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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 4/07/23 Cell MedX Corp. 10-K 5/31/22 90:3.6M Empire Stock Transf… Inc |
Document/Exhibit Description Pages Size 1: 10-K Cell Medx Corp. - Form 10-K SEC Filing HTML 801K 2: EX-10.50 Loan Agreement and Note Payable Dated April 28, HTML 30K 2022, Among Cell Medx (Canada) Corp. and Richard Jeffs 3: EX-10.51 Loan Agreement and Note Payable Dated May 31, HTML 30K 2022, Among Cell Medx (Canada) Corp. and Richard Jeffs 4: EX-10.52 Loan Agreement and Note Payable Dated June 27, HTML 30K 2022, Among Cell Medx (Canada) Corp. and Richard Jeffs 5: EX-10.53 Loan Agreement and Note Payable Dated July 28, HTML 30K 2022, Among Cell Medx (Canada) Corp. and Richard Jeffs 6: EX-10.59 Loan Agreement Dated September 2, 2022, Among Cell HTML 27K Medx (Canada) Corp. and Richard Jeffs 7: EX-10.60 Loan Agreement Dated September 6, 2022, Among Cell HTML 28K Medx (Canada) Corp. and Richard Jeffs 8: EX-10.61 Loan Agreement Dated November 3, 2022, Among Cell HTML 28K Medx (Canada) Corp. and Richard Jeffs 9: EX-10.62 Loan Agreement Dated November 28, 2022, Among Cell HTML 31K Medx (Canada) Corp. and Richard Jeffs 10: EX-10.63 Loan Agreement Dated December 30, 2022, Among Cell HTML 28K Medx (Canada) Corp. and Richard Jeffs 11: EX-10.64 Loan Agreement Dated January 24, 2023, Among Cell HTML 32K Medx Corp. and David Jeffs 12: EX-10.65 Loan Agreement Dated January 24, 2023, Among Cell HTML 32K Medx Corp. and Amir Vahabzadeh 13: EX-10.66 Loan Agreement Dated January 30, 2022, Among Cell HTML 27K Medx (Canada) Corp. and Richard Jeffs 14: EX-21.1 List of Significant Subsidiaries HTML 26K 15: EX-31.1 Certification -- §302 - SOA'02 HTML 29K 16: EX-31.2 Certification -- §302 - SOA'02 HTML 29K 17: EX-32.1 Certification -- §906 - SOA'02 HTML 26K 18: EX-32.2 Certification -- §906 - SOA'02 HTML 26K 24: R1 Document and Entity Information HTML 86K 25: R2 Consolidated Balance Sheets HTML 106K 26: R3 Consolidated Balance Sheets - Parenthetical HTML 33K 27: R4 Consolidated Statements of Operations HTML 99K 28: R5 Consolidated Statement of Stockholders' Deficit HTML 86K 29: R6 Consolidated Statements of Cash Flows HTML 97K 30: R7 Organization and Nature of Operations HTML 31K 31: R8 Summary of Significant Accounting Policies HTML 48K 32: R9 Related Party Transactions Disclosure HTML 48K 33: R10 Notes and Advances Payable Disclosure HTML 47K 34: R11 Other Current Assets Disclosure HTML 28K 35: R12 Equipment Disclosure HTML 34K 36: R13 Revenue Disclosure HTML 34K 37: R14 Notes and Advances Payable Disclosure, Current HTML 28K 38: R15 Stockholders' Deficit Disclosure HTML 59K 39: R16 Income Taxes Disclosure HTML 47K 40: R17 Subsequent Events Disclosure HTML 30K 41: R18 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: Basis HTML 28K of Presentation (Policies) 42: R19 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 29K Principles of Consolidation, Policy (Policies) 43: R20 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 31K Accounting Estimates, Policy (Policies) 44: R21 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 30K Foreign Currency Translations and Transactions, Policy (Policies) 45: R22 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 30K Revenue Recognition, Policy (Policies) 46: R23 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 30K Inventory Valuation, Policy (Policies) 47: R24 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 29K Research and Development Costs, Policy (Policies) 48: R25 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: Income HTML 31K Taxes, Policy (Policies) 49: R26 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 34K Earnings Per Share, Policy (Policies) 50: R27 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 30K Long-lived Assets, Policy (Policies) 51: R28 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 29K Equipment, Policy (Policies) 52: R29 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: Fair HTML 31K Value Measurements, Policy (Policies) 53: R30 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: Stock HTML 32K Options and Other Stock-based Compensation, Policy (Policies) 54: R31 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: Recent HTML 28K Accounting Pronouncements (Policies) 55: R32 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 33K Earnings Per Share, Policy: Schedule of Antidilutive Securities Excluded from Computation of Earnings Per Share (Tables) 56: R33 Related Party Transactions Disclosure: Schedule of HTML 36K Amounts Due to Related Parties (Tables) 57: R34 Related Party Transactions Disclosure: Schedule of HTML 36K Transactions with Related Parties (Tables) 58: R35 Notes and Advances Payable Disclosure: Schedule of HTML 39K Loans and Advances Outstanding to Related Parties (Tables) 59: R36 Equipment Disclosure: Change in book value of the HTML 33K equipment (Tables) 60: R37 Revenue Disclosure: Schedule of Revenue and HTML 34K Associated Costs (Tables) 61: R38 Stockholders' Deficit Disclosure: Schedule of HTML 36K Stock Option Activity (Tables) 62: R39 Stockholders' Deficit Disclosure: Schedule of HTML 31K Stock Options Outstanding (Tables) 63: R40 Stockholders' Deficit Disclosure: Schedule of HTML 36K Warrant Activity (Tables) 64: R41 Stockholders' Deficit Disclosure: Schedule of HTML 32K Warrant Details (Tables) 65: R42 Income Taxes Disclosure: Schedule of Effective HTML 37K Income Tax Rate Reconciliation (Tables) 66: R43 Income Taxes Disclosure: Schedule of Deferred Tax HTML 34K Assets and Liabilities (Tables) 67: R44 Organization and Nature of Operations (Details) HTML 30K 68: R45 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: HTML 31K Earnings Per Share, Policy: Schedule of Antidilutive Securities Excluded from Computation of Earnings Per Share (Details) 69: R46 Related Party Transactions Disclosure: Schedule of HTML 39K Amounts Due to Related Parties (Details) 70: R47 Related Party Transactions Disclosure: Schedule of HTML 40K Transactions with Related Parties (Details) 71: R48 Notes and Advances Payable Disclosure: Schedule of HTML 39K Loans and Advances Outstanding to Related Parties (Details) 72: R49 Notes and Advances Payable Disclosure (Details) HTML 65K 73: R50 Other Current Assets Disclosure (Details) HTML 30K 74: R51 Equipment Disclosure: Change in book value of the HTML 36K equipment (Details) 75: R52 Revenue Disclosure: Schedule of Revenue and HTML 49K Associated Costs (Details) 76: R53 Notes and Advances Payable Disclosure, Current HTML 35K (Details) 77: R54 Stockholders' Deficit Disclosure (Details) HTML 78K 78: R55 Stockholders' Deficit Disclosure: Schedule of HTML 41K Stock Option Activity (Details) 79: R56 Stockholders' Deficit Disclosure: Schedule of HTML 31K Stock Options Outstanding (Details) 80: R57 Stockholders' Deficit Disclosure: Schedule of HTML 34K Warrant Activity (Details) 81: R58 Stockholders' Deficit Disclosure: Schedule of HTML 33K Warrant Details (Details) 82: R59 Income Taxes Disclosure: Schedule of Effective HTML 54K Income Tax Rate Reconciliation (Details) 83: R60 Income Taxes Disclosure: Schedule of Deferred Tax HTML 37K Assets and Liabilities (Details) 84: R61 Income Taxes Disclosure (Details) HTML 30K 85: R62 Subsequent Events Disclosure (Details) HTML 34K 88: XML IDEA XML File -- Filing Summary XML 153K 86: XML XBRL Instance -- cmxc-20220531_htm XML 666K 87: EXCEL IDEA Workbook of Financial Reports XLSX 98K 19: EX-101.CAL XBRL Calculations -- cmxc-20220531_cal XML 69K 20: EX-101.DEF XBRL Definitions -- cmxc-20220531_def XML 298K 21: EX-101.LAB XBRL Labels -- cmxc-20220531_lab XML 526K 22: EX-101.PRE XBRL Presentations -- cmxc-20220531_pre XML 484K 23: EX-101.SCH XBRL Schema -- cmxc-20220531 XSD 145K 89: JSON XBRL Instance as JSON Data -- MetaLinks 258± 387K 90: ZIP XBRL Zipped Folder -- 0001393905-23-000167-xbrl Zip 222K
Loan Agreement and Note Payable dated June 27, 2022, among Cell MedX (Canada) Corp. and Richard Jeffs |
LOAN AGREEMENT
Richard N. Jeffs (the “Lender”) of 11750 Fairtide Road, Ladysmith, BC V9G 1K5, advanced USD$23,000 (the “Principal Sum”) to Cell MedX (Canada) Corp. (the “Borrower”) of 820 - 1130 Pender Street West. Vancouver, BC V6E 4A4. The Lender advanced the funds on June 27, 2022. As per request of the Borrower, the Lender transferred the Principal Sum into the account of Cell MedX Corp., the Borrower’s parent corporation with an address at 123 W. Nye Ln, Suite 446, Carson City, NV 89706.
