Disclosure Statement Pursuant to the Pink Basic Disclosure Guidelines

PEER TO PEER NETWORK

45 Prospect Street Cambridge, MA 02139

_______________________________

617-481-1971

www.freemobicard.com

info@freemobicard.com

SIC Code: 7373

Annual Report

Amendment #1

For the Period Ending: September 30, 2020

(the "Reporting Period")

As of September 30, 2020, the number of shares outstanding of our Common Stock was: 11,191,005,590

As of June 30, 2020, the number of shares outstanding of our Common Stock was: 10,867,569,656

As of September 30, 2019, the number of shares outstanding of our Common Stock was: 10,717,059,532

Indicate by check mark whether the company is a shell company (as defined in Rule 405 of the Securities Act of 1933 and Rule 12b-2 of the Exchange Act of 1934):

Yes:

No:

Indicate by check mark whether the company's shell status has changed since the previous reporting period:

Yes:

No:

Indicate by check mark whether a Change in Control of the company has occurred over this reporting period:

Yes:

No:

  1. Name and address(es) of the issuer and its predecessors (if any)

In answering this item, provide the current name of the issuer any names used by predecessor entities, along with the dates of the name changes.

Web Wizard, Inc. - May 9, 2007

Psychic Friends Network, Inc. - February 17, 2012

Peer to Peer Network - August 27, 2014

Mobicard Inc. - January 12, 2016

Peer to Peer Network - May 25, 2021

The state of incorporation or registration of the issuer and of each of its predecessors (if any) during the past five years; Please also include the issuer's current standing in its state of incorporation (e.g. active, default, inactive):

Nevada - active

Describe any trading suspension orders issued by the SEC concerning the issuer or its predecessors since inception:

n/a

OTC Markets Group Inc.

OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021)

Page 1 of 28

List any stock split, stock dividend, recapitalization, merger, acquisition, spin-off, or reorganization either currently anticipated or that occurred within the past 12 months:

n/a

The address(es) of the issuer's principal executive office:

45 Prospect Street Cambridge, MA 02139

The address(es) of the issuer's principal place of business:

Check box if principal executive office and principal place of business are the same address:

Has the issuer or any of its predecessors been in bankruptcy, receivership, or any similar proceeding in the past five years?

Yes:

No:

If this issuer or any of its predecessors have been the subject of such proceedings, please provide additional details in the space below:

n/a

2)

Security Information

Trading symbol:

PTOP

Exact title and class of securities outstanding:

COMMON Class A

CUSIP:

705484103

Par or stated value:

0.001

Total shares authorized:

24,000,000,000as of date: 4/22/2020

Total shares outstanding:

11,191,005,590as of date: 9/30/2020

Number of shares in the Public Float:

3,423,966,890as of date: 9/30/2020

Total number of shareholders of record:

132as of date: 9/30/2020

All additional class(es) of publicly traded securities (if any): n/a

Transfer Agent

Name:

Empire Stock Transfer

Phone: 702.818.5898

Email: brian@empirestock.com

Address:

1859 Whitney Mesa Dr

Henderson, NV 89014

Is the Transfer Agent registered under the Exchange Act? Yes:

No:

  1. Issuance History

The goal of this section is to provide disclosure with respect to each event that resulted in any direct changes to the total shares outstanding of any class of the issuer's securities in the past two completed fiscal years and any subsequent interim period.

OTC Markets Group Inc.

OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021)

Page 2 of 28

Disclosure under this item shall include, in chronological order, all offerings and issuances of securities, including debt convertible into equity securities, whether private or public, and all shares, or any other securities or options to acquire such securities, issued for services. Using the tabular format below, please describe these events.

A. Changes to the Number of Outstanding Shares

Check this box to indicate there were no changes to the number of outstanding shares within the past two completed fiscal years and any subsequent periods:

Shares Outstanding as of Second Most Recent

Fiscal Year End:

*Right-click the rows below and select "Insert" to add rows as needed.

Opening Balance

Date 9/30/18

Common: 2,461,268,592

Preferred: N/A

Date of

Transactio

Number of

Class of

Value

Were the

Individual/

Reason for

Restricted

Exemptio

Transaction

n type

Shares

Securities

of

shares

Entity Shares

share

or

n or

(e.g. new

Issued (or

share

issued

were issued to

issuance

Unrestricted

Registrati

issuance,

cancelled)

s

at a

(entities must

(e.g. for cash

as of this

on Type.

cancellati

issue

discount

have

or debt

filing.

on, shares

d

to

individual with

conversion) -

returned

($/per

market

voting /

OR- Nature of

to

share)

price at

investment

Services

treasury)

at

the time

control

Provided

Issua

of

disclosed).

nce

issuanc

e?

