shares issued 5,839,933 5,839,933
Common stock, shares outstanding 5,839,933 5,839,933
XML 24 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition of Sur-America Ventures, Inc. (Tables)
9 Months Ended
Sep. 30, 2014
Acquisition Of Sur-America Ventures, Inc.[Abstract]  
Consideration paid and amounts of the assets acquired and liabilities assumed
Equity interest (1,576,782 shares of common stock) $6,000 
     
Fair value of total consideration transferred $6,000 
    
Acquisition-related costs (included in professional fees in the accompanying financial statements for the three months ended March 31, 2009) $20,000 
     
Recognized amounts of identifiable assets acquired and liabilities assumed Cash $1,500 
     
Total net identifiable assets  1,500 
Goodwill  4,500 
     
  $6,000 
XML 25 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
9 Months Ended
Sep. 30, 2014
Nov. 14, 2014
Document and Entity Information [Abstract]    
Entity Registrant Name BTHC X INC  
Entity Central Index Key 0001375685  
Amendment Flag false  
Current Fiscal Year End Date --12-31  
Document Type 10-Q  
Document Period End Date Sep. 30, 2014  
Document Fiscal Period Focus Q3  
Document Fiscal Year Focus 2014  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock, Shares Outstanding   5,839,933
XML 26 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Tables)
9 Months Ended
Sep. 30, 2014
Income Taxes [Abstract]  
Schedule of components of income tax (benefit) expense
 
  Nine months  Nine months  Three months  Three months  

Period from
November 29, 2004

(date of bankruptcy

settlement)

 
  Ended  ended  ended  ended  through 
  September 30,  September 30,  September 30,  September 30,  September 30, 
  2014  2013  2014  2013  2014 
Federal:                    
Current $-  $-  $-  $-  $- 
Deferred  -   -   -   -   - 
   -   -   -   -   - 
State:                    
Current  -   -   -   -   - 
Deferred  -   -   -   -   - 
   -   -   -   -   - 
                     
Total $-  $-  $-  -  -
 
Schedule of income tax expenses
 Nine months 
ended  
September 30, 2014
  Nine months 
ended  
September 30,
2013
  Period from 
November 29, 2004 
(date of bankruptcy 
settlement) through  
September 30,
2014
 
          
Statutory rate applied to income before income taxes $(13,883) $(14,343) $(130,309)
Increase (decrease) in income            
taxes resulting from:            
State income taxes            
Other, including reserve for deferred tax asset and application of net operating loss carryforward  (13,883)  14,343   130,309 
             
Income tax expense $-  $-  $- 

 

Schedule of deferred tax asset
 September 30,  September 30, 
  2014  2013 
Deferred tax assets      
Net operating loss carryforwards $130,309  $110,176 
Less valuation allowance  (130,309) $(110,176)
         
Net Deferred Tax Asset $-  $- 
XML 27 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Statements of Operations and Comprehensive Loss (USD $)
3 Months Ended 9 Months Ended 118 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Statements Of Operations and Comprehensive Loss [Abstract]          
Revenues               
Operating expenses          
Reorganization costs             2,248
Professional fees 10,500 10,500 30,491 31,500 281,359
General and administrative expenses 3,351 4,488 10,343 10,684 73,443
Total operating expenses 13,851 14,988 40,834 42,184 357,050
Loss from operations (13,851) (14,988) (40,834) (42,184) (357,050)
Other Expense          
Abandonment of goodwill acquired in Sur-America Ventures Inc.             (4,500)
Loss before Provision for Income Taxes (13,851) (14,988) (40,834) (42,184) (361,550)
Provision for income taxes             
Net loss (13,851) (14,988) (40,834) (42,184) (361,550)
Other comprehensive income               
Comprehensive loss $ (13,851) $ (14,988) $ (40,834) $ (42,184) $ (361,550)
Loss per weighted-average share of common stock outstanding, computed on net loss - basic and fully diluted $ (0.01) $ (0.002) $ (0.01) $ (0.01) $ (0.12)
Weighted-average number of shares of common stock outstanding - basic and fully diluted 5,839,933 5,839,933 5,839,933 5,839,933 3,112,576
XML 28 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition of Sur-America Ventures, Inc.
9 Months Ended
Sep. 30, 2014
Acquisition Of Sur-America Ventures, Inc.[Abstract]  
Acquisition of Sur-America Ventures, Inc.

