Disclosure Statement Pursuant to the Pink Basic Disclosure Guidelines
PEER TO PEER NETWORK
45 Prospect Street Cambridge, MA 02139
_______________________________
617-481-1971
www.freemobicard.com
info@freemobicard.com
SIC Code: 7373
Annual Report
Amendment #1
For the Period Ending: September 30, 2020
(the "Reporting Period")
As of September 30, 2020, the number of shares outstanding of our Common Stock was: 11,191,005,590
As of June 30, 2020, the number of shares outstanding of our Common Stock was: 10,867,569,656
As of September 30, 2019, the number of shares outstanding of our Common Stock was: 10,717,059,532
Indicate by check mark whether the company is a shell company (as defined in Rule 405 of the Securities Act of 1933 and Rule 12b-2 of the Exchange Act of 1934):
Yes: ☐ | No: ☒ |
Indicate by check mark whether the company's shell status has changed since the previous reporting period:
Yes: ☐ | No: ☒ |
Indicate by check mark whether a Change in Control of the company has occurred over this reporting period:
Yes: ☐ | No: ☒ |
- Name and address(es) of the issuer and its predecessors (if any)
In answering this item, provide the current name of the issuer any names used by predecessor entities, along with the dates of the name changes.
Web Wizard, Inc. - May 9, 2007
Psychic Friends Network, Inc. - February 17, 2012
Peer to Peer Network - August 27, 2014
Mobicard Inc. - January 12, 2016
Peer to Peer Network - May 25, 2021
The state of incorporation or registration of the issuer and of each of its predecessors (if any) during the past five years; Please also include the issuer's current standing in its state of incorporation (e.g. active, default, inactive):
Nevada - active
Describe any trading suspension orders issued by the SEC concerning the issuer or its predecessors since inception:
n/a
OTC Markets Group Inc. | |
OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021) | Page 1 of 28 |
List any stock split, stock dividend, recapitalization, merger, acquisition, spin-off, or reorganization either currently anticipated or that occurred within the past 12 months:
n/a
The address(es) of the issuer's principal executive office:
45 Prospect Street Cambridge, MA 02139
The address(es) of the issuer's principal place of business:
Check box if principal executive office and principal place of business are the same address: ☒
Has the issuer or any of its predecessors been in bankruptcy, receivership, or any similar proceeding in the past five years?
Yes: ☐ | No: ☒ |
If this issuer or any of its predecessors have been the subject of such proceedings, please provide additional details in the space below:
n/a | ||
2) | Security Information | |
Trading symbol: | PTOP | |
Exact title and class of securities outstanding: | COMMON Class A | |
CUSIP: | 705484103 | |
Par or stated value: | 0.001 | |
Total shares authorized: | 24,000,000,000as of date: 4/22/2020 | |
Total shares outstanding: | 11,191,005,590as of date: 9/30/2020 | |
Number of shares in the Public Float: | 3,423,966,890as of date: 9/30/2020 | |
Total number of shareholders of record: | 132as of date: 9/30/2020 |
All additional class(es) of publicly traded securities (if any): n/a
Transfer Agent
Name: | Empire Stock Transfer | |
Phone: 702.818.5898 | ||
Email: brian@empirestock.com | ||
Address: | 1859 Whitney Mesa Dr | |
Henderson, NV 89014 | ||
Is the Transfer Agent registered under the Exchange Act? Yes: ☒ | No: ☐ |
- Issuance History
The goal of this section is to provide disclosure with respect to each event that resulted in any direct changes to the total shares outstanding of any class of the issuer's securities in the past two completed fiscal years and any subsequent interim period.
OTC Markets Group Inc. | |
OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021) | Page 2 of 28 |
Disclosure under this item shall include, in chronological order, all offerings and issuances of securities, including debt convertible into equity securities, whether private or public, and all shares, or any other securities or options to acquire such securities, issued for services. Using the tabular format below, please describe these events.
