Document - Document and Entity Information (USD $) Entity Common Stock, Shares Outstanding 2,678,762,021

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1 XBRL File Document - Document and Entity Information Document - Document and Entity Information (USD $) ( custom:documentandentityinformationabstract [Extension] ) 9 Months Jan. 24, 2018 Entity Registrant Name ( dei:entityregistrantname ) VinCompass Corp. Entity Central Index Key ( dei:entitycentralindexkey ) Document Type 10-Q ( dei:documenttype ) Document Period End Date ( dei:documentperiodenddate ) Amendment Flag ( dei:amendmentflag ) false Current Fiscal Year End Date ( dei:currentfiscalyearenddate ) Entity Filer Category ( dei:entityfilercategory ) Smaller Reporting Company Entity Common, Shares Outstanding 2,678,762,021 ( dei:entitycommonsharesoutstanding ) Trading Symbol ( dei:tradingsymbol ) Document Fiscal Period Focus ( dei:documentfiscalperiodfocus ) VCPS Document Fiscal Year Focus 2018 ( dei:documentfiscalyearfocus ) Q3 (End Document - Document and Entity Information)

2 Statement - Consolidated Balance Sheets (Unaudited) (USD $) ( us-gaap:statementoffinancialpositionabstract ) Statement - Consolidated Balance Sheets (Unaudited) ( us-gaap:statementclassofaxis ) Feb. 28, Feb. 28, Feb. 28, Feb. 28, ( us-gaap:classofdomain ) Series A Series A Series B Series B Series C Series C ASSETS ( us-gaap:assetsabstract ) Current Assets: ( us-gaap:assetscurrentabstract ) Cash ,952 ( us-gaap:cash ) Total Current Assets ,952 ( us-gaap:assetscurrent ) TOTAL ASSETS ,952 ( us-gaap:assets ) LIABILITIES & STOCKHOLDER S DEFICIT ( us-gaap:liabilitiesandholdersequityabstract ) Current Liabilities: ( us-gaap:liabilitiescurrentabstract ) Accounts payable and accrued liabilities 338, ,302 ( us-gaap:accountspayableandaccruedliabilitiescurrent ) Accrued payroll 206, ,000 ( us-gaap:accruedsalariescurrent ) Accounts Payable to related parties 380, ,281 ( us-gaap:accountspayablerelatedpartiescurrent ) notes payable, net of unamortized discount of $90,185 and $73,281, respectively ( us-gaap:notespayablecurrent ) 132, ,981 Derivative liability 296, ,461 ( us-gaap:derivativeliabilitiescurrent ) Total Current Liabilities 1,352,999 1,073,025 ( us-gaap:liabilitiescurrent ) Total Liabilities 1,352,999 1,073,025 ( us-gaap:liabilities ) holders Deficit: ( us-gaap:holdersequityabstract ) value 5,000 1,000 20,000 ( us-gaap:value ) Common, $0.001 par value; 9,900,000,000 and 400,000,000 shares authorized; 2,496,212,021 and 47,149,371 shares issued and outstanding, respectively ( us-gaap:commonvalue ) 2,496,212 47,149 Additional Paid-in Capital 1,053,014 1,890,147 ( us-gaap:additionalpaidincapital ) Accumulated Deficit (4,927,047) (2,997,369) ( us-gaap:retainedearningsaccumulateddeficit ) Total holders Deficit (1,352,821) (1,059,073) ( us-gaap:holdersequity ) TOTAL LIABILITIES & STOCKHOLDERS DEFICIT ,952 ( us-gaap:liabilitiesandholdersequity ) (End Statement - Consolidated Balance Sheets (Unaudited))

3 Statement - Consolidated Balance Sheets (Unaudited) (Parenthetical) (USD $) ( us-gaap:statementoffinancialpositionabstract ) ( us-gaap:statementclassofaxis ) ( us-gaap:classofdomain ) Statement - Consolidated Balance Sheets (Unaudited) (Parenthetical) Feb. 28, notes payable, net of unamortized discount 90,185 73,281 ( us-gaap:debtinstrumentunamortizeddiscountpremiumnet ) Feb. 28, Feb. 28, Feb. 28, Series A Series A Series B Series B Series C Series C stock, par value ( us-gaap:parorstatedvaluepershare ) stock, shares authorized 40,000,000 2,000,000 40,000, ,000,000 0 ( us-gaap:sharesauthorized ) stock, shares issued 5,000,000 1,000,000 10,000,000 0 ( us-gaap:sharesissued ) stock, shares outstanding 5,000,000 1,000,000 10,000,000 0 ( us-gaap:sharesoutstanding ) Common stock, par value ( us-gaap:commonparorstatedvaluepershare ) Common stock, shares authorized 9,900,000, ,000,000 ( us-gaap:commonsharesauthorized ) Common stock, shares issued 2,496,212,021 47,149,371 ( us-gaap:commonsharesissued ) Common stock, shares outstanding 2,496,212,021 47,149,371 ( us-gaap:commonsharesoutstanding ) (End Statement - Consolidated Balance Sheets (Unaudited) (Parenthetical))