Note G - Acquisition of Sur-America Ventures, Inc.

 

On May 21, 2009, the Company entered into a Share Exchange Agreement with Sur-America Ventures, Inc., a Delaware corporation (“SAV”), and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.

 

The goodwill of approximately $4,500 arising from the acquisition consists largely of the synergies and access to new business contacts that the management of SAV brings to the Company in order to more effectively implement the Company’s business plan.  It is anticipated that goodwill may not be deductible for Federal and State income taxes.  Concurrent with the October 9, 2009 closing of the change in control with Magellan, as previously discussed, the Company’s management changed the Company’s business plan as established through the SAV transaction and, accordingly, charged the $4,500 in goodwill to operations on that date.

 

The following table summarizes the consideration paid for SAV and the amounts of the assets acquired and liabilities assumed recognized at the May 21, 2009 acquisition date.

 

Equity interest (1,576,782 shares of common stock) $6,000 
     
Fair value of total consideration transferred $6,000 
    
Acquisition-related costs (included in professional fees in the accompanying financial statements for the three months ended March 31, 2009) $20,000 
     
Recognized amounts of identifiable assets acquired and liabilities assumed Cash $1,500 
     
Total net identifiable assets  1,500 
Goodwill  4,500 
     
  $6,000 

   

The fair value of the 1,576,782 shares given in consideration for the acquisition of SAV was determined using approximately the average of the transaction value of the shares of the Company issued at the date of the bankruptcy settlement ($1,000) using both the initial number of shares (500,000) and the post-reverse split number of shares outstanding (175,198).  There were no contingent consideration arrangements and no contingent liabilities assumed by the Company.  SAV had no operations prior to the acquisition.

XML 29 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value of Financial Instruments
9 Months Ended
Sep. 30, 2014
Fair Value Of Financial Instruments [Abstract]  
Fair Value of Financial Instruments

Note F - Fair Value of Financial Instruments

 

The carrying amount of cash, accounts receivable, accounts payable and notes payable, as applicable, approximates fair value due to the short term nature of these items and/or the current interest rates payable in relation to current market conditions.

 

Interest rate risk is the risk that the Company’s earnings are subject to fluctuations in interest rates on either investments or on debt and is fully dependent upon the volatility of these rates.  The Company does not use derivative instruments to moderate its exposure to interest rate risk, if any.

 

Financial risk is the risk that the Company’s earnings are subject to fluctuations in interest rates or foreign exchange rates and are fully dependent upon the volatility of these rates.  The Company does not use derivative instruments to moderate its exposure to financial risk, if any.

XML 30 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition of Sur-America Ventures, Inc. (Details Textual) (USD $)
1 Months Ended
May 21, 2009
Nov. 29, 2004
Acquisition of Sur-America Ventures, Inc. (Textual)    
Percentage of equity interest acquired in Sur-America Ventures, Inc. 100.00%  
Common stock newly issued under share exchange agreement 1,576,782  
Percentage of then-issued and outstanding capital stock issued to acquiree 90.00%  
Shares, issued 1,751,980  
Shares, outstanding 1,751,980  
Goodwill $ 4,500  
Asset value in cash due from the Bankruptcy Estate   $ 1,000
Number of shares prior to reverse split 500,000  
Shares post-reverse splits 175,198  
XML 31 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Background and Description of Business (Details) (USD $)
1 Months Ended 9 Months Ended
Sep. 18, 2009
May 21, 2009
Sep. 30, 2014
Background and Description of Business (Textual)      
Entity Incorporation, Date of Incorporation     Aug. 16, 2006
Percentage of equity interest acquired in Sur-America Ventures, Inc.   100.00%  
Common stock newly issued under share exchange agreement   1,576,782  
Percentage of then-issued and outstanding capital stock issued to acquiree   90.00%  
Shares, issued   1,751,980  
Shares, outstanding   1,751,980  
Shares sold under the securities purchase agreement 1,576,782    
Additional shares sold under subscription agreement, shares 4,087,953    
Additional shares sold under subscription agreement $ 60,000    
Aggregate common stock shares owned by Marshall Islands corporation after SPA 5,664,735    
Common stock shares owned by Marshall Islands corporation under securities purchase and subscription agreement of then issued and outstanding 5,839,933    
XML 32 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Events
9 Months Ended
Sep. 30, 2014
Subsequent Events [Abstract]  
Subsequent Events

