Attached files

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8-K/A - TEEN EDUCATION GROUP, INC.v208786_8ka.htm
EX-2.1 - TEEN EDUCATION GROUP, INC.v208786_ex2-1.htm
EX-10.1 - TEEN EDUCATION GROUP, INC.v208786_ex10-1.htm
EX-99.3 - TEEN EDUCATION GROUP, INC.v208786_ex99-3.htm
EX-10.9 - TEEN EDUCATION GROUP, INC.v208786_ex10-9.htm
EX-10.3 - TEEN EDUCATION GROUP, INC.v208786_ex10-3.htm
EX-10.4 - TEEN EDUCATION GROUP, INC.v208786_ex10-4.htm
EX-16.1 - TEEN EDUCATION GROUP, INC.v208786_ex16-1.htm
EX-10.5 - TEEN EDUCATION GROUP, INC.v208786_ex10-5.htm
EX-10.6 - TEEN EDUCATION GROUP, INC.v208786_ex10-6.htm
EX-10.8 - TEEN EDUCATION GROUP, INC.v208786_ex10-8.htm
EX-10.2 - TEEN EDUCATION GROUP, INC.v208786_ex10-2.htm
EX-99.4 - TEEN EDUCATION GROUP, INC.v208786_ex99-4.htm
EX-99.1 - TEEN EDUCATION GROUP, INC.v208786_ex99-1.htm
EX-10.7 - TEEN EDUCATION GROUP, INC.v208786_ex10-7.htm
EX-14.1 - TEEN EDUCATION GROUP, INC.v208786_ex14-1.htm
EX-10.10 - TEEN EDUCATION GROUP, INC.v208786_ex10-10.htm
HONGKONG CHARTER INTERNATIONAL GROUP LIMITED
(PARENT ONLY)
CONDENSED BALANCE SHEET
AS OF SEPTEMBER 30, 2010
(UNAUDITED)
 
ASSETS
     
Cash and cash equivalents
  $ 16,518  
Long-term investments
    175,858  
Total assets
  $ 192,376  
         
SHAREHOLDERS' LIABILITIES AND EQUITY
       
Total liabilities
  $ -  
         
Stockholders' equity:
       
Commom Stock, $0.129 par value, 10,000 shares authorized,
       
1,000 shares issued and outstanding at September 30, 2010
  $ 129  
Additional paid in capital
    144,568  
Retained earnings
    47,679  
Total shareholders' equity
  $ 192,376  
         
Total liabilities and stockholders' equity
  $ 192,376  

 
 

 
 
HONGKONG CHARTER INTERNATIONAL GROUP LIMITED
(PARENT ONLY)
CONDENSED STATEMENTS OF OPERATIONS
FOR THREE MONTHS ENDED SEPTEMBER 30, 2010
(UNAUDITED)
 
Revenues
  $ -  
Cost of revenues
    -  
Gross profit
    -  
         
Operating expenses
       
Selling, general and administrative
    -  
Financiall expenses
    (129 )
Income (loss) before income taxes(benefits)
    (129 )
         
Provision for income tax (benefits)
    -  
Net income (loss)
    (129 )
 
 
 

 
 
HONGKONG CHARTER INTERNATIONAL GROUP LIMITED
(PARENT ONLY)
CONDENSED STATEMENTS OF CASH FLOWS
FOR THREE MONTHS ENDED SEPTEMBER 30, 2010
(UNAUDITED)
 
Cashflow from operating activities:
     
Net loss
  $ (129 )
     Net cash (used) / provided from operating activities
    (129 )
         
Cash flow from investing activities
       
Return of equity interest investment in a subsidiary
    493  
     Net cash (used) / provided from investing activities
    493  
         
Cash flow from financing activities
       
Cash contribution
    -  
Investment in subsidiaries
    -  
     Net cash (used) / provided from financing activities
    -  
         
Net increase / (decrease) in cash
    364  
         
Cash and cash equivalents- Beginning of year
  $ 16,154  
Cash and cash equivalent- End of year
  $ 16,518  
         
Supplemental disclosures of cash flow information:
       
Interest paid
  $ -  
Income taxes paid
  $ -