HUMBLE ENERGY, INC. ISSURER S CONTINUING DISCLOSURE FOR THE YEAR ENDED DECEMBER 31, 2018, 2017 UNAUDITED

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1 HUMBLE ENERGY, INC. 1 ISSURER S CONTINUING DISCLOSURE FOR THE YEAR ENDED DECEMBER 31, 2018, UNAUDITED Item 1 Exact name of the issuer and the address of the principal executive offices: Humble Energy, Inc Kanis Road Paron, Arkansas Item 2 Shares Outstanding: Total number of outstanding shares as of 12/31/2018 was 26,452,400 vs. the years ended 12/31/2017, 26,401,400 This Financial Statements are prepared using Generally Accepted Accounting Principles (GAAP). The Management uses Estimates from companies it considers knowledgeable. These Financial Statements are UNAUDITED.

2 HUMBLE ENERGY, INC. 2 CONSOLIDATED BALANCE SHEET FOR THE YEARS ENDED DECEMBER 31, 2018, 2017 UNAUDITED Assets: Current assets Cash $ 3,703 $ 3,563 Investment account Accounts receivable 76,900 77,500 Total current assets $ 80,928 $ 81,348 Other assets Depletable oil & gas assets $ 740,560 $ 670,675 Accumulated depletion (35,000) (20,000) Total depletable assets $ 705,560 $ 650,675 Land leases held by production 260, ,000 Total oil and gas assets $ 900,675 $ 965,560 Dehumidification ATT Inventory $ 90,000 $ 100,000 Equipment ATT 18,000 18,000 Patents ATT 160, ,000 Total ATT assets $ 268,000 $ 278,000 Investments coal, at cost Coal Fields Ltd. Partnerships $ 2,400,000 $ 2,400,000 Power Klean Internal Engine 75,000 75,000 Total Investments $ 2,475,000 $ 2,475,000 Total other assets $ 2,708,560 $ 3,653,675 Total assets $ 3,789,468 $ 3,735,023 Liabilities and Shareholder s Equity: Current liabilities: Accounts payable $ 2,870 $ 395 Accrued payables 22,150 22,305 Total liabilities $ $ 23,600 Shareholder s equity: Convertible preferred stock $ 102,575 $ 102,575 Common stock $.001 par 250,000,000 authorized, 26,452,400 shs. 3,401,584 3,401,584 Retained earnings 150, ,000 Net income 110, ,264 Total stockholder s equity $ 3,764,468 $ 3,711,423 Total liabilities and Shareholder s equity $ 3,789,468 $ 3,735,023 Notes All Financial Statements and notes to this Financial Statement are an Integral part of the financial statements and are UNAUDITED. The Company has used estimates and has prepared this Report using Generally Accepted Accounting Principals, GAAP.

3 HUMBLE ENERGY. INC. 3 CONSOLITATED STATEMENT OF OPERATIONS FOR THE YEARS ENDED DECEMBER 31, 2018, 2017 UNAUDITED Revenue : Oil and natural gas sales $ 34,681 $ 32,322 Netted oil and gas sales 12,732 2,500 Total revenue $ 47,413 $ 34,822 Operating expenses: Credit card $ 7,279 $ 3,518 Corporate Stock Transfer 2, Franchise tax Insurance-Auto Internet 1, Bank charges Legal and accounting 200 4,000 Management fee 4, Miscellaneous Medical Rent 1, Repairs & Maintenance OTC Market 3,000 3,000 Severance taxes 3,970 2,188 Travel Telephone 1,264 2,001 Utilities 2, Waste & Cleaning Well operating 9,183 8,608 State & Federal W/H tax Total expenses $ 40,899 $ 29,370 Gain from operations $ 6,514 $ 5,452 These UNAUDITED Financial Statements are prepared using GAAP, Generally Accepted Accounting Principals. Management uses estimates when needed.

4 HUMBLE ENERGY, INC. 4 UNAUDITED CONSOLITATED STATEMENT OF SHAREHOLDER S EQUITY FOR THE YEARS ENDING DECEMBER 31, 2018 DOLLARS SHARES BALANCE $ 1,000 1,000 April 30, 2009 $ 0 953,698 May 5, 2009 Well purchase $ 134,918 9,000,000 June 30, 2009 Issued for services $ 11, ,000 Total June 30, 2009 $ 149,377 10,854,698 Total November 30, 2013 $ 149,377 10,854,698 Total December 31, 2013 $ 3,349,691 25,000,000 Total December $ 3,277,584 26,151,400 Total December 31, 2017 $ 3,401,584 26,401,400 Total December 31, 2018 $ 3,401,584 26,452,400 Notes to this Financial Statement are an integral part of this Financial Statement and are prepared using General Accepted Accounting Principal (GAAP). GAAP allows estimates to be used when management has discussed and considers information reasonably accurate.