Note J - Subsequent Events

 

Management has evaluated all activity of the Company through November 12, 2014 (the issue date of the financial statements) and concluded that no subsequent events have occurred that would require recognition in the financial statements or disclosure in the notes to financial statements.

XML 33 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
9 Months Ended
Sep. 30, 2014
Income Taxes [Abstract]  
Income Taxes

 

Note H - Income Taxes

 

The components of income tax (benefit) expense for each of the nine and three months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014, respectively, are as follows:

 

  Nine months  Nine months  Three months  Three months  

Period from
November 29, 2004

(date of bankruptcy

settlement)

 
  Ended  ended  ended  ended  through 
  September 30,  September 30,  September 30,  September 30,  September 30, 
  2014  2013  2014  2013  2014 
Federal:                    
Current $-  $-  $-  $-  $- 
Deferred  -   -   -   -   - 
   -   -   -   -   - 
State:                    
Current  -   -   -   -   - 
Deferred  -   -   -   -   - 
   -   -   -   -   - 
                     
Total $-  $-  $-  -  -

 

As of September 30, 2014, and after the September 18, 2009 change in control transaction, the Company has a net operating loss carryforward of approximately $282,000 to offset future taxable income.  The amount and availability of any net operating loss carryforwards will be subject to the limitations set forth in the Internal Revenue Code.  Such factors as the number of shares ultimately issued within a three year look-back period; whether there is a deemed more than 50 percent change in control; the applicable long-term tax exempt bond rate; continuity of historical business; and subsequent income of the Company all enter into the annual computation of allowable annual utilization of any net operating loss carryforward(s).

 

The Company's income tax expense for each of the nine months ended September 30, 2014 and 2013 and for the period from November 29, 2004 (date of bankruptcy settlement) through September 30, 2014, respectively, is as follows:

 

  Nine months 
ended  
September 30, 2014
  Nine months 
ended  
September 30,
2013
  Period from 
November 29, 2004 
(date of bankruptcy 
settlement) through  
September 30,
2014
 
          
Statutory rate applied to income before income taxes $(13,883) $(14,343) $(130,309)
Increase (decrease) in income            
taxes resulting from:            
State income taxes            
Other, including reserve for deferred tax asset and application of net operating loss carryforward  (13,883)  14,343   130,309 
             
Income tax expense $-  $-  $- 

 

The Company’s only temporary difference as of September 30, 2014 and 2013, respectively, relates to the Company’s net operating loss pursuant to the applicable Federal Tax Law.  As of September 30, 2014 and 2013, respectively, the deferred tax asset is as follows:

 

  September 30,  September 30, 
  2014  2013 
Deferred tax assets      
Net operating loss carryforwards $130,309  $110,176 
Less valuation allowance  (130,309) $(110,176)
         
Net Deferred Tax Asset $-  $- 

 

As of September 30, 2014 and 2013, respectively, the valuation allowance against the deferred tax asset increased by approximately $13,883 and $14,340.