4 Statement - Consolidated Statements of Operations (Unaudited) Statement - Consolidated Statements of Operations (Unaudited) (USD $) ( us-gaap:incomestatementabstract ) 3 Months 9 Months General & administrative expenses 143, , , ,810 ( us-gaap:generalandadministrativeexpense ) Total operating expenses 143, , , ,810 ( us-gaap:operatingexpenses ) Loss from operations (143,348) (232,675) (713,611) (591,810) ( us-gaap:operatingincomeloss ) Other expense: ( us-gaap:othernonoperatingincomeexpenseabstract ) Interest expense (132,128) (3,197) (411,312) (10,849) ( us-gaap:interestexpense ) Loss on derivative (214,971) (804,755) ( us-gaap:derivativelossonderivative ) Total other expense (347,099) (3,197) (1,216,067) (10,849) ( us-gaap:othernonoperatingincomeexpense ) Net loss (490,447) (235,872) (1,929,678) (602,659) ( us-gaap:netincomeloss ) Basic loss per share 0.00 (0.01) 0.00 (0.01) ( us-gaap:earningspersharebasic ) Basic weighted average shares 1,554,585,494 43,880, ,746,394 43,784,282 ( us-gaap:weightedaveragenumberofsharesoutstandingbasic ) (End Statement - Consolidated Statements of Operations (Unaudited))

5 Statement - Consolidated Statement of Cash Flows (Unaudited) Statement - Consolidated Statement of Cash Flows (Unaudited) (USD $) ( us-gaap:statementofcashflowsabstract ) 9 Months 2016 Cash flow from operating activities: ( us-gaap:netcashprovidedbyusedinoperatingactivitiesabstract ) Net loss (1,929,678) (602,659) ( us-gaap:netincomeloss ) Adjustments to reconcile net loss to net cash used in operating activities: ( usgaap:adjustmentsnoncashitemstoreconcilenetincomelosstocashprovidedbyusedinoperatingactivitiesabstract ) based compensation 172,400 99,691 ( us-gaap:sharebasedcompensation ) Amortization of debt discount 370,641 5,328 ( us-gaap:amortizationofdebtdiscountpremium ) Fees added to convertible note principal 6,000 ( custom:penaltiesaddedtonoteprincipal [Extension] ) Loss on derivative liabilities 804,755 ( us-gaap:derivativelossonderivative ) Changes in operating assets and liabilities: ( us-gaap:increasedecreaseinoperatingcapitalabstract ) Accounts payable to related party 85,830 43,239 ( us-gaap:increasedecreaseinaccountspayablerelatedparties ) Accrued payroll 90,000 90,000 ( us-gaap:increasedecreaseinaccruedsalaries ) Accounts payable and accrued expenses 187,628 (778) ( us-gaap:increasedecreaseinaccountspayableandaccruedliabilities ) Net cash used in operating activities (212,424) (365,179) ( us-gaap:netcashprovidedbyusedinoperatingactivities ) Cash flows from financing activities: ( us-gaap:netcashprovidedbyusedinfinancingactivitiesabstract ) Proceeds from convertible debt 193, ,000 ( us-gaap:proceedsfromdebt ) Borrowings from related party 5,000 43,123 ( us-gaap:proceedsfromrelatedpartydebt ) Repayment of related party debt (1,000) ( us-gaap:repaymentsofrelatedpartydebt ) Proceeds from the sale of common stock 79,500 ( us-gaap:proceedsfromissuanceofcommon ) Net cash provided by financing activities 198, ,623 ( us-gaap:netcashprovidedbyusedinfinancingactivities ) Net increase (decrease) in cash (13,774) 1,444 ( us-gaap:cashperiodincreasedecrease ) Cash at beginning of period 13,952 43,680 ( us-gaap:cash ) Cash at end of period ,124 ( us-gaap:cash ) SUPPLEMENTAL DISCLOSURE OF CASH FLOWS INFORMATION: ( us-gaap:supplementalcashflowinformationabstract ) Cash paid during the period interest ( us-gaap:interestpaidnet ) Cash paid during the period income taxes ( us-gaap:incometaxespaidnet ) Supplemental disclosure of noncash activities: ( us-gaap:cashflownoncashinvestingandfinancingactivitiesdisclosureabstract ) Settlement of deferred payroll by issuance of Series C stock 40,000 ( custom:settlementofdeferredpayrollbyissuanceofone [Extension] ) Settlement of deferred payroll by issuance of Series A stock 40,000 ( custom:settlementofdeferredpayrollbyissuanceoftwo [Extension] ) Settlement of deferred payroll by issuance of Common stock 20,000 ( custom:settlementofdeferredpayrollbyissuanceofcommon [Extension] ) Release of derivative liabilities due to conversion of convertible debt 1,004,574 ( custom:releaseofderivativeliabilitiesduetoconversionofdebtone [Extension] ) Debt discount recognized from derivative liabilities 397,000 ( custom:debtdiscountrecognizedfromderivativeliabilitiesone [Extension] ) Common shares issued for conversion of convertible note 344,730 ( us-gaap:debtconversionconvertedinstrumentamount1 ) (End Statement - Consolidated Statement of Cash Flows (Unaudited))