A. Changes to the Number of Outstanding Shares
Check this box to indicate there were no changes to the number of outstanding shares within the past two completed fiscal years and any subsequent periods: ☐
Shares Outstanding as of Second Most Recent | ||||||||||
Fiscal Year End: | *Right-click the rows below and select "Insert" to add rows as needed. | |||||||||
Opening Balance | ||||||||||
Date 9/30/18 | ||||||||||
Common: 2,461,268,592 | ||||||||||
Preferred: N/A | ||||||||||
Date of | Transactio | Number of | Class of | Value | Were the | Individual/ | Reason for | Restricted | Exemptio | |
Transaction | n type | Shares | Securities | of | shares | Entity Shares | share | or | n or | |
(e.g. new | Issued (or | share | issued | were issued to | issuance | Unrestricted | Registrati | |||
issuance, | cancelled) | s | at a | (entities must | (e.g. for cash | as of this | on Type. | |||
cancellati | issue | discount | have | or debt | filing. | |||||
on, shares | d | to | individual with | conversion) - | ||||||
returned | ($/per | market | voting / | OR- Nature of | ||||||
to | share) | price at | investment | Services | ||||||
treasury) | at | the time | control | Provided | ||||||
Issua | of | disclosed). | ||||||||
nce | issuanc | |||||||||
e? | ||||||||||
(Yes/No) | ||||||||||
01/14/19 | New Issue | 12,500,000 | Class A | .0005 | YES | Think Latitude | Services | Restricted | ||
Inc. (Andy | Rendered | |||||||||
Sanjnani) | ||||||||||
01/15/19 | New Issue | 238,111,000 | Class A | .00005 | YES | LG Capital | Debt | Unrestricted | 144 | |
Funding, LLC | conversion | |||||||||
(Joseph Lerman) | ||||||||||
01/16/19 | New Issue | 59,500,000 | Class A | .00035 | YES | Brian Summer | Debt | Unrestricted | 4a1 | |
Conversion | ||||||||||
01/28/19 | New Issue | 120,000,000 | Class A | .0005 | YES | Joshua Sodaitis | Services | Restricted | ||
Rendered | ||||||||||
03/27/19 | New Issue | 12,000,000 | Class A | .0005 | YES | Jordan | Services | Restricted | ||
Eikenberry | Rendered | |||||||||
03/27/19 | New Issue | 3,000,000 | Class A | .0005 | YES | Connor Boyd | Services | Restricted | ||
Rendered | ||||||||||
03/27/19 | New Issue | 75,000,000 | Class A | .0005 | YES | Elizabeth Deere | Services | Restricted | ||
Rendered | ||||||||||
03/27/19 | New Issue | 8,280,000 | Class A | .0005 | YES | John Benjamin III | Services | Restricted | ||
Rendered | ||||||||||
03/27/19 | New Issue | 75,000,000 | Class A | .0005 | YES | Anthony J | Services | Restricted | ||
Mirabito | Rendered | |||||||||
03/27/19 | New Issue | 135,000,000 | Class A | .0005 | YES | James W Sodaitis | Services | Restricted | ||
Rendered | ||||||||||
03/27/19 | New Issue | 63,000,000 | Class A | .0005 | YES | Marc Lasky | Services | Restricted | ||
Rendered | ||||||||||
04/01/19 | New Issue | 65,100,000 | Class A | .0005 | YES | W. Carl McMillan | Cash | Restricted | ||
Investment | ||||||||||
04/01/19 | New Issue | 5,110,000 | Class A | .0005 | YES | Greg Drury | Cash | Restricted | ||
Investment |
OTC Markets Group Inc. | |
OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021) | Page 3 of 28 |
04/01/19 | New Issue | 5,000,000 | Class A | .0005 | YES | George D | Cash | Restricted | |
Neeman | Investment | ||||||||
04/01/19 | New Issue | 16,000,000 | Class A | .0005 | YES | Manfred H | Cash | Restricted | |
Sadeler | Investment | ||||||||
04/03/19 | New Issue | 10,000,000 | Class A | .0005 | YES | Alphie | Cash | Restricted | |
Investments, LLC | Investment | ||||||||
(Ralph Digiorgio) | |||||||||
04/03/19 | New Issue | 5,000,000 | Class A | .0005 | YES | Dianne Crowl- | Cash | Restricted | |
Ventura | Investment | ||||||||