XML 34 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Capital Stock Transactions
9 Months Ended
Sep. 30, 2014
Capital Stock Transactions [Abstract]  
Capital Stock Transactions

Note I - Capital Stock Transactions

 

Pursuant to the First Amended Joint Plan of Reorganization proposed by the Debtors and affirmed by the U. S. Bankruptcy Court - Northern District of Texas - Dallas Division on November 29, 2004, the Company “will include the issuance of a sufficient number of Plan shares to meet the requirements of the Plan.  Such number is estimated to be approximately 500,000 Plan Shares relative to each Post Confirmation Debtor.  The Plan Shares shall all be of the same class.”  As provided in the Plan, 70.0% of the Plan Shares of the Company were issued to the Company’s then-controlling stockholder, in exchange for the release of its Allowed Administrative Claims and for the performance of certain services and the payment of certain fees related to an anticipated reverse merger or other acquisition transaction(s) described in the Plan.  The remaining 30.0% of the Plan Shares of the Company were issued to other holders of various claims as defined in the Order Confirming First Amended Joint Plan of Reorganization.

 

On December 31, 2007, the Company amended its Certificate of Incorporation through the filing of a Certificate of Amendment of Certificate of Incorporation with the State of Delaware for the purpose of effecting a 1-for-2.86 reverse split of its $0.001 par value common stock.  This action was approved on November 29, 2007 by written consent of stockholders holding a majority of the Company's outstanding Common Stock in lieu of a special meeting.  As a result of the reverse split, the Company then had 175,198 shares of Common Stock outstanding.  The effect of this action is reflected in the accompanying financial statements as of the first day of the first period presented.

 

On May 21, 2009, the Company entered into the Share Exchange Agreement with SAV, and the sole stockholder of SAV.  Pursuant to the Share Exchange Agreement, the stockholder of SAV exchanged 100% of the issued and outstanding shares of the capital stock of SAV for 1,576,782 newly issued shares of the Company’s common stock that, in the aggregate, constituted approximately 90% of our then-issued and outstanding capital stock on a fully-diluted basis as of and immediately after the consummation of such exchange.  As a result of this transaction, 1,751,980 shares of our common stock were then issued and outstanding.  The Company relied upon Section 4(2) of the Securities Act of 1933, as amended, for an exemption from registration of these shares and no underwriter was used in this transaction.

 

On September 18, 2009, the Company entered into the SPA, with Magellan Alpha Investments Corp., a Marshall Islands corporation (“Purchaser”) and Pierre Galoppi, the Company’s then-sole director and officer (“Seller”).  Pursuant to the SPA, the Purchaser purchased from the Seller an aggregate of 1,576,782 shares of the Company’s issued and outstanding common stock and, concurrent with the execution of the SPA, the Purchaser purchased an additional 4,087,953 newly issued shares of our common stock pursuant to the SA, for $60,000 cash.  Immediately after closing of both the SPA and SA, the Purchaser then owned  an aggregate of approximately 5,664,735 shares common stock of the Company and approximately 5,839,933 shares of the Company’s common stock were then issued and outstanding.  These transactions closed on October 9, 2009.  The Company relied upon Section 4(2) of the Securities Act of 1933, as amended, for an exemption from registration of the newly issued shares and no underwriter was used in this transaction.  The Purchaser subsequently sold a portion of its shares to certain third parties in a private transaction.

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Summary of Significant Accounting Policies (Policies)
9 Months Ended
Sep. 30, 2014
Summary Of Significant Accounting Policies [Abstract]  
Cash and cash equivalents
1.Cash and cash equivalents
  
 The Company considers all cash on hand and in banks, certificates of deposit and other highly-liquid investments with maturities of three months or less, when purchased, to be cash and cash equivalents.
  
Reorganization costs
2.Reorganization costs
  
 The Company has adopted the provisions required by the Start-up Activities Topic of the FASB Accounting Standards Codification whereby all costs incurred with the incorporation and organization of the Company were charged to operations as incurred.
Income taxes
3.Income taxes
  
 The Company files income tax returns in the United States of America and may file, as applicable and appropriate, various state(s).  The Company does not anticipate any examinations of returns filed since 2006 or to be filed in future periods.

  
 The Company uses the asset and liability method of accounting for income taxes.  At September 30, 2014 and 2013, respectively, the deferred tax asset and deferred tax liability accounts, as recorded when material to the financial statements, are entirely the result of temporary differences.  Temporary differences generally represent differences in the recognition of assets and liabilities for tax and financial reporting purposes, primarily accumulated depreciation and amortization, allowance for doubtful accounts and vacation accruals.
  