6 Disclosure - Organization and Description of Business Disclosure - Organization and Description of Business (USD $) ( us-gaap:organizationconsolidationandpresentationoffinancialstatementsabstract ) 9 Months Organization and Description of Business NOTE 1 ORGANIZATION AND DESCRIPTION OF BUSINESS ( usgaap:organizationconsolidationbasisofpresentationbusinessdescriptionandaccountingpoliciestextblock ) (End Disclosure - Organization and Description of Business) VinCompass Corp. (Formerly known as Tiger Jiujiang Mining, Inc.), entered into a Share Exchange Agreement with VinCompass, whereby VinCompass Corp. exchanged 60% of its outstanding shares of common stock for 100% of the outstanding shares of VinCompass common stock. As of the closing date, VinCompass will operate as a wholly owned subsidiary of VinCompass Corp. On March 7,, the Board approved and filed an Amended & Restated Articles of Incorporation with the Secretary of State of Wyoming whereby: the aggregate number of shares of all classes of capital stock which this Corporation shall have authority to issue is 1,000,000,000 shares, of which 40,000,000 shares shall be shares of preferred stock, par value of $.001 per share as described herein ( ), and 960,000,000 shares shall be shares of common stock, par value of $.001 per share ( Common ). On May 8,, the Board approved and filed an Amended & Restated Articles of Incorporation with the Secretary of State of Wyoming to: (i) increase our authorized common stock to 5,000,000,000 shares, of which 40,000,000 shares shall be shares of preferred stock, par value of $.001 per share as described herein ( ), and 4,960,000,000 shares shall be shares of common stock, par value of $.001 per share ( Common ). On August 2,, the Board approved and filed an Amended & Restated Articles of Incorporation with the Secretary of State of Wyoming whereby: the aggregate number of shares of all classes of capital stock which this Corporation shall have authority to issue is 10,000,000,000 shares, of which 100,000,000 shares shall be shares of preferred stock as described herein ( ), and 9,900,000,000 shares shall be shares of common stock, par value of $.001 per share ( Common ).

7 Disclosure - Summary of Significant Accounting Policies Disclosure - Summary of Significant Accounting Policies (USD $) ( us-gaap:accountingpoliciesabstract ) 9 Months Summary of Significant Accounting Policies NOTE 2 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Basis of Presentation ( us-gaap:significantaccountingpoliciestextblock ) The accompanying unaudited consolidated interim financial statements of VinCompass Corp have been prepared in accordance with accounting principles generally accepted in the United States of America and the rules of the Securities and Exchange Commission, and should be read in conjunction with the audited financial statements and notes thereto contained in the Company s Form 10-K filed with SEC. In the opinion of management, all adjustments, consisting of normal recurring adjustments, necessary for a fair presentation of financial position and the results of operations for the interim periods presented have been reflected herein. The results of operations for interim periods are not necessarily indicative of the results to be expected for the full year ended February 28, Notes to the financial statements which would substantially duplicate the disclosure contained in the audited financial statements for the year ended February 28, as reported on Form 10-K have been omitted. (End Disclosure - Summary of Significant Accounting Policies)

8 Disclosure - Going Concern Disclosure - Going Concern (USD $) 9 Months ( usgaap:organizationconsolidationandpresentationoffinancialstatementsabstract ) Going Concern NOTE 3 GOING CONCERN The accompanying unaudited financial statements have been prepared assuming the Company will continue as a going concern, which contemplates, among other things, the realization of assets and satisfaction of liabilities in the normal course of business. The Company has had no revenue to date, has an accumulated deficit of $4,927,047 as of November 30, and a net loss of $1,929,678 for the nine months ended November 30,. These factors raise substantial doubt about the Company s ability to continue as a going concern. While the Company is attempting to increase operations and generate revenues, the Company s cash position may not be significant enough to support the Company s daily operations. The Company will continue to pursue additional equity and/or debt financing while managing cash flows from operations in an effort to provide funds to meet its obligations on a timely basis and to support future business development. There is no assurance that these efforts will be successful. Management believes that the actions presently being taken to further implement its business plan and generate additional revenues provide the opportunity for the Company to continue as a going concern. While the Company believes in the viability of its strategy to generate additional revenues and in its ability to raise the additional funds, there can be no assurances to that effect. The ability of the Company to continue as a going concern is dependent upon the Company s ability to further implement its business plans and generate additional revenues. ( us-gaap:substantialdoubtaboutgoingconcerntextblock ) The financial statements do not include any adjustments to the amounts and classification of assets and liabilities that may result should the Company be unable to continue as a going concern. (End Disclosure - Going Concern)

9 Disclosure - Common Disclosure - Common (USD $) ( us-gaap:equityabstract ) 9 Months Common NOTE 4 COMMON STOCK On August 2,, the Board approved and filed an Amended & Restated Articles of Incorporation with the Secretary of State of Wyoming whereby: the aggregate number of shares of all classes of capital stock which this Corporation shall have authority to issue is 10,000,000,000 shares, of which 100,000,000 shares shall be shares of preferred stock as described herein ( ), and 9,900,000,000 shares shall be shares of common stock, par value of $.001 per share ( Common ). During the three months ended May 31,, the Company issued 9,000,000 shares of common stock for services to third parties. The shares were issued at $ based on the closing price on the date of grant for total non-cash expense of $9,900. During the three months ended May 31,, the Company issued 91,173,404 shares of common stock for conversion of principal of $139,749 and accrued interest of $7,456. During the three months ended August 31,, the Company issued 75,000,000 shares of common stock for services to third parties. The shares were issued at $ based on the closing price on the date of grant for total non- cash expense of $22,500. During the three months ended August 31,, the Company issued 361,553,286 shares of common stock for conversion of principal of $66,117 and accrued interest of $4,890. During the three months ended November 30,, the Company issued 1,712,335,960 shares of common stock for conversion of principal of $126,018 and accrued interest of $2,339. ( us-gaap:holdersequitynotedisclosuretextblock ) On November 30,, the Company issued 200,000,000 shares of common stock to settle $20,000 of accrued payroll due to the CEO. The shares were valued using the closing price of the common stock on November 30,. (End Disclosure - Common )

