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Dragon Victory International Ltd. – ‘20-F’ for 3/31/22

On:  Tuesday, 8/16/22, at 5:01pm ET   ·   For:  3/31/22   ·   Accession #:  1213900-22-48696   ·   File #:  1-38208

Previous ‘20-F’:  ‘20-F’ on 8/2/21 for 3/31/21   ·   Next & Latest:  ‘20-F’ on 2/12/24 for 3/31/23   ·   14 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 8/16/22  Dragon Victory International Ltd. 20-F        3/31/22  141:10M                                    EdgarAgents LLC/FA

Annual or Annual-Transition Report by a Foreign Non-Canadian Issuer   —   Form 20-F   —   SEA’34

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 20-F        Annual Report                                       HTML   2.46M 
 2: EX-4.17     Product Purchase Agreement Between Antalpha         HTML     73K 
                Technologies Limited and Metalpha Limited Dated                  
                December 23, 2021                                                
 3: EX-4.18     Trading Account Management Agreement Between        HTML     51K 
                Antalpha Technologies Limited and Metalpha Limited               
                Dated December 23, 2021                                          
 4: EX-4.19     English Translation of Lease Agreement Between      HTML     72K 
                Hangzhou Longyun Network Technology Co., Ltd. and                
                the Landlord of Yintai Guoji Building Dated June                 
                23, 2020                                                         
 5: EX-4.20     Lease Agreement Between Longyun International       HTML    176K 
                Holdings Ltd. and the Landlord of Suite 1508,                    
                Central Plaza Dated June 30, 2021                                
 6: EX-4.21     English Translation of Lease Agreement Between      HTML     54K 
                Dacheng Liantong Zhejiang Information Technology                 
                Co., Ltd. and the Landlord of Siyan Jing Dated                   
                April 30, 2021                                                   
 7: EX-4.22     2022 Performance Incentive Plan of the Registrant   HTML    107K 
 8: EX-8.1      List of Subsidiaries of the Registrant              HTML     39K 
11: EX-13.1     Annual or Quarterly Report to Security Holders      HTML     38K 
12: EX-13.2     Annual or Quarterly Report to Security Holders      HTML     38K 
 9: EX-12.1     Statement re: the Computation of Ratios             HTML     44K 
10: EX-12.2     Statement re: the Computation of Ratios             HTML     44K 
13: EX-15.1     Consent of Wwc, P.C.                                HTML     37K 
14: EX-15.2     Consent of Capital Equity Legal Group               HTML     37K 
20: R1          Document And Entity Information                     HTML    113K 
21: R2          Consolidated Statements of Financial Position       HTML    114K 
22: R3          Consolidated Statements of Profit or Loss and       HTML    118K 
                Comprehensive Income (Loss)                                      
23: R4          Consolidated Statements of Profit or Loss and       HTML     40K 
                Comprehensive Income (Loss) (Parentheticals)                     
24: R5          Consolidated Statements of Changes in Equity        HTML     83K 
25: R6          Consolidated Statements of Cash Flows               HTML    116K 
26: R7          Reconciliation of Movements of Liabilities to Cash  HTML     58K 
                Flows Arising From Financing Activities                          
27: R8          Overview of the Company                             HTML     50K 
28: R9          Basis of Preparation                                HTML     84K 
29: R10         Significant Accounting Policies                     HTML    128K 
30: R11         Property, plant and equipment                       HTML     54K 
31: R12         Right-of-Use Assets and Lease Liabilities           HTML     56K 
32: R13         Goodwill                                            HTML     46K 
33: R14         Other Receivables and Prepayments                   HTML     48K 
34: R15         Loans Receivables                                   HTML     45K 
35: R16         Digital Assets                                      HTML     43K 
36: R17         Cash and Cash Equivalents                           HTML     42K 
37: R18         Capital and Reserves                                HTML     70K 
38: R19         Accounts and Other Payables                         HTML     44K 
39: R20         Digital Assets Payables                             HTML     42K 
40: R21         Convertible Notes                                   HTML     52K 
41: R22         Revenue                                             HTML     44K 
42: R23         Cost of Revenue                                     HTML     43K 
43: R24         Selling and Promotion                               HTML     42K 
44: R25         General and Administrative                          HTML     50K 
45: R26         Net Finance Costs                                   HTML     46K 
46: R27         Income Tax Expense                                  HTML     50K 
47: R28         Business Combination                                HTML     46K 
48: R29         Financial Risk Management                           HTML    101K 
49: R30         Operating Segment                                   HTML     88K 
50: R31         Loss Per Share Attributable to Equity Holders of    HTML     54K 
                the Company                                                      
51: R32         Transition to IFRS                                  HTML     80K 
52: R33         Related Party Balances and Transactions             HTML     65K 
53: R34         Subsequent Events                                   HTML     43K 
54: R35         Accounting Policies, by Policy (Policies)           HTML    163K 
55: R36         Basis of Preparation (Tables)                       HTML     53K 
56: R37         Significant Accounting Policies (Tables)            HTML     41K 