 The Company has adopted the provisions required by the Income Taxes topic of the FASB Accounting Standards Codification.  The Codification Topic requires the recognition of potential liabilities as a result of management’s acceptance of potentially uncertain positions for income tax treatment on a “more-likely-than-not” probability of an assessment upon examination by a respective taxing authority.  As a result of the implementation of Codification’s Income Tax Topic, the Company did not incur any liability for unrecognized tax benefits.
  
 As of September 30, 2014 and 2013, respectively, the deferred tax asset related to the Company’s net operating loss carry forward is fully reserved.  Due to the provisions of Internal Revenue Code Section 338, the Company may have no net operating loss carry forwards available to offset financial statement or tax return taxable income in future periods as a result of a change in control involving 50 percentage points or more of the issued and outstanding securities of the Company.
  
Income (Loss) per share
4.Income (Loss) per share
  
 Basic earnings (loss) per share is computed by dividing the net income (loss) available to common stockholders by the weighted-average number of common shares outstanding during the respective period presented in our accompanying financial statements.
  
 Fully diluted earnings (loss) per share are computed similar to basic income (loss) per share except that the denominator is increased to include the number of common stock equivalents (primarily outstanding options and warrants).
  
 Common stock equivalents represent the dilutive effect of the assumed exercise of the outstanding stock options and warrants, using the treasury stock method, at either the beginning of the respective period presented or the date of issuance, whichever is later, and only if the common stock equivalents are considered dilutive based upon the Company’s net income (loss) position at the calculation date.
  
 As of September 30, 2014 and 2013, respectively, and subsequent thereto, the Company had no outstanding stock warrants, options or convertible securities which could be considered as dilutive for purposes of the loss per share calculation.
  
Pending and/or New Accounting Pronouncements
5.Pending and/or New Accounting Pronouncements
  
 The Company is of the opinion that any pending accounting pronouncements, either in the adoption phase or not yet required to be adopted, will not have a significant impact on the Company's financial position or results of operations.
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Going Concern Uncertainty (Details)
Sep. 30, 2014
Dec. 31, 2013
Going Concern Uncertainty (Textual)    
Preferred stock, shares authorized 10,000,000 10,000,000
Common stock, shares authorized 40,000,000 40,000,000
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Income Taxes (Details 2) (USD $)
Sep. 30, 2014
Sep. 30, 2013
Deferred tax asset    
Net operating loss carryforwards $ 130,309 $ 110,176
Less valuation allowance (130,309) (110,176)
Net Deferred Tax Asset      
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Statements of Cash Flows (USD $)
9 Months Ended 118 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Cash Flows from Operating Activities      
Net loss for the period $ (40,834) $ (42,184) $ (361,550)
Adjustments to reconcile net loss to net cash provided by operating activities      
Abandonment of goodwill acquired in Sur-America Ventures, Inc.       4,500
Increase in prepaid expenses         
Decrease/ increase in accounts payable-trade 556 17,508 49,751
Net cash used in operating activities (40,278) (24,676) (307,299)
Cash Flows from Investing Activities         
Cash Flows from Financing Activities      
Cash funded from bankruptcy trust       1,000
Cash received on sale of common stock       60,000
Cash provided by former controlling shareholder       65,480
Cash repaid to former controlling shareholder       (60,000)
Cash provided by current controlling stockholder 40,278 24,676 240,819
Net cash provided by financing activities 40,278 24,676 307,299
Decrease/ Increase in Cash         
Cash at beginning of period         
Cash at end of period         
Supplemental Disclosure of Interest and Income Taxes Paid      
Interest paid during the period         
Income taxes paid during the period         
Supplemental Disclosure of Non-Cash Investing and Financing Activities      
Debt due former controlling stockholder contributed as additional paid-in capital         
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Summary of Significant Accounting Policies
9 Months Ended
Sep. 30, 2014
Summary Of Significant Accounting Policies [Abstract]  
Summary of Significant Accounting Policies

Note E - Summary of Significant Accounting Policies 

 

1.Cash and cash equivalents
  
 The Company considers all cash on hand and in banks, certificates of deposit and other highly-liquid investments with maturities of three months or less, when purchased, to be cash and cash equivalents.
  
