Company: RGBP
Filing Date: 2025-09-08
Form Type: 253G1
Source: 0001641172-25-026822
Chunk: 17

Company: Regen BioPharma Inc
Filing Date: 2025-09-08
Form: 253G1
Chunk 17
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SUANT TO SECTION 12 OF THE EXCHANGE ACT, WE WILL ONLY BE SUBJECT TO THE PERIODIC REPORTING OBLIGATIONS IMPOSED BY SECTION 15(D) OF THE EXCHANGE ACT WHICH MAY LIMIT THE INFORMATION ON THE COMPANY AVAILABLE TO SHAREHOLDERS.

We do not currently intend to register our common shares under the Securities and Exchange act of 1934 (“Exchange Act”). Unless we register a class of our securities pursuant to Section 12 of the Exchange Act, we will only be subject to the periodic reporting obligations imposed by Section 15(d) of the Exchange Act. Accordingly, we will not be subject to the proxy rules, short-swing profit provisions, going-private regulation, beneficial ownership reporting, and the majority of the tender offer rