Issuer Information

EDGAR: Contact Information
  • Name:
    Maritime Resources Corp.
  • Address:
    3200-650 WEST GEORGIA ST.
    VANCOUVER, BRITISH COLUMBIA, CANADA V6B 4P7
  • Phone:
    (604) 687-0411
EDGAR: Other Information
  • Jurisdiction:
    BRITISH COLUMBIA, CANADA
  • Entity Type:
    Corporation
  • Incorporated:
    Over 5 years ago
  • Previous Names:
    BMB CAPITAL CORP

These are those Form D offerings for which this issuer is designated as the primary issuer.

EFDID/AccessionDetailsFed. ExemptionsNotices
562404: 0001062993-25-012993
First Sale: 2025-07-17
Security Type(s): Equity
Offer Amount: $1,377,796
Amount Sold: $1,299,808
Remaining: $77,988
06b

NY,

552873: 0001062993-25-007418
First Sale: 2025-04-09
Security Type(s): Equity, Units consisting of 1 cm sh and 1/2 cm sh wrt. Each wrt shall be exercisable to acquire 1 cm sh at a price of C$0.12 per wrt for a period of 24 months following the closing date.
Offer Amount: $5,402,075
Amount Sold: $2,902,841
Remaining: $2,499,234
06b

CT, NV, NY,

533242: 0001062993-24-017099
First Sale: 2024-08-16
Security Type(s): Rights offering to existing shareholders for no consideration. Rights exercisable for common shares at C$0.034 per common share
06b

CT,

533243: 0001062993-24-017098
First Sale: 2024-09-11
Security Type(s): Equity
Offer Amount: $104,705
Amount Sold: $104,705
06b

CT,

494755: 0001062993-23-017322
First Sale: 2023-08-14
Security Type(s): Equity, Each Unit consists of 1 cm sh & 1 cm sh purchase wrt. Each whole wrt entitles the holder to purchase 1 cm sh at a price of CDN$0.07 until August 14, 2026.
Offer Amount: $848,391
Amount Sold: $297,160
Remaining: $551,231
06b

CT,

494753: 0001062993-23-017321
First Sale: 2023-08-23
Security Type(s): Equity, Each Unit consists of 1 cm sh & 1 cm sh purchase wrt. Each whole wrt entitles the holder to purchase 1 cm sh at a price of CDN$0.07 until August 14, 2026.
Offer Amount: $162,338
Amount Sold: $59,032
Remaining: $103,306
06b

MA,

494754: 0001062993-23-017320
First Sale: 2023-08-14
Security Type(s): Debt, Unit consisting of a senior secured note maturing on August 14, 2025 and 7,662.28571429 warrants. Each warrant exercisable to acquire 1 common share at C $0.07 per share prior to the maturity of the notes on August 14, 2025, subject to adjustment.
Offer Amount: $1,068,557
Amount Sold: $750,000
Remaining: $318,557
06b No Notices in EFD for this offering.
204906: 0001687914-16-000001
First Sale: 2016-07-20
Security Type(s): Equity
Offer Amount: $41,877
Amount Sold: $41,877
06b No Notices in EFD for this offering.

These Form D offerings are those which this issuer is defined as an issuer for the offering, but are not the primary issuer.

This issuer currently is not a non-primary issuer for any Form D offerings.