2.Reorganization costs
  
 The Company has adopted the provisions required by the Start-up Activities Topic of the FASB Accounting Standards Codification whereby all costs incurred with the incorporation and organization of the Company were charged to operations as incurred.
  
3.Income taxes
  
 The Company files income tax returns in the United States of America and may file, as applicable and appropriate, various state(s).  The Company does not anticipate any examinations of returns filed since 2006 or to be filed in future periods.

 
 The Company uses the asset and liability method of accounting for income taxes.  At September 30, 2014 and 2013, respectively, the deferred tax asset and deferred tax liability accounts, as recorded when material to the financial statements, are entirely the result of temporary differences.  Temporary differences generally represent differences in the recognition of assets and liabilities for tax and financial reporting purposes, primarily accumulated depreciation and amortization, allowance for doubtful accounts and vacation accruals.
  
 The Company has adopted the provisions required by the Income Taxes topic of the FASB Accounting Standards Codification.  The Codification Topic requires the recognition of potential liabilities as a result of management’s acceptance of potentially uncertain positions for income tax treatment on a “more-likely-than-not” probability of an assessment upon examination by a respective taxing authority.  As a result of the implementation of Codification’s Income Tax Topic, the Company did not incur any liability for unrecognized tax benefits.
 
 As of September 30, 2014 and 2013, respectively, the deferred tax asset related to the Company’s net operating loss carry forward is fully reserved.  Due to the provisions of Internal Revenue Code Section 338, the Company may have no net operating loss carry forwards available to offset financial statement or tax return taxable income in future periods as a result of a change in control involving 50 percentage points or more of the issued and outstanding securities of the Company.
  
4.Income (Loss) per share
  
 Basic earnings (loss) per share is computed by dividing the net income (loss) available to common stockholders by the weighted-average number of common shares outstanding during the respective period presented in our accompanying financial statements.
  
 Fully diluted earnings (loss) per share are computed similar to basic income (loss) per share except that the denominator is increased to include the number of common stock equivalents (primarily outstanding options and warrants).
  
 Common stock equivalents represent the dilutive effect of the assumed exercise of the outstanding stock options and warrants, using the treasury stock method, at either the beginning of the respective period presented or the date of issuance, whichever is later, and only if the common stock equivalents are considered dilutive based upon the Company’s net income (loss) position at the calculation date.
  
 As of September 30, 2014 and 2013, respectively, and subsequent thereto, the Company had no outstanding stock warrants, options or convertible securities which could be considered as dilutive for purposes of the loss per share calculation.
  
5.Pending and/or New Accounting Pronouncements
  
 The Company is of the opinion that any pending accounting pronouncements, either in the adoption phase or not yet required to be adopted, will not have a significant impact on the Company's financial position or results of operations.
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Income Taxes (Details Textual) (USD $)
9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Income Taxes (Textual)    
Net operating loss carryforwards $ 282,000  
Look-back period of shares 3 years  
Percentage point change in control subject to limitations set forth in internal revenue code 50.00%  
Increase in valuation allowance against the deferred tax asset $ 13,883 $ 14,340
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Bankruptcy Action (Details) (USD $)
9 Months Ended
Sep. 30, 2014
Nov. 29, 2004
Bankruptcy Action (Textual)    
Effective date of the Plan of Reorganization Nov. 29, 2004  
Plan of Reorganization approval date Nov. 29, 2004  
Common stock issued due to bankruptcy filing, Description The issuance of all "new" shares of the reorganized entity caused an issuance of shares of common stock and a related change of control of the Company with more than 50.0% of the "new" shares being held by persons and/or entities which were not pre-bankruptcy stockholders.  
Date of adopting fresh start accounting Nov. 29, 2004  
Asset value in cash due from the Bankruptcy Estate   $ 1,000