57: R38         Property, plant and equipment (Tables)              HTML     53K 
58: R39         Right-of-Use Assets and Lease Liabilities (Tables)  HTML     55K 
59: R40         Goodwill (Tables)                                   HTML     46K 
60: R41         Other Receivables and Prepayments (Tables)          HTML     49K 
61: R42         Loans Receivables (Tables)                          HTML     43K 
62: R43         Digital Assets (Tables)                             HTML     41K 
63: R44         Cash and Cash Equivalents (Tables)                  HTML     41K 
64: R45         Capital and Reserves (Tables)                       HTML     67K 
65: R46         Accounts and Other Payables (Tables)                HTML     43K 
66: R47         Digital Assets Payables (Tables)                    HTML     41K 
67: R48         Revenue (Tables)                                    HTML     43K 
68: R49         Cost of Revenue (Tables)                            HTML     41K 
69: R50         Selling and Promotion (Tables)                      HTML     41K 
70: R51         General and Administrative (Tables)                 HTML     49K 
71: R52         Net Finance Costs (Tables)                          HTML     46K 
72: R53         Income Tax Expense (Tables)                         HTML     47K 
73: R54         Business Combination (Tables)                       HTML     46K 
74: R55         Financial Risk Management (Tables)                  HTML     79K 
75: R56         Operating Segment (Tables)                          HTML     85K 
76: R57         Loss Per Share Attributable to Equity Holders of    HTML     52K 
                the Company (Tables)                                             
77: R58         Transition to IFRS (Tables)                         HTML     74K 
78: R59         Related Party Balances and Transactions (Tables)    HTML     64K 
79: R60         Overview of the Company (Details)                   HTML     76K 
80: R61         Basis of Preparation (Details)                      HTML     44K 
81: R62         Basis of Preparation (Details) - Schedule of        HTML     79K 
                consolidated financial statements                                
82: R63         Significant Accounting Policies (Details)           HTML     40K 
83: R64         Significant Accounting Policies (Details) -         HTML     50K 
                Schedule of depreciation calculated using the                    
                straight-line method                                             
84: R65         Property, plant and equipment (Details) - Schedule  HTML     79K 
                of property, plant and equipment                                 
85: R66         Right-of-Use Assets and Lease Liabilities           HTML     44K 
                (Details)                                                        
86: R67         Right-of-Use Assets and Lease Liabilities           HTML     55K 
                (Details) - Schedule of leases of buildings                      
87: R68         Right-of-Use Assets and Lease Liabilities           HTML     50K 
                (Details) - Schedule of lease liabilities and the                
                movements during the years                                       
88: R69         Right-of-Use Assets and Lease Liabilities           HTML     43K 
                (Details) - Schedule of consolidated statement of                
                financial position                                               
89: R70         Goodwill (Details) - Schedule of net carrying       HTML     52K 
                amount of goodwill                                               
90: R71         Other Receivables and Prepayments (Details) -       HTML     56K 
                Schedule of other receivables and prepayments                    
91: R72         Other Receivables and Prepayments (Details) -       HTML     42K 
                Schedule of movements of allowance for doubtful                  
                accounts                                                         
92: R73         Loans Receivables (Details)                         HTML     46K 
93: R74         Loans Receivables (Details) - Schedule of loans     HTML     44K 
                receivables                                                      
94: R75         Digital Assets (Details)                            HTML     39K 
95: R76         Digital Assets (Details) - Schedule of digital      HTML     40K 
                assets                                                           
96: R77         Cash and Cash Equivalents (Details)                 HTML     40K 
97: R78         Cash and Cash Equivalents (Details) - Schedule of   HTML     39K 
                cash and cash equivalents                                        
98: R79         Capital and Reserves (Details)                      HTML     56K 
99: R80         Capital and Reserves (Details) - Schedule of        HTML     48K 
                outstanding share purchase warrants                              
100: R81         Capital and Reserves (Details) - Schedule of fair   HTML     51K  
                value of the warrants                                            
101: R82         Capital and Reserves (Details) - Schedule of share  HTML     66K  
                purchase warrants outstanding                                    
102: R83         Capital and Reserves (Details) - Schedule of non    HTML     71K  
                controlling interests                                            
103: R84         Accounts and Other Payables (Details) - Schedule    HTML     45K  
                of accounts and other payables                                   
104: R85         Digital Assets Payables (Details)                   HTML     39K  
105: R86         Digital Assets Payables (Details) - Schedule of     HTML     40K  
                digital assets payables                                          
106: R87         Convertible Notes (Details)                         HTML     78K  
107: R88         Revenue (Details) - Schedule of revenue             HTML     46K  
