Company: CHOW
Filing Date: 2025-02-28
Form Type: DRS/A
Source: 0001493152-25-008591
Chunk: 233

Company: ChowChow Cloud International Holdings Ltd
Filing Date: 2025-02-28
Form: DRS/A
Chunk 233
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 HK$                        |     |                 | 32,500,000 |     |        | - |     |                    |      780 |   |     |         | 3,200,000 |     |         | (2,700,000 | ) |     |          |   8,435,433 |   |     |                     |   8,936,213 |   |
| Balance as of June 30, 2024 in US$ (Note 2(e))            |     |                 | 32,500,000 |     |        | - |     |                    |      100 |   |     |         |   410,256 |     |         | (346,154   | ) |     |          |   1,081,466 |   |     |                     |   1,145,668 |   |

* Retroactively presented for the effect of reorganization for the Company’s initial public offering (Note 1)

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

| F-42 |

<div align='center'>CHOWCHOW CLOUD INTERNATIONAL HOLDINGS LIMITED

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS</div>

|                                                                                     |     | For the Six Months Ended June 30, |            |   |     |      |             |   |     |                 |            |   |
|                                                                                     |     |                              2023 |            |   |     | 2024 |             |   |     |            2024 |            |   |
|                                                                                     |     |                               HK$ |            |   |     |  HK$ |             |   |     | US$ (Note 2(e)) |            |   |
| CASH FLOWS FROM OPERATING ACTIVITIES                                                |     |                                   |            |   |     |      |             |   |     |                 |            |   |
| Net income                                                                          |     |                                   |  6,490,950 |   |     |      |   6,934,560 |   |     |                 |    889,046 |   |
| Adjustments to reconcile net income to net cash used in operating activities:       |     |                                   |            |   |     |      |             |   |     |                 |            |   |
| Depreciation of property and equipment                                              |