(Yes/No)

01/14/19

New Issue

12,500,000

Class A

.0005

YES

Think Latitude

Services

Restricted

Inc. (Andy

Rendered

Sanjnani)

01/15/19

New Issue

238,111,000

Class A

.00005

YES

LG Capital

Debt

Unrestricted

144

Funding, LLC

conversion

(Joseph Lerman)

01/16/19

New Issue

59,500,000

Class A

.00035

YES

Brian Summer

Debt

Unrestricted

4a1

Conversion

01/28/19

New Issue

120,000,000

Class A

.0005

YES

Joshua Sodaitis

Services

Restricted

Rendered

03/27/19

New Issue

12,000,000

Class A

.0005

YES

Jordan

Services

Restricted

Eikenberry

Rendered

03/27/19

New Issue

3,000,000

Class A

.0005

YES

Connor Boyd

Services

Restricted

Rendered

03/27/19

New Issue

75,000,000

Class A

.0005

YES

Elizabeth Deere

Services

Restricted

Rendered

03/27/19

New Issue

8,280,000

Class A

.0005

YES

John Benjamin III

Services

Restricted

Rendered

03/27/19

New Issue

75,000,000

Class A

.0005

YES

Anthony J

Services

Restricted

Mirabito

Rendered

03/27/19

New Issue

135,000,000

Class A

.0005

YES

James W Sodaitis

Services

Restricted

Rendered

03/27/19

New Issue

63,000,000

Class A

.0005

YES

Marc Lasky

Services

Restricted

Rendered

04/01/19

New Issue

65,100,000

Class A

.0005

YES

W. Carl McMillan

Cash

Restricted

Investment

04/01/19

New Issue

5,110,000

Class A

.0005

YES

Greg Drury

Cash

Restricted

Investment

OTC Markets Group Inc.

OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021)

Page 3 of 28

04/01/19

New Issue

5,000,000

Class A

.0005

YES

George D

Cash

Restricted

Neeman

Investment

04/01/19

New Issue

16,000,000

Class A

.0005

YES

Manfred H

Cash

Restricted

Sadeler

Investment

04/03/19

New Issue

10,000,000

Class A

.0005

YES

Alphie

Cash

Restricted

Investments, LLC

Investment

(Ralph Digiorgio)

04/03/19

New Issue

5,000,000

Class A

.0005

YES

Dianne Crowl-

Cash

Restricted

Ventura

Investment

04/03/19

New Issue

5,000,000

Class A

.0005

YES

Greg Drury

Cash

Restricted

Investment

04/03/19

New Issue

7,000,000

Class A

.0005

YES

Morris Kaneshiro

Cash

Restricted

Investment

04/03/19

New Issue

20,000,000

Class A

.0005

YES

John S. Lemak,

Cash

Restricted

IRA

Investment

04/03/19

New Issue

70,000,000

Class A

.0005

YES

W. Carl McMillan

Cash

Restricted

04/03/19

New Issue

3,000,000

Class A

.0005

YES

Dallas W.

Cash

Restricted

Meador

04/03/19

New Issue

120,000,000

Class A

.0005

YES

Nilson Holdings,

Cash

Restricted

LLC (Todd Nilson)

04/03/19

New Issue

20,000,000

Class A

.0005

YES

Rajendra Patel

Cash

Restricted

04/03/19

New Issue

5,000,000

Class A

.0005

YES

Vincent A.

Cash

Restricted

Sablone

04/03/19

New Issue

16,000,000

Class A

.0005

YES

Manfred H

Cash

Restricted

Sadeler

04/03/19

New Issue

3,000,000

Class A

.0005

YES

Brian Summer

Cash

Restricted

04/10/19

New Issue

197,069,970

Class A

.00035

YES

W. Carl McMillan

Debt

Unrestricted

4a1

Conversion

04/10/19

New Issue

1,400,000

Class A

.0005

YES

Bruce J. Daab

Cash

Restricted

04/10/19

New Issue

10,000,000

Class A

.0005

YES

Glen D. Mardis

Cash

Restricted

04/10/19

New Issue

4,000,000

Class A

.0005

YES

Thomas O'Brian

Cash

Restricted

04/10/19

New Issue

1,000,000

Class A

.0005

YES

RYS Ventures LLC

Cash

Restricted

(James Harris Jr.)

04/10/19

New Issue

6,600,000

Class A

.0005

YES

Greg Drury

Cash

Restricted

04/10/19

New Issue

7,500,000

Class A

.0005

YES

Nilson Holdings,

Cash

Restricted

LLC (Todd Nilson)

04/10/19

New Issue

7,500,000

Class A

.0005

YES

W. Carl McMillan

Cash

Restricted

04/11/19

New Issue

236,890,000

Class A

.00035

YES

Vincent A.