108: R89         Cost of Revenue (Details) - Schedule of cost of     HTML     39K  
                revenue                                                          
109: R90         Selling and Promotion (Details) - Schedule of       HTML     40K  
                selling and promotion                                            
110: R91         General and Administrative (Details) - Schedule of  HTML     65K  
                general and administrative                                       
111: R92         Net Finance Costs (Details) - Schedule of net       HTML     51K  
                finance costs                                                    
112: R93         Income Tax Expense (Details)                        HTML     42K  
113: R94         Income Tax Expense (Details) - Schedule of tax      HTML     55K  
                recognised in profit or loss                                     
114: R95         Income Tax Expense (Details) - Schedule of tax      HTML     39K  
                recognised in profit or loss (Parentheticals)                    
115: R96         Business Combination (Details)                      HTML     40K  
116: R97         Business Combination (Details) - Schedule of fair   HTML     56K  
                value of each class of recognised assets and                     
                liabilities                                                      
117: R98         Business Combination (Details) - Schedule of fair   HTML     39K  
                value of each class of recognised assets and                     
                liabilities (Parentheticals)                                     
118: R99         Business Combination (Details) - Schedule of cash   HTML     43K  
                flows in respect of the acquisition                              
119: R100        Financial Risk Management (Details)                 HTML     45K  
120: R101        Financial Risk Management (Details) - Schedule of   HTML     52K  
                level in fair value hierarchy                                    
121: R102        Financial Risk Management (Details) - Schedule of   HTML     46K  
                liabilities measured at fair value based on level                
                3                                                                
122: R103        Financial Risk Management (Details) - Schedule of   HTML     41K  
                share purchase warrants                                          
123: R104        Financial Risk Management (Details) - Schedule of   HTML     45K  
                level 2 fair value measurements                                  
124: R105        Financial Risk Management (Details) - Schedule of   HTML     55K  
                key unobservable inputs used in level 3 fair value               
                measurement                                                      
125: R106        Financial Risk Management (Details) - Schedule of   HTML     55K  
                contractual undiscounted cash outflows of                        
                non-derivative financial liabilities                             
126: R107        Operating Segment (Details) - Schedule of results   HTML     67K  
                of operations                                                    
127: R108        Operating Segment (Details) - Schedule of           HTML     71K  
                financial position                                               
128: R109        Operating Segment (Details) - Schedule of           HTML     44K  
                geographical information                                         
129: R110        Loss Per Share Attributable to Equity Holders of    HTML     39K  
                the Company (Details)                                            
130: R111        Loss Per Share Attributable to Equity Holders of    HTML     61K  
                the Company (Details) - Schedule of dilutive                     
                ordinary shares in issue during the year                         
131: R112        Loss Per Share Attributable to Equity Holders of    HTML     43K  
                the Company (Details) - Schedule of dilutive                     
                ordinary shares in issue during the year                         
                (Parentheticals)                                                 
132: R113        Transition to IFRS (Details) - Schedule of          HTML     80K  
                reconciliation of equity                                         
133: R114        Transition to IFRS (Details) - Schedule of          HTML     59K  
                reconciliation of comprehensive loss                             
134: R115        Related Party Balances and Transactions (Details)   HTML     63K  
                - Schedule of related parties relationships                      
135: R116        Related Party Balances and Transactions (Details)   HTML     75K  
                - Schedule of related parties transaction                        
136: R117        Subsequent Events (Details)                         HTML     61K  
139: XML         IDEA XML File -- Filing Summary                      XML    270K  
137: XML         XBRL Instance -- f20f2022_dragonvictory_htm          XML   2.03M  
138: EXCEL       IDEA Workbook of Financial Reports                  XLSX    234K  
16: EX-101.CAL  XBRL Calculations -- lyl-20220331_cal                XML    134K 
17: EX-101.DEF  XBRL Definitions -- lyl-20220331_def                 XML   1.01M 
18: EX-101.LAB  XBRL Labels -- lyl-20220331_lab                      XML   2.09M 
19: EX-101.PRE  XBRL Presentations -- lyl-20220331_pre               XML   1.01M 
15: EX-101.SCH  XBRL Schema -- lyl-20220331                          XSD    471K 
140: JSON        XBRL Instance as JSON Data -- MetaLinks              436±   629K  
141: ZIP         XBRL Zipped Folder -- 0001213900-22-048696-xbrl      Zip    782K  




        
Filing Submission 0001213900-22-048696 – SGML Text

Original SGML Text submitted by:  EdgarAgents LLC/FA  (as Filing Agent) 

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