04/03/19 | New Issue | 5,000,000 | Class A | .0005 | YES | Greg Drury | Cash | Restricted | |
Investment | |||||||||
04/03/19 | New Issue | 7,000,000 | Class A | .0005 | YES | Morris Kaneshiro | Cash | Restricted | |
Investment | |||||||||
04/03/19 | New Issue | 20,000,000 | Class A | .0005 | YES | John S. Lemak, | Cash | Restricted | |
IRA | Investment | ||||||||
04/03/19 | New Issue | 70,000,000 | Class A | .0005 | YES | W. Carl McMillan | Cash | Restricted | |
04/03/19 | New Issue | 3,000,000 | Class A | .0005 | YES | Dallas W. | Cash | Restricted | |
Meador | |||||||||
04/03/19 | New Issue | 120,000,000 | Class A | .0005 | YES | Nilson Holdings, | Cash | Restricted | |
LLC (Todd Nilson) | |||||||||
04/03/19 | New Issue | 20,000,000 | Class A | .0005 | YES | Rajendra Patel | Cash | Restricted | |
04/03/19 | New Issue | 5,000,000 | Class A | .0005 | YES | Vincent A. | Cash | Restricted | |
Sablone | |||||||||
04/03/19 | New Issue | 16,000,000 | Class A | .0005 | YES | Manfred H | Cash | Restricted | |
Sadeler | |||||||||
04/03/19 | New Issue | 3,000,000 | Class A | .0005 | YES | Brian Summer | Cash | Restricted | |
04/10/19 | New Issue | 197,069,970 | Class A | .00035 | YES | W. Carl McMillan | Debt | Unrestricted | 4a1 |
Conversion | |||||||||
04/10/19 | New Issue | 1,400,000 | Class A | .0005 | YES | Bruce J. Daab | Cash | Restricted | |
04/10/19 | New Issue | 10,000,000 | Class A | .0005 | YES | Glen D. Mardis | Cash | Restricted | |
04/10/19 | New Issue | 4,000,000 | Class A | .0005 | YES | Thomas O'Brian | Cash | Restricted | |
04/10/19 | New Issue | 1,000,000 | Class A | .0005 | YES | RYS Ventures LLC | Cash | Restricted | |
(James Harris Jr.) | |||||||||
04/10/19 | New Issue | 6,600,000 | Class A | .0005 | YES | Greg Drury | Cash | Restricted | |
04/10/19 | New Issue | 7,500,000 | Class A | .0005 | YES | Nilson Holdings, | Cash | Restricted | |
LLC (Todd Nilson) | |||||||||
04/10/19 | New Issue | 7,500,000 | Class A | .0005 | YES | W. Carl McMillan | Cash | Restricted | |
04/11/19 | New Issue | 236,890,000 | Class A | .00035 | YES | Vincent A. | Debt | Unrestricted | 4a1 |
Sablone | conversion | ||||||||
04/25/19 | New Issue | 247,629,714 | Class A | .00035 | YES | John Pellerin | Debt | Unrestricted | 4a1 |
Conversion | |||||||||
04/25/19 | New Issue | 35,506,200 | Class A | .00045 | YES | Donald Boyle | Debt | Unrestricted | 4a1 |
conversion | |||||||||
4/29/19 | Return to | (100,000,000) | Class A | .0001 | N/A | N/A | N/A | ||
Treasury | Yes | ||||||||
04/30/19 | New Issue | 59,121,766 | Class A | .0003 | YES | Gregory Smith, | Debt | Unrestricted | 4a1 |
IRA, Individual | Conversion | ||||||||
05/03/19 | New Issue | 10,000,000 | Class A | .0005 | YES | Faisal Panjwani | Cash | Restricted | |
Investment | |||||||||
05/03/19 | New Issue | 18,600,000 | Class A | .0005 | YES | Anthony J | Cash | Restricted | |
Mirabito | Investment | ||||||||
05/03/19 | New Issue | 201,800,000 | Class A | .00005 | YES | LG Capital | Debt | Unrestricted | 4a1 |
Funding, LLC | Conversion | ||||||||
(Joseph Lerman) | |||||||||
05/03/19 | New Issue | 201,800,000 | Class A | .00005 | YES | LG Capital | Debt | Unrestricted | 144 |
Funding, LLC | Conversion | ||||||||
(Joseph Lerman) | |||||||||
05/07/19 | New Issue | 247,277,600 | Class A | .00035 | YES | Midland IRA, Inc. | Debt | Unrestricted | 4a1 |
FBO Thomas B | Conversion | ||||||||
Speer |
OTC Markets Group Inc. | |
OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021) | Page 4 of 28 |
05/07/19 | New Issue | 124,342,314 | Class A | .0003 | YES | Glen D. Mardis | Debt | Unrestricted | 4a1 |
Conversion | |||||||||