10 Disclosure - Disclosure - (USD $) ( us-gaap:equityabstract ) 9 Months NOTE 5 PREFERRED STOCK Series A Series A consists of 40,000,000 shares, par value $ Series A stock shall have 100:1 voting rights, no conversion rights, and no redemption rights. The Series A holders are entitled to dividends if declared and have no liquidation preferences. During the three months ended May 31,, the Company issued 4,000,000 shares of Series A preferred stock to settle $40,000 of accrued payroll due to the CEO. The fair value of the shares is determined to be $180,000 using the weighted-average stock price during the three months ended May 31,. The surplus of $140,000 is recorded as stock based compensation expense. Series B Series B consists of 40,000,000 shares, par value $0.50. Series B stock has no voting rights and is convertible into common stock at a 50% discount to the average of the lowest three trades in the previous ten days before conversion. There are no redemption rights and no liquidation preferences. The Series B holders are entitled to dividends if declared Series C Series C consists of 20,000,000 shares, par value $ Series C stock shall have 1,000:1 voting rights and is convertible into common stock at one for ten shares of common. There are no redemption rights and no liquidation preferences. The Series C holders are entitled to dividends if declared On August 31,, the Company issued 10,000,000 shares of Series C preferred stock to settle $30,000 of accrued payroll due to the CEO. The shares were valued using the closing price of the common stock on August 31,. ( us-gaap:textblock ) On November 30,, the Company issued 10,000,000 shares of Series C preferred stock to settle $10,000 of accrued payroll due to the CEO. The shares were valued using the closing price of the common stock on November 30,. (End Disclosure - )

11 Disclosure - Related Party Transactions Disclosure - Related Party Transactions (USD $) ( us-gaap:relatedpartytransactionsabstract ) 9 Months Related Party Transactions NOTE 6 RELATED PARTY TRANSACTIONS As of November 30,, the amount due to the majority shareholder and a director bear no interest and with no stated repayment terms totaled $375,111 ($289,281 as at February 28, ) arose from payments made on behalf of the Company, including by private credit. As of November 30,, the Company had an accrued payroll expense of $206,000 ($216,000 as at February 28, ), after converting $70,000 of the amount owing into 14,000,000 Shares. See Note 5. ( us-gaap:relatedpartytransactionsdisclosuretextblock ) During the three months ended November 30,, an affiliated party advanced the Company $5,000 as a short-term loan to cover certain operating expense. The advance is non-interest bearing and due on demand. (End Disclosure - Related Party Transactions)

12 Disclosure - Notes Payable Disclosure - Notes Payable (USD $) ( us-gaap:debtdisclosureabstract ) 9 Months Notes Payable NOTE 7 CONVERTIBLE NOTES PAYABLE The following table summarizes the convertible notes as of November 30, : Note # Date Maturity Date Date Interest Balance February 28, Additions Conversions Balance November 30, 1 7/7/2016 7/7/ 1/7/ 10% $ 29,482 $ (29,482) $ - 2 8/15/2016 8/15/ 2/15/ 10% 33,500 (33,500) - 3 9/28/2016 9/28/ 3/28/ 10% 73,500 (1) 6,000 (52,248) 27, /20/ /20/ 4/18/ 0% 60,000 (60,000) /28/2016 7/28/ 4/26/ 10% 78,750 (46,212) 32, /22/ 11/30/ 6/21/ 10% 58,000 (58,000) - 7 3/15/ 3/15/2018 9/11/ 10% 37,000 (36,848) /28/ 3/28/2018 9/24/17 8% 45,850 (3,218) 42, /10/ 1/15/ /7/ 10% 38,000 (10,535) 27, /16/ 2/25/ /12/ 10% 53,000-53, /11/ demand 1/12/ % 11,000-11, /3/ 8/3/2018 1/30/ 10% 28,500 28,500 $ 333,232 $ 219,350 $ (330,043) $ 222,539 (1) $6,000 added to principle for fees related to conversions. Less Debt Discount: (73,251) (90,185) $ 259,981 $ 283,944 These notes become convertible six months after the dates of agreement at a variable conversion price. The Company evaluates embedded conversion features within convertible debt under ASC 815 Derivatives and Hedging to determine whether the embedded conversion feature(s) should be bifurcated from the host instrument and accounted for as a derivative at fair value with changes in fair value recorded in earnings. If the conversion feature does not require derivative treatment under ASC 815, the instrument is evaluated under ASC Debt with Conversion and Other Options for consideration of any beneficial conversion features. note holders have the option to convert the note plus accrued interest into shares of the Company s common stock after six months, at a certain discount of the average of the lowest trading prices for the previous 20 days prior to the conversion date. The Company determined the embedded conversion feature as a derivative liability, and recorded at fair value as of November 30,. For certain notes a $500 to $1,000 fee for costs associated with converting and clearing stock is added to the amount being converted with an adjustment to the conversion price. A summary of the activity of the derivative liability for the period ended November 30, is as follows: Balance at February 28, $ 112,461 Derivative discount 397,000 Increase to derivative due to new issuance 566,925 Decrease in derivative due to conversion of debt (1,004,574) Derivative loss due to mark to market adjustment 224,311 Balance at November 30, $ 296,123 A summary of quantitative information about significant unobservable inputs (Level 3 inputs) used in measuring the Company s derivative liabilities that are categorized within Level 3 of the fair value hierarchy for the quarter ended November 30, is as follows: Date of valuation November 30, Inception Volatility 365% - 416% 247% - 351% Risk-free rate.92% %.61% % Years to maturity The carrying amount of the Company s financial assets and liabilities, such as cash, prepaid expenses and accrued expenses approximate their fair value because of the short maturity of those instruments. The Company s notes payable approximates the fair value of such instruments based upon management s best estimate of interest rates that would be available to the Company for similar financial arrangements at November 30,. ( us-gaap:debtdisclosuretextblock ) Fair value measured at November 30, Fair value at November 30, Quoted prices in active markets (Level 1) Significant other observable inputs (Level 2) Significant unobservable inputs (Level 3) Derivative liabilities $ 296,123 $ - $ - $ 296,123 (End Disclosure - Notes Payable)

13 Disclosure - Subsequent Events Disclosure - Subsequent Events (USD $) ( SubsequentEventsAbstract ) 9 Months Subsequent Events NOTE 8 - SUBSEQUENT EVENTS Management has evaluated subsequent events pursuant to the requirements of ASC Topic 855, from the balance sheet date through the date the financial statements were issued, and has determined that no material subsequent events exist other than the following. ( us-gaap:subsequenteventstextblock ) Subsequent to November 30,, the Company issued 182,550,000 shares of common stock for conversion of principal of $4,263 of convertible debt. (End Disclosure - Subsequent Events)

14 Disclosure - Summary of Significant Accounting Policies (Policies) Disclosure - Summary of Significant Accounting Policies (Policies) (USD $) ( us-gaap:accountingpoliciesabstract ) 9 Months Basis of Presentation Basis of Presentation ( us-gaap:basisofaccountingpolicypolicytextblock ) The accompanying unaudited consolidated interim financial statements of VinCompass Corp have been prepared in accordance with accounting principles generally accepted in the United States of America and the rules of the Securities and Exchange Commission, and should be read in conjunction with the audited financial statements and notes thereto contained in the Company s Form 10-K filed with SEC. In the opinion of management, all adjustments, consisting of normal recurring adjustments, necessary for a fair presentation of financial position and the results of operations for the interim periods presented have been reflected herein. The results of operations for interim periods are not necessarily indicative of the results to be expected for the full year ended February 28, Notes to the financial statements which would substantially duplicate the disclosure contained in the audited financial statements for the year ended February 28, as reported on Form 10-K have been omitted. (End Disclosure - Summary of Significant Accounting Policies (Policies))

15 Disclosure - Notes Payable (Tables) Disclosure - Notes Payable (Tables) (USD $) ( us-gaap:debtdisclosureabstract ) 9 Months Summary of Notes The following table summarizes the convertible notes as of November 30, : Note # Date Maturity Date Date Interest Balance February 28, Additions Conversions Balance November 30, 1 7/7/2016 7/7/ 1/7/ 10% $ 29,482 $ (29,482) $ - 2 8/15/2016 8/15/ 2/15/ 10% 33,500 (33,500) - 3 9/28/2016 9/28/ 3/28/ 10% 73,500 (1) 6,000 (52,248) 27, /20/ /20/ 4/18/ 0% 60,000 (60,000) /28/2016 7/28/ 4/26/ 10% 78,750 (46,212) 32, /22/ 11/30/ 6/21/ 10% 58,000 (58,000) - 7 3/15/ 3/15/2018 9/11/ 10% 37,000 (36,848) /28/ 3/28/2018 9/24/17 8% 45,850 (3,218) 42, /10/ 1/15/ /7/ 10% 38,000 (10,535) 27, /16/ 2/25/ /12/ 10% 53,000-53, /11/ demand 1/12/ % 11,000-11, /3/ 8/3/2018 1/30/ 10% 28,500 28,500 $333,232 $ 219,350 $ (330,043) $ 222,539 Less Debt Discount: (73,251) (90,185) $259,981 $ 283,944 ( us-gaap:debttabletextblock ) Schedule of Derivative Liability ( us-gaap:scheduleofderivativeliabilitiesatfairvaluetabletextblock ) Schedule of Derivative Liability Measured with Fair Value Assumptions (1) $6,000 added to principle for fees related to conversions. A summary of the activity of the derivative liability for the period ended November 30, is as follows: Balance at February 28, $ 112,461 Derivative discount 397,000 Increase to derivative due to new issuance 566,925 Decrease in derivative due to conversion of debt (1,004,574) Derivative loss due to mark to market adjustment 224,311 Balance at November 30, $ 296,123 A summary of quantitative information about significant unobservable inputs (Level 3 inputs) used in measuring the Company s derivative liabilities that are categorized within Level 3 of the fair value hierarchy for the quarter ended November 30, is as follows: ( usgaap:fairvalueassetsandliabilitiesmeasuredonrecurringandnonrecurringbasisvaluationtechniquestabletextblock ) Schedule of Derivative Liability Measured with Unobservable Inputs Date of valuation November 30, Inception Volatility 365% - 416% 247% - 351% Risk-free rate.92% %.61% % Years to maturity The Company s notes payable approximates the fair value of such instruments based upon management s best estimate of interest rates that would be available to the Company for similar financial arrangements at November 30,. ( us-gaap:fairvalueinputsliabilitiesquantitativeinformationtabletextblock ) Fair value at November 30, Fair value measured at November 30, Quoted prices in Significant active other markets observable (Level 1) inputs (Level 2) Significant unobservable inputs (Level 3) Derivative liabilities $ 296,123 $ - $ - $ 296,123 (End Disclosure - Notes Payable (Tables))

16 Disclosure - Organization and Description of Business (Details Narrative) Disclosure - Organization and Description of Business (Details Narrative) (USD $) ( usgaap:organizationconsolidationandpresentationoffinancialstatementsabstract ) ( dei:legalentityaxis ) ( dei:entitydomain ) 9 Months Mar. 7, May. 8, May. 8, Aug. 2, VinCompass Corp Maximum Share exchange description ( custom:shareexchangedescription [Extension] ) VinCompass Corp. (Formerly known as Tiger Jiujiang Mining, Inc.), entered into a Share Exchange Agreement with VinCompass, whereby VinCompass Corp. exchanged 60% of its outstanding shares of common stock for 100% of the outstanding shares of VinCompass common stock. Capital stock, shares issued 1,000,000,000 10,000,000,000 ( custom:capitalsharesissued [Extension] ) stock, shares authorized 40,000,000 40,000, ,000,000 ( us-gaap:sharesauthorized ) stock, par value ( us-gaap:parorstatedvaluepershare ) Common stock, shares authorized 960,000,000 5,000,000,000 4,960,000,000 9,900,000,000 ( us-gaap:commonsharesauthorized ) Common stock, par value ( us-gaap:commonparorstatedvaluepershare ) (End Disclosure - Organization and Description of Business (Details Narrative))

17 Disclosure - Going Concern (Details Narrative) Disclosure - Going Concern (Details Narrative) (USD $) ( usgaap:organizationconsolidationandpresentationoffinancialstatementsabstract ) 9 Months Accumulated deficit 4,927,047 ( us-gaap:retainedearningsaccumulateddeficit ) Net loss 1,929,678 ( us-gaap:netincomeloss ) (End Disclosure - Going Concern (Details Narrative))

18 Disclosure - Common (Details Narrative) Disclosure - Common (Details Narrative) (USD $) ( us-gaap:equityabstract ) 3 Months 3 Months 3 Months 9 Months Aug. 2, May. 31, May. 31, May. 31, Aug. 31, Aug. 31, Aug. 31, ( us-gaap:relatedpartytransactionsbyrelatedpartyaxis ) ( us-gaap:relatedpartydomain ) Third Parties Third Parties Chief Executive Officer Capital stock, shares issued 10,000,000,000 ( custom:capitalsharesissued [Extension] ) stock, shares authorized 100,000,000 ( us-gaap:sharesauthorized ) Common stock, shares authorized 9,900,000,000 9,900,000,000 ( us-gaap:commonsharesauthorized ) Common stock, par value ( us-gaap:commonparorstatedvaluepershare ) Number of shares issued for services, shares 9,000,000 75,000, ,000,000 ( us-gaap:issuedduringperiodsharesissuedforservices ) Number of shares issued for services, price per shares ( us-gaap:sharesissuedpricepershare ) Non-cash expense 9,900 22,500 ( us-gaap:issuedduringperiodvalueissuedforservices ) Number of shares issued for convertible debt, shares 91,173, ,553,286 1,712,335,960 ( usgaap:issuedduringperiodsharesconversionofsecurities ) Number of shares issued for convertible debt 139,749 66, ,018 ( usgaap:issuedduringperiodvalueconversionofsecurities ) Accrued interest 7,456 4,890 2,339 ( us-gaap:interestpayablecurrentandnoncurrent ) Settlement of accrued payroll due ( us-gaap:accruedsalariescurrentandnoncurrent ) Table continued from above Disclosure - Common (Details Narrative) (USD $) ( us-gaap:equityabstract ) ( us-gaap:relatedpartytransactionsbyrelatedpartyaxis ) ( us-gaap:relatedpartydomain ) Chief Executive Officer Capital stock, shares issued ( custom:capitalsharesissued [Extension] ) stock, shares authorized ( us-gaap:sharesauthorized ) Common stock, shares authorized ( us-gaap:commonsharesauthorized ) Common stock, par value ( us-gaap:commonparorstatedvaluepershare ) Number of shares issued for services, shares ( us-gaap:issuedduringperiodsharesissuedforservices ) Number of shares issued for services, price per shares ( us-gaap:sharesissuedpricepershare ) Non-cash expense ( us-gaap:issuedduringperiodvalueissuedforservices ) Number of shares issued for convertible debt, shares ( usgaap:issuedduringperiodsharesconversionofsecurities ) Number of shares issued for convertible debt ( usgaap:issuedduringperiodvalueconversionofsecurities ) Accrued interest ( us-gaap:interestpayablecurrentandnoncurrent ) Settlement of accrued payroll due 20,000 ( us-gaap:accruedsalariescurrentandnoncurrent ) (End Disclosure - Common (Details Narrative))

