Company: BIVIW
Filing Date: 2025-07-11
Form Type: S-1/A
Source: 0001520138-25-000205
Chunk: 158

Company: BIOVIE INC.
Filing Date: 2025-07-11
Form: S-1/A
Chunk 158
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 | ) |
| Issuance of additional shares for fractional shares effected by the reverse 
 split                                                                       |     |              |        71 |     |              |     - |     |            |           - |   |     |                | -       |   |     |                | -   |   |     |               |        - |   |     |             | -            |   |     |               |           - |   |
| Net Loss                                                                    |     |              |         - |     |              |     - |     |            |           - |   |     |                | -       |   |     |                | -   |   |     |               |        - |   |     |             | (32,120,533  | ) |     |               | (32,120,533 | ) |
| Balance, June 30, 2024                                                      |     |              | 6,216,398 |     | $            | 6,229 |     | $          | 349,732,674 |   |     |                | (26,326 | ) |     | $              | (27 | ) |     | $             |        - |   |     | $           | (334,232,661 | ) |     | $             |  15,506,215 |   |

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

F-6

BioVie Inc.

Statements of Cash Flows</div>

|                                                                                                              |     | Year ended    
 June 30, 2024 |             |   |     | Year ended    
 June 30, 2023 |             |   |
|:-------------------------------------------------------------------------------------------------------------|:----|:--------------|------------:|:--|:----|:--------------|------------:|:--|
| CASH FLOWS FROM OPERATING ACTIVITIES:                                                                        |     |               |             |   |     |               |             |   |
| Net loss                                                                                                     |     | $             | (32,120,533 | ) |     | $             | (50,255,815 | ) |
| Adjustments to reconcile net loss to net cash used in operating activities:                                  |     |               |             |   |     |               |             |   |
| Amortization of intangible assets                                                                            |     |               |     229,377 |   |     |               |     229,377 |   |