5 HUMBLE ENERGY, INC. 5 CONSOLIDATED STATEMENT OF CASH FLOWS FOR THE YEARS ENDED DECEMBER 31, 2018, 2017 UNAUDITED Cash flow from operating activities: Net income (loss) $ 6,514 $ 5,452 Unrealized gain on investments 0 115,264 Adjustments to reconcile net income (loss) to net cash provided by operating activities Depreciation, depletion and amortization 35,000 20,000 Changes in operating assets and liabilities: Trade accounts payable $ 2,870 $ 395 Contingent trade accounts payable 22,150 22,205 Notes payable $ 0 $ 0 Net cash provided by operating activities $ 25,020 $ 23,600 Cash flows from financing activities: Cash received from sale of stock $ 0 $ 0 Distribution to owners 0 0 Net cash used by financing activities 0 0 Net increase ((decrease) in cash Cash-beginning of period ,361 Cash-end of period 3,703 3,563 Net increase (decrease) in cash Supplemental disclosure of non-kind services 0 0 Capital contributions of in-kind services 0 0 Common stock issued 26,452,400 26,401,400 GAAP, Generally Accepted Accounting Principal are used in the preparation of these UNAUDITED Financial Statements. Estimates are used when management believes that they are reasonable in their best judgment.

6 HUMBLE ENERGY, INC. UNAUDITED 6 HUMBLE ENERGY, INC. HAS A NEW WEBSITE--humbleenergyinc.com NOTE 1-ORGANIZATION AND BASIS OF PRESENTATION\ The accompanying unaudited condensed financial statements of Humble Energy, Inc. (the Company ) have been prepared in accordance with accounting principles generally accepted in the United States of America for quarterly financial information. In the opinion of management, all normal recurring adjustments considered necessary of a fair presentation have been included. The accompanying condensed Financial statements have been prepared on a going concern basis, which contemplates the realization of assets and the settlement of liabilities and commitments in the normal course of business. As reflected in the accompanying condensed financial statem4ents, the Company has incurred recurring gains and losses. For the year ending December 31, 2018 the Company recorded a profit of $16,773, used cash to fund operating activities of $53,338 and had an accumulated deficit of $330,067. The Company s management plans to continue as a going concern revolve around its ability to develop its current business plan, as well as raise necessary capital to pay ongoing general and administrative expenses of the Company. The ability of the Company to continue as a going concern is dependent on securing additional resources of capital and the success of the Company s plan. There is no assurance that the company will be successful in raising the additional capital or in achieving profitable operations. To date the Company has be unsuccessful in raising additional funds. These financial statements and related notes have been prepared in accordance with accounting principles generally accepted in the Unitec States of America for financial information. Accordingly, they do not include all of the information and footnotes required by generally accepted accounting principles for complete financial statements. In the opining of management, all normal recurring adjustments considered necessary of a fair presentation have been included. Operating results for the year ended December 31, 2018 are not necessarily indicative of the results that may be expected for the year ended December 31, 2018 NOTE 2 SIGNIFICANT ACCOUNTING POLICIES Cash and Cash Equivalents The Company considers all liquid investment with a maturity of three months or less from the date of purchase that ore readily convertible into cash to be cash equivalent. As of December 31, 2018, there were no cash equivalents.