19 Disclosure - (Details Narrative) (USD $) ( us-gaap:equityabstract ) ( us-gaap:statementclassofaxis ) ( us-gaap:classofdomain ) Disclosure - (Details Narrative) Series A 9 Months Series A 3 Months May. 31, Chief Executive Officer Series A May. 31, 3 Months May. 31, Series B 9 Months Series B Series C stock, shares authorized 40,000,000 40,000,000 20,000,000 ( us-gaap:sharesauthorized ) stock, par value ( us-gaap:parorstatedvaluepershare ) stock voting rights ( us-gaap:votingrights ) Series a stock shall have 100:1 voting rights, no conversion rights, and no redemption rights. Series b stock has no voting rights 9 Months Series C Series c stock shall have 1,000:1 voting rights and is convertible into common stock at one for ten shares of common. 6 Months Aug. 31, Series C Chief Executive Officer Number of shares issued to settle accrued payroll, shares 4,000,000 10,000,000 ( us-gaap:issuedduringperiodsharesother ) Number of shares issued to settle accrued payroll 40,000 30,000 ( us-gaap:issuedduringperiodvalueother ) Fair value of shares using weighted average stock price 180,000 ( us-gaap:equityfairvaluedisclosure ) based compensation expense 140,000 ( us-gaap:allocatedsharebasedcompensationexpense ) Discount rate 0.50 ( custom:discountrate [Extension] ) Table continued from above Disclosure - (Details Narrative) (USD $) ( us-gaap:equityabstract ) ( us-gaap:statementclassofaxis ) ( us-gaap:classofdomain ) stock, shares authorized ( us-gaap:sharesauthorized ) stock, par value ( us-gaap:parorstatedvaluepershare ) stock voting rights ( us-gaap:votingrights ) 9 Months Series C Chief Executive Officer Number of shares issued to settle accrued payroll, shares 10,000,000 ( us-gaap:issuedduringperiodsharesother ) Number of shares issued to settle accrued payroll 10,000 ( us-gaap:issuedduringperiodvalueother ) Fair value of shares using weighted average stock price ( us-gaap:equityfairvaluedisclosure ) based compensation expense ( us-gaap:allocatedsharebasedcompensationexpense ) Discount rate ( custom:discountrate [Extension] ) (End Disclosure - (Details Narrative))

20 Disclosure - Related Party Transactions (Details Narrative) (USD $) ( us-gaap:relatedpartytransactionsabstract ) ( us-gaap:consolidatedentitiesaxis ) ( us-gaap:consolidatedentitiesdomain ) Disclosure - Related Party Transactions (Details Narrative) Accounts payable to related parties 380, ,281 ( us-gaap:accountspayablerelatedpartiescurrent ) Accrued payroll 206, ,000 ( us-gaap:accruedsalariescurrent ) 9 Months Feb. 28, Number of shares conversion 70,000 ( us-gaap:conversionofamountissued1 ) Number of shares conversion, shares 14,000,000 ( us-gaap:conversionofsharesissued1 ) Affiliated Short-term loan 5,000 ( us-gaap:shorttermborrowings ) (End Disclosure - Related Party Transactions (Details Narrative))

21 Disclosure - Notes Payable (Details Narrative) Disclosure - Notes Payable (Details Narrative) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:rangeaxis ) ( us-gaap:rangemember ) 9 Months Minimum Maximum Debt conversion fees 500 1,000 ( custom:debtconversionfees [Extension] ) (End Disclosure - Notes Payable (Details Narrative))

22 Disclosure - Notes Payable - Summary of Notes (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:debtinstrumentaxis ) ( us-gaap:debtinstrumentnamedomain ) Disclosure - Notes Payable - Summary of Notes (Details) 9 Months Notes One Notes One Feb. 28, Notes One 9 Months Notes Two Date ( us-gaap:debtinstrumentissuancedate1 ) Maturity Date ( us-gaap:debtinstrumentmaturitydate ) Date ( us-gaap:debtinstrumentlatestdate1 ) Notes Two Feb. 28, Notes Two 9 Months Notes Three Notes Three Interest ( us-gaap:debtinstrumentinterestratestatedpercentage ) Feb. 28, Notes Three Balance 29,482 33,500 73,500 ( us-gaap:debtinstrumentfaceamount ) 9 Months Notes Four Additions 6,000 [1] ( us-gaap:debtinstrumentincreasedecreaseforperiodnet ) Conversions (29,482) (33,500) (52,248) (60,000) ( us-gaap:debtconversionconvertedinstrumentamount1 ) Gross balance 27,252 ( us-gaap:debtinstrumentcarryingamount ) Less Debt Discount ( us-gaap:debtinstrumentunamortizeddiscountpremiumnet ) Net Balance ( us-gaap:notespayablecurrent ) Table continued from above Disclosure - Notes Payable - Summary of Notes (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:debtinstrumentaxis ) ( us-gaap:debtinstrumentnamedomain ) Notes Four Feb. 28, Notes Four 9 Months Notes Five Notes Five Feb. 28, Notes Five 9 Months Notes Six Date ( us-gaap:debtinstrumentissuancedate1 ) Maturity Date ( us-gaap:debtinstrumentmaturitydate ) Date ( us-gaap:debtinstrumentlatestdate1 ) Notes Six Feb. 28, Notes Six 9 Months Notes Seven Notes Seven Interest ( us-gaap:debtinstrumentinterestratestatedpercentage ) Balance 60,000 78,750 58,000 ( us-gaap:debtinstrumentfaceamount ) Additions 37,000 ( us-gaap:debtinstrumentincreasedecreaseforperiodnet ) Conversions (46,212) (58,000) (36,848) ( us-gaap:debtconversionconvertedinstrumentamount1 ) Gross balance 32, ( us-gaap:debtinstrumentcarryingamount ) Less Debt Discount ( us-gaap:debtinstrumentunamortizeddiscountpremiumnet ) Net Balance ( us-gaap:notespayablecurrent ) Table continued from above Disclosure - Notes Payable - Summary of Notes (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:debtinstrumentaxis ) ( us-gaap:debtinstrumentnamedomain ) 9 Months Notes Eight Maturity Date Notes Eight 9 Months Notes Nine Notes Nine Date ( us-gaap:debtinstrumentissuancedate1 ) Months Notes Ten Notes Ten 9 Months Notes Eleven Notes Eleven 9 Months Notes Twelve Notes Twelve

