Company: FVN
Filing Date: 2025-01-07
Form Type: DRS/A
Source: 0001829126-25-000092
Chunk: 504

Company: Future Vision II Acquisition Corp.
Filing Date: 2025-01-07
Form: DRS/A
Chunk 504
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 |     |                 | 1,437,500 |     |        | 144 |     |            | 24,856 |     |             | -      |   |     |               | 25,000 |   |
| Net loss                  |     |                 |         - |     |        |   - |     |            |      - |     |             | (2,070 | ) |     |               | (2,070 | ) |
| Balance                   
 as of February 29, 2024   |     |                 | 1,437,500 |     | $      | 144 |     | $          | 24,856 |     | $           | (2,070 | ) |     | $             | 22,930 |   |

| (1) | This number includes up to 187,500 ordinary shares subject to forfeiture if the over-allotment 
 option is not exercised in full or in part by the underwriters (see Note 5).                   |

<div align='center'>The accompanying notes are an integral part of these financial statements.

F-23</div>

<div align='center'>FUTURE VISION II ACQUISITION CORP.

STATEMENTS OF CASH FLOWS

FOR THE PERIOD FROM JANUARY 30, 2024 (INCEPTION) THROUGH FEBRUARY 29, 2024

Currency expressed in United States dollars (“US$)</div>

| Cash Flows from Operating Activities: |     |   |          |   |
|:--------------------------------------|:----|:--|---------:|:--|
| Net                                   
 loss                                  |     | $ |   (2,070 | ) |
| Net                                   
 Cash Used in Operating Activities     |     |   |   (2,070 | ) |
| Cash Flows from Financing Activities: |     |   |          |   |
| Proceeds from issuance of ordinary    
 shares to Sponsor                     |     |   |   25,000 |   |
| Proceeds from issuance of promissory  
 note to related party                 |     |   |  375,000 |   |
| Payment of                            
 deferred offering costs               |     |   | (117,400 | ) |
| Net                                   
 Cash Provided by Financing Activities |     |   |  282,600 |   |
| Net Change in Cash                    |     |   |  280,530 |   |
| Cash, Beginning