05/07/19 | New Issue | 13,253,657 | Class A | .00035 | YES | Gregg Perreault | Debt | Unrestricted | 4a1 |
Conversion | |||||||||
05/07/19 | New Issue | 116,165,943 | Class A | .00035 | YES | Beantown | Debt | Unrestricted | 4a1 |
Enterprises, LLC | Conversion | ||||||||
(Peter Depesa) | |||||||||
05/16/19 | New Issue | 4,451,272 | Class A | .00009 | YES | Aixa Fraser | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 111,281,796 | Class A | .00009 | YES | Alphie | Code2Action | Restricted | |
Investments, LLC | Settlement | ||||||||
(Ralph Digiorgio) | |||||||||
05/16/19 | New Issue | 13,353,816 | Class A | .00009 | YES | Andy Pothast | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 44,512,718 | Class A | .00009 | YES | Beantown | Code2Action | Restricted | |
Enterprises, LLC | Settlement | ||||||||
(Peter Depesa) | |||||||||
05/16/19 | New Issue | 68,438,304 | Class A | .00009 | YES | Brian Summer | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 32,820,396 | Class A | .00009 | YES | Bruce J. Daab | Coe2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 8,346,135 | Class A | .00009 | YES | Chay Vue | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 50,000,024 | Class A | .00009 | YES | Christopher J. | Code2ActionSe | Restricted | |
Cantalini | ttlement | ||||||||
05/16/19 | New Issue | 3,338,454 | Class A | .0005 | YES | Christopher | Cash | Restricted | |
Kaneshiro | Investment | ||||||||
05/16/19 | New Issue | 11,128,180 | Class A | .00009 | YES | Cynthia J. | Code2Action | Restricted | |
Alexander | Settlement | ||||||||
05/16/19 | New Issue | 5,564,090 | Class A | .00009 | YES | Dallas W. | Code2Action | Restricted | |
Meador | Settlement | ||||||||
05/16/19 | New Issue | 73,445,985 | Class A | .00009 | YES | Edward F. | Code2Action | Restricted | |
Simpson | Settlement | ||||||||
05/16/19 | New Issue | 55,640,898 | Class A | .00009 | YES | Glen D. Mardis | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 4,451,272 | Class A | .00009 | YES | Greg Lee | Code2Action | Restricted | |
Robinson | Settlement | ||||||||
05/16/19 | New Issue | 23,925,586 | Class A | .00009 | YES | Greg Potcner | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 24,064,076 | Class A | .00009 | YES | Gregg M. | Code2Action | Restricted | |
Perreault & | Settlement | ||||||||
Deborah L | |||||||||
05/16/19 | New Issue | 111,281,796 | Class A | .00009 | YES | Greg Drury | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 83,461,347 | Class A | .00009 | YES | Jacqueline | Code2Action | Restricted | |
Whithed | Settlement | ||||||||
05/16/19 | New Issue | 17,805,087 | Class A | .00009 | YES | James L. Harris | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 55,640,898 | Class A | .00009 | YES | Jaime Lee Best | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 15,579,451 | Class A | .00009 | YES | John J. Lucey | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 111,281,796 | Class A | .00009 | YES | John S. Lemak, | Code2Action | Restricted | |
IRA | Settlement | ||||||||
05/16/19 | New Issue | 11,128,180 | Class A | .00009 | YES | Jordan | Code2Action | Restricted | |
Rosenberg | Settlement | ||||||||
05/16/19 | New Issue | 17,805,087 | Class A | .00009 | YES | Kevin M. Lucey | Code2Action | Restricted | |
Settlement | |||||||||
05/16/19 | New Issue | 111,281,796 | Class A | .00009 | YES | Laurence E. | Code2Action | Restricted | |
Fletcher | Settlement |
OTC Markets Group Inc. | |
OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021) | Page 5 of 28 |
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Mobicard Inc. published this content on 03 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 03 January 2022 23:18:02 UTC.