The Borrower agrees to repay the Principal Sum on demand, together with interest calculated and compounded monthly at the rate of 6% per year (the “Interest”) calculated from June 27, 2022 (the “Effective Date”). The Borrower is liable for repayment of the Principal Sum, accrued Interest, and any additional costs that the Lender incurs in trying to collect the amount owed to him under the terms of this Loan Agreement.
The Borrower will evidence the debt and its repayment of the Principal Sum and the Interest with a promissory note in the attached form.
LENDER | BORROWER |
Richard N. Jeffs | Cell MedX (Canada) Corp. |
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Per: | Per: |
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/s/ Richard N. Jeffs | /s/ Yanika Silina |
Richard N. Jeffs | Yanika Silina, Director |
PROMISSORY NOTE
Principal Amount: USD$23,000 |
FOR VALUE RECEIVED Cell MedX (Canada) Corp., (the “Borrower”) promises to pay on demand to the order of Richard N. Jeffs (the “Lender”) the sum of $23,000 lawful money of the United States of America (the “Principal Sum”) together with the Interest accrued on the Principal Sum calculated from June 27, 2022 (“Effective Date”) both before and after maturity, default and judgment at the Interest Rate as defined below.
For the purposes of this promissory note, Interest Rate means 6 per cent per year. Interest at the Interest Rate must be calculated and compounded monthly not in advance from and including the Effective Date (for an effective rate of 6.2% per annum calculated monthly), and is payable together with the Principal Sum when the Principal Sum is repaid.
The Borrower acknowledges that, at the Borrower’s request, the Lender transferred the Principal Sum to Cell MedX Corp., the Borrower’s parent corporation.
The Borrower may repay the Principal Sum, and the Interest in whole or in part at any time.
The Borrower waives presentment, protest, notice of protest and notice of dishonor of this promissory note.
BORROWER
Cell MedX (Canada) Corp.
Per:
/s/ Yanika Silina
Yanika Silina, Director
This ‘10-K’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 4/7/23 | |||
6/27/22 | ||||
For Period end: | 5/31/22 | NT 10-K | ||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 4/15/24 Cell MedX Corp. 10-Q 2/29/24 53:2.7M Empire Stock Transf… Inc 1/16/24 Cell MedX Corp. 10-Q 11/30/23 46:2.3M Empire Stock Transf… Inc 10/16/23 Cell MedX Corp. 10-Q 8/31/23 42:1.9M Empire Stock Transf… Inc 9/01/23 Cell MedX Corp. 10-K 5/31/23 73:3.2M Empire Stock Transf… Inc 6/29/23 Cell MedX Corp. 10-Q 2/28/23 53:2.5M Empire Stock Transf… Inc 5/19/23 Cell MedX Corp. 10-Q 11/30/22 53:2.4M Empire Stock Transf… Inc 4/19/23 Cell MedX Corp. 10-Q 8/31/22 51:2.2M Empire Stock Transf… Inc |