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8-K: Current report

8-K: Current report

8-K:重大事件
美股SEC公告 ·  11/02 04:18

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Conduit Pharmaceuticals Inc. has entered into a series of financial agreements to secure funding for its operations. On October 29, 2024, the company signed a Bridge Loan Agreement with A.G.P./Alliance Global Partners, receiving an advance of up to $600,000 and issuing warrants for purchasing approximately 2.86 million shares of its common stock. The warrants have an exercise price of $0.1048 per share, with stockholder approval required for the exercise. A stockholder meeting is planned within 90 days to seek this approval. The Bridge Note associated with this loan has an interest rate of 4.21% and is due by December 31, 2024. Additionally, Conduit Pharmaceuticals has amended a previous fee agreement with A.G.P., suspending a 25% net proceeds payment obligation until the Bridge Note is fully...Show More
Conduit Pharmaceuticals Inc. has entered into a series of financial agreements to secure funding for its operations. On October 29, 2024, the company signed a Bridge Loan Agreement with A.G.P./Alliance Global Partners, receiving an advance of up to $600,000 and issuing warrants for purchasing approximately 2.86 million shares of its common stock. The warrants have an exercise price of $0.1048 per share, with stockholder approval required for the exercise. A stockholder meeting is planned within 90 days to seek this approval. The Bridge Note associated with this loan has an interest rate of 4.21% and is due by December 31, 2024. Additionally, Conduit Pharmaceuticals has amended a previous fee agreement with A.G.P., suspending a 25% net proceeds payment obligation until the Bridge Note is fully repaid. The company is also planning an at the market offering of about $3.5 million, with initial proceeds aimed at repaying the Bridge Note. In a separate agreement on October 28, 2024, Conduit Pharmaceuticals issued a promissory note to Nirland Limited for $600,000, bearing a 12% interest rate and maturing on October 31, 2025. Following an event of default, the interest rate could increase to 18%. The company also amended its existing debt agreements with Nirland, allowing for the conversion of an existing note into common stock, removing Nirland's mandatory prepayment right, and Nirland's right of first refusal in future equity or debt offerings. These financial moves are part of Conduit Pharmaceuticals' strategy to manage its capital and secure funding for its ongoing operations.
Conduit Pharmaceuticals Inc.已经达成了一系列的金融协议,以确保其运营资金。2024年10月29日,公司与A.G.P./全球合作伙伴签署了一项桥梁贷款协议,获得高达60万美元的预付款,并发行了购买大约286万股普通股的认股权证。认股权证的行权价格为每股0.1048美元,行使需要股东批准。计划在90天内召开股东大会以寻求此批准。与此贷款相关的桥梁票据的利率为4.21%,到期日为2024年12月31日。此外,Conduit Pharmaceuticals已修订了与A.G.P.之前的费用协议,暂停了25%的净收益支付义务,直到桥梁票据全部偿还为止。公司还计划进行大约350万...展开全部
Conduit Pharmaceuticals Inc.已经达成了一系列的金融协议,以确保其运营资金。2024年10月29日,公司与A.G.P./全球合作伙伴签署了一项桥梁贷款协议,获得高达60万美元的预付款,并发行了购买大约286万股普通股的认股权证。认股权证的行权价格为每股0.1048美元,行使需要股东批准。计划在90天内召开股东大会以寻求此批准。与此贷款相关的桥梁票据的利率为4.21%,到期日为2024年12月31日。此外,Conduit Pharmaceuticals已修订了与A.G.P.之前的费用协议,暂停了25%的净收益支付义务,直到桥梁票据全部偿还为止。公司还计划进行大约350万美元的市场上市,初始收益旨在偿还桥梁票据。2024年10月28日,Conduit Pharmaceuticals与Nirland Limited签署了一份600,000美元的应收票据,利率为12%,到期日为2025年10月31日。发生违约事件后,利率可能上调至18%。公司还修订了与Nirland现有债务协议,允许将现有票据转换为普通股,取消Nirland的强制预付款权,并取消Nirland在未来股本或债务发行中的优先购买权。这些金融举措是Conduit Pharmaceuticals制定资本管理策略和为其持续运营安全融资的一部分。
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