Debt

Unrestricted

4a1

Sablone

conversion

04/25/19

New Issue

247,629,714

Class A

.00035

YES

John Pellerin

Debt

Unrestricted

4a1

Conversion

04/25/19

New Issue

35,506,200

Class A

.00045

YES

Donald Boyle

Debt

Unrestricted

4a1

conversion

4/29/19

Return to

(100,000,000)

Class A

.0001

N/A

N/A

N/A

Treasury

Yes

04/30/19

New Issue

59,121,766

Class A

.0003

YES

Gregory Smith,

Debt

Unrestricted

4a1

IRA, Individual

Conversion

05/03/19

New Issue

10,000,000

Class A

.0005

YES

Faisal Panjwani

Cash

Restricted

Investment

05/03/19

New Issue

18,600,000

Class A

.0005

YES

Anthony J

Cash

Restricted

Mirabito

Investment

05/03/19

New Issue

201,800,000

Class A

.00005

YES

LG Capital

Debt

Unrestricted

4a1

Funding, LLC

Conversion

(Joseph Lerman)

05/03/19

New Issue

201,800,000

Class A

.00005

YES

LG Capital

Debt

Unrestricted

144

Funding, LLC

Conversion

(Joseph Lerman)

05/07/19

New Issue

247,277,600

Class A

.00035

YES

Midland IRA, Inc.

Debt

Unrestricted

4a1

FBO Thomas B

Conversion

Speer

OTC Markets Group Inc.

OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021)

Page 4 of 28

05/07/19

New Issue

124,342,314

Class A

.0003

YES

Glen D. Mardis

Debt

Unrestricted

4a1

Conversion

05/07/19

New Issue

13,253,657

Class A

.00035

YES

Gregg Perreault

Debt

Unrestricted

4a1

Conversion

05/07/19

New Issue

116,165,943

Class A

.00035

YES

Beantown

Debt

Unrestricted

4a1

Enterprises, LLC

Conversion

(Peter Depesa)

05/16/19

New Issue

4,451,272

Class A

.00009

YES

Aixa Fraser

Code2Action

Restricted

Settlement

05/16/19

New Issue

111,281,796

Class A

.00009

YES

Alphie

Code2Action

Restricted

Investments, LLC

Settlement

(Ralph Digiorgio)

05/16/19

New Issue

13,353,816

Class A

.00009

YES

Andy Pothast

Code2Action

Restricted

Settlement

05/16/19

New Issue

44,512,718

Class A

.00009

YES

Beantown

Code2Action

Restricted

Enterprises, LLC

Settlement

(Peter Depesa)

05/16/19

New Issue

68,438,304

Class A

.00009

YES

Brian Summer

Code2Action

Restricted

Settlement

05/16/19

New Issue

32,820,396

Class A

.00009

YES

Bruce J. Daab

Coe2Action

Restricted

Settlement

05/16/19

New Issue

8,346,135

Class A

.00009

YES

Chay Vue

Code2Action

Restricted

Settlement

05/16/19

New Issue

50,000,024

Class A

.00009

YES

Christopher J.

Code2ActionSe

Restricted

Cantalini

ttlement

05/16/19

New Issue

3,338,454

Class A

.0005

YES

Christopher

Cash

Restricted

Kaneshiro

Investment

05/16/19

New Issue

11,128,180

Class A

.00009

YES

Cynthia J.

Code2Action

Restricted

Alexander

Settlement

05/16/19

New Issue

5,564,090

Class A

.00009

YES

Dallas W.

Code2Action

Restricted

Meador

Settlement

05/16/19

New Issue

73,445,985

Class A

.00009

YES

Edward F.

Code2Action

Restricted

Simpson

Settlement

05/16/19

New Issue

55,640,898

Class A

.00009

YES

Glen D. Mardis

Code2Action

Restricted

Settlement

05/16/19

New Issue

4,451,272

Class A

.00009

YES

Greg Lee

Code2Action

Restricted

Robinson

Settlement

05/16/19

New Issue

23,925,586

Class A

.00009

YES

Greg Potcner

Code2Action

Restricted

Settlement

05/16/19

New Issue

24,064,076

Class A

.00009

YES

Gregg M.

Code2Action

Restricted

Perreault &

Settlement

Deborah L

05/16/19

New Issue

111,281,796

Class A

.00009

YES

Greg Drury

Code2Action

Restricted

Settlement

05/16/19

New Issue

83,461,347

Class A

.00009

YES

Jacqueline

Code2Action

Restricted

Whithed

Settlement

05/16/19

New Issue

17,805,087

Class A

.00009

YES

James L. Harris

Code2Action

Restricted

Settlement

05/16/19

New Issue

55,640,898

Class A

.00009

YES

Jaime Lee Best

Code2Action

Restricted

Settlement

05/16/19

New Issue

15,579,451

Class A

.00009

YES

John J. Lucey

Code2Action

Restricted

Settlement

05/16/19

New Issue

111,281,796

Class A

.00009

YES

John S. Lemak,

Code2Action

Restricted

IRA

Settlement

05/16/19

New Issue

11,128,180

Class A

.00009

YES

Jordan

Code2Action

Restricted

Rosenberg

Settlement

05/16/19

New Issue

17,805,087

Class A

.00009

YES

Kevin M. Lucey

Code2Action

Restricted

Settlement

05/16/19

New Issue

111,281,796

Class A

.00009

YES

Laurence E.

Code2Action

Restricted

Fletcher

Settlement

OTC Markets Group Inc.

OTC Pink Basic Disclosure Guidelines (v3.1 June 24, 2021)

Page 5 of 28

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Mobicard Inc. published this content on 03 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 03 January 2022 23:18:02 UTC.