23 ( us-gaap:debtinstrumentmaturitydate ) Date ( us-gaap:debtinstrumentlatestdate1 ) Interest ( us-gaap:debtinstrumentinterestratestatedpercentage ) Balance ( us-gaap:debtinstrumentfaceamount ) Additions 45,850 38,000 53,000 11,000 28,500 ( us-gaap:debtinstrumentincreasedecreaseforperiodnet ) Conversions (3,218) (10,535) ( us-gaap:debtconversionconvertedinstrumentamount1 ) Gross balance 42,632 27,465 53,000 11,000 28,500 ( us-gaap:debtinstrumentcarryingamount ) Less Debt Discount ( us-gaap:debtinstrumentunamortizeddiscountpremiumnet ) Net Balance ( us-gaap:notespayablecurrent ) Table continued from above Disclosure - Notes Payable - Summary of Notes (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:debtinstrumentaxis ) ( us-gaap:debtinstrumentnamedomain ) Feb. 28, Notes 9 Months Notes Notes Date ( us-gaap:debtinstrumentissuancedate1 ) Maturity Date ( us-gaap:debtinstrumentmaturitydate ) Date ( us-gaap:debtinstrumentlatestdate1 ) Interest ( us-gaap:debtinstrumentinterestratestatedpercentage ) Balance ( us-gaap:debtinstrumentfaceamount ) Additions 219,350 ( us-gaap:debtinstrumentincreasedecreaseforperiodnet ) Conversions (330,043) ( us-gaap:debtconversionconvertedinstrumentamount1 ) Gross balance 333, ,539 ( us-gaap:debtinstrumentcarryingamount ) Less Debt Discount (73,251) (90,185) ( us-gaap:debtinstrumentunamortizeddiscountpremiumnet ) Net Balance 259, ,944 ( us-gaap:notespayablecurrent ) Footnotes: 1. $6,000 added to principle for fees related to conversions. (End Disclosure - Notes Payable - Summary of Notes (Details))

24 Disclosure - Notes Payable - Summary of Notes (Details) (Parenthetical) Disclosure - Notes Payable - Summary of Notes (Details) (Parenthetical) ( Notes Three, USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:debtinstrumentaxis ) 9 Months ( us-gaap:debtinstrumentnamedomain ) Debt conversion fees 6,000 ( custom:debtconversionfees [Extension] ) (End Disclosure - Notes Payable - Summary of Notes (Details) (Parenthetical))

25 Disclosure - Notes Payable - Schedule of Derivative Liability (Details) Disclosure - Notes Payable - Schedule of Derivative Liability (Details) (Derivative Liability, USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:derivativeinstrumentriskaxis ) 9 Months ( us-gaap:derivativecontracttypedomain ) Balance at February 28, 112,461 ( us-gaap:derivativeliabilities ) Derivative discount 397,000 ( custom:derivativediscount [Extension] ) Increase to derivative due to new issuance 566,925 ( custom:increasetoderivativeliability [Extension] ) Decrease in derivative due to conversion of debt (1,004,574) ( us-gaap:increasedecreaseinderivativeliabilities ) Derivative loss due to mark to market adjustment 224,311 ( us-gaap:derivativelossonderivative ) Balance at November 30, 296,123 ( us-gaap:derivativeliabilities ) (End Disclosure - Notes Payable - Schedule of Derivative Liability (Details))

26 Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Fair Value Assumptions (Details) Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Fair Value Assumptions (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:rangeaxis ) ( us-gaap:rangemember ) 9 Months 91 Months Minimum Maximum Minimum Maximum Volatility ( us-gaap:fairvalueassumptionsexpectedvolatilityrate ) Risk-free rate ( us-gaap:fairvalueassumptionsriskfreeinterestrate ) Years to maturity P2M30D P3M29D P2M30D P6M ( us-gaap:fairvalueassumptionsexpectedterm ) (End Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Fair Value Assumptions (Details))

27 Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Unobservable Inputs (Details) Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Unobservable Inputs (Details) (USD $) ( us-gaap:debtdisclosureabstract ) ( us-gaap:fairvaluebyfairvaluehierarchylevelaxis ) ( us-gaap:fairvaluemeasurementsfairvaluehierarchydomain ) Level 1 Level 2 Level 3 Derivative liabilities 296, ,123 ( us-gaap:derivativefairvalueofderivativeliability ) (End Disclosure - Notes Payable - Schedule of Derivative Liability Measured with Unobservable Inputs (Details))

28 Disclosure - Subsequent Events (Details Narrative) Disclosure - Subsequent Events (Details Narrative) (Subsequent Event, USD $) ( us-gaap:subsequenteventsabstract ) ( us-gaap:subsequenteventtypeaxis ) 9 Months ( us-gaap:subsequenteventtypedomain ) Number of shares issued for conversion 182,550,000 ( us-gaap:conversionofsharesissued1 ) Number of shares issued for conversion, amount 4,263 ( us-gaap:conversionofamountissued1 ) (End Disclosure - Subsequent Events (Details Narrative))

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