7 Use of Estimates 7 The preparation of financial statements in conformity with generally accepted accounting principles requires management to make estimates and assumption that affects the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates. Income Taxes The Company utilizes FASB ACS 740, Income Taxes, which requires the recognition of deferred tax assets and liabilities for the expected future tax consequences of events that have been included in the financial statements or tax basis of assets and liabilities and their financial reporting amounts based on enacted tax law and statutory tax rates applicable to the periods in which the differences are expected to affect taxable income. Deferred tax assets are reduced by a valuation allowance when, in the opinion of management, it is more likely than not that some portion of all of the deferred tax assets will not be realized. Deferred Tax assets and liabilities are adjusted for the effects of changes in tax laws and rates on the date of enactment. The accounting guidance for uncertainties in income tax prescribes a comprehensive model for the financial statement recognition, measurement, presentation, and disclosure of uncertain tax positions taken or expected to be taken in income tax returns. The Company recognizes a tax benefit from an uncertain tax position in the financial statements only when it is more likely than not that the position will be sustained upon examination, including resolution of any related appeals or litigation processes, based on the technical merits and a consideration of the relevant taxing authority s widely understood administrative practices and precedents. Interest and penalties on tax deficiencies recognized in accordance with ASC accounting standards are classified as income taxes in accordance with ASC Topic We have implemented certain provisions of ASC 740. Income Taxes ( ASC 740 ), which clarifies the accounting and disclosure for uncertain tax positions, as defined. ASC 740 seeks to reduce the diversity in practice associated with certain aspects of the recognition and measurement related to accounting for income taxes. We adopted the provisions of ASC 740 and have analyzed filling positions in United States jurisdictions where we are required to file income tax returns, as well as all open tax years in these jurisdictions. We have identified the United States as our major tax jurisdiction. Generally, we remain subject to tax jurisdiction. Generally, we remain subject to United States examination of our income tax returns. Fair Value of Financial instruments The financial Accounting Standards Board issued ASC (Accounting Standards codification) (SFAS No. 157), Fair Value Measurements and Disclosures for financial assets and

8 8 liabilities. ASC provides a framework for measuring fair value and requires expanded disclosures regarding fair value measurements, Recent Accounting Pronouncements In August 2015 the FASB issued the FASB Accounting Standards Update No Presentation of Financial Statements Going Concerns (Subtopic ) Disclosure of Uncertainties about an Entity s Ability to Continue as a Going Concern ( ASU ). In connection with preparing financial statements for each annual interim reporting period, an entity s management should evaluate whether there are conditions or events, considered in the aggregate, that raise substantial doubt about the entity s ability to continue as a going concern within one year after the date that the financial statements are issued (or within one year after the date that the financial statements are available to be issued when applicable). Management s evaluation should be based on relevant conditions and events that are known and reasonably knowable at the date that the financial statements are issued (or at the date that the financial statements are available to be issued when applicable). Substantial doubt bout an entity s ability to continue as a going concern exists when relevant conditions and events, considered in the aggregate, indicate that it is probable that the entity will be usable to meet its obligations as they become due within one year after the date that the financial statements are issued (if available to be issued). The term probable is used consistently with its use in Topic 450 Contingencies. When management identifies conditions or events that raise substantial doubt about a entity s ability to continue as a going concern, management should consider whether its plans that are intended to mitigate those relevant conditions or events will alleviate the substantial doubt. The mitigating effect of management s plans should be considered only to the extent that (1) it is probable that the plans will be effectively implemented and, if so, (2) it is probable that the plans will mitigate the conditions or events that raise substantial doubt about the entity s ability to continue as a going concern.

9 I David R. Kane, certify that: (1) I have reviewed the Issuer s Continuing Disclosure Statement of Humble Energy, Inc. (2) Based on my knowledge, this Disclosure Statement does not contain any untrue statement of material facts, or omit to state a material fact necessary to make the statements made, in light of the circumstances under which statements were made, not misleading with respect to the period covered by this Disclosure Statement and (3) Based on my knowledge, the financial statements and or other financial information included or incorporated by reference in this Disclosure Statement fairly presents in all material respects the financial condition, results of operations and cash flows of the Issuer as of, and for, the period presented in this Disclosure Statement. Date/s/ March 15, 2019 David R. Kane, Chairman, CEO I Robert L. Cashman, certified that: (4) I have reviewed the Issuer s Continuing Disclosure Statement of Humble Energy, Inc. (5) Based on my knowledge, this Disclosure Statement does not contain any untrue statement of material fact, or omit to state a material fact necessary to make the statements made, in light of the circumstances under which statements were made, not misleading with respect to the period covered by the Disclosure Statement and (6) Based on my knowledge, the financial statements and other financial information included or incorporated by reference in this Disclosure Statement fairly presents in all material respects the financial condition, results of operations and cash flows of the issuer as of, and for, the period presented in this Disclosure Statement. Date/s/March 16, 2019 Robert L. Cashman, Chief Financial Officer 9

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