EX-99.62 27 exhibit26.htm EX-99.62 Exhibit  EX-99.62
 
INTERNATIONAL GEMINI TECHNOLOGY INC.
 
#208 — 828 Harbourside Drive,
 
North Vancouver, British Columbia V7P 3R9
 
Telephone: (604) 904-8481 Facsimile: (604) 904-9431
 
NOTICE
 
 
Attached are the unaudited interim financial statements of International Gemini
Technology Inc. (the “Corporation”) for the period ended June 30, 2004. The
Corporation’s auditor has not reviewed the attached financial statements.
 
INTERNATIONAL GEMINI TECHNOLOGY INC.
 
“signed”
 
Douglas E. Ford
 
Director
 
August 20, 2004
 

1

                         
INTERNATIONAL GEMINI TECHNOLOGY INC.                
Consolidated Balance Sheet                
Prepared by management (unaudited)
               
 
          June 30, 2004   Dec 31, 2003
ASSETS
                       
Current assets
                       
   Cash
  $ 395     $ 1,959  
   Accounts receivable
    1,838       1,087  
   Investments
    46,024       46,024  
 
                       
 
          $ 48,257     $ 49,070  
 
                       
LIABILITIES AND SHAREHOLDERS’ EQUITY
               
Current Liabilities
                       
   Accounts payable and accrued liabilities
  $ 24,580     $ 12,355  
 
                       
Shareholders’ equity
                       
   Share capital - common
  $ 12,660,559     $ 12,660,559  
   Share capital - preferred
    604,724       604,724  
   Contributed surplus
    53,344       53,344  
   Deficit
    (13,294,950 )     (13,281,912 )
 
                       
 
            23,677       36,715  
 
          $ 48,257     $ 49,070  
 
                       
Approved by the Directors:
                       
“Signed”
                       
 
                       
Martin Schultz
                       
“Signed”
                       
 
                       
Douglas E. Ford
                       

2

                                         
INTERNATIONAL GEMINI TECHNOLOGY INC.                                
Consolidated Statement of Income and Deficit                                
Prepared by management (unaudited)
                               
 
          Three Months Ended   Three Months Ended   Six Months Ended   Six Months Ended
 
          June 30, 2004   June 30, 2003   June 30, 2004   June 30, 2003
Expenses
                                       
   General and administrative
    7,467       9,534       13,038       18,551  
 
                                       
Income (loss) for the period
            (7,467 )     (9,534 )     (13,038 )     (18,551 )
 
                                       
Deficit, beginning of period
            (13,287,483 )     (13,272,134 )     (13,281,912 )     (13,244,049 )
 
                                       
Deficit, end of period
          $ (13,294,950 )   $ (13,262,600 )   $ (13,294,950 )   $ (13,262,600 )
 
                                       
Earnings per share
            0       0       0       0  
 
                                       
Fully diluted earnings per share
    0       0       0       0  
 
                                       

3

                 
INTERNATIONAL GEMINI TECHNOLOGY INC.        
Statement of Deficit                
Prepared by management (unaudited)
               
 
  Six Months Ended   Year Ended
 
  June 30, 2004   December 31, 2003
Deficit, beginning of period
  $ (13,281,912 )   $ (13,244,049 )
 
               
Income (loss) for the period
    (13,038 )     (37,863 )
 
               
Deficit, end of period
  $ (13,294,950 )   $ (13,281,912 )
 
               

4

                                         
INTERNATIONAL GEMINI TECHNOLOGY INC.                                
Consolidated Statement of Cash Flow                                
Prepared by management (unaudited)
                                       
 
          Three Months Ended   Three Months Ended   Six Months Ended   Six Months Ended
 
          June 30, 2004   June 30, 2003   June 30, 2004   June 30, 2003
Operating Activities
                                       
   Net income for period
  $ (7,467 )   $ (9,534 )   $ (13,038 )   $ (18,551 )
Deduct items not involving a current cash receipt
                               
   Changes in non-cash working capital balances
    (7,454 )     11,657       11,474       22,557  
 
                                       
Net cash increase (decrease) in period
    (13 )     2,123       (1,564 )     4,006  
 
                                       
Cash position, beginning of period
            408       2,479       1,959       596  
 
                                       
Cash position, end of period
          $ 395     $ 4,602     $ 395     $ 4,602  
 
                                       

5