Company: VCIG
Filing Date: 2025-05-13
Form Type: 20-F
Source: 0001213900-25-042476
Chunk: 34

Company: VCI Global Ltd
Filing Date: 2025-05-13
Form: 20-F
Item: Item 4
Chunk 34
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, 2024.

On December 4, 2024, we entered into two securities
purchase agreements with certain accredited investors (the “December 4 Purchasers”), pursuant to which we agreed to
issue and sell to the December 4 Purchasers an aggregate of 2,133,334 Ordinary Shares, no par value per share, in a registered direct
offering. The Ordinary Shares were sold at a purchase price of $1.875 per Ordinary Share. For a more detailed description of this offering,
see our Report of Foreign Private Issuer on Form 6-K filed with the SEC on December 5, 2024.

On December 5, 2024, we entered into a securities purchase agreement
with an accredited investor (the “December 5 Purchaser”), pursuant to which the Company agreed to issue and sell to
the December 5 Purchaser an aggregate of 533,333 ordinary shares (the “December 5 Shares”), no par value per share,
in a registered direct offering. The December 5 Shares were sold at a purchase price of $1.875 per Ordinary Share. For a more detailed
description of this offering, see our Report of Foreign Private Issuer on Form 6-K filed with the SEC on December 5, 2024.

On January 8, 2025, we entered into three securities purchase agreements
with certain accredited investors (the “January 8 Purchasers”), pursuant to which the Company agreed to issue and sell
to the January 8 Purchasers an aggregate of 1,500,000 ordinary shares (the “January 8 Shares”), no par value per share,
in a registered direct offering. The January 8 Shares were sold at a purchase price of $2.00 per Ordinary Share. For a more detailed description
of this offering, see our Report of Foreign Private Issuer on Form 6-K filed with the SEC on January 8, 2025.

On January 13, 2025, we entered into a securities purchase agreement
with an accredited investor (the “January 13 Purchasers”), pursuant to which the Company agreed to issue and sell to
the January 13 Purchaser an aggregate of 1,149,425 ordinary shares (the “January 13 Shares”), no par value per share,
in a registered direct offering. The January 13 Shares were sold at a purchase price of $1.305 per Ordinary Share. For a more detailed
description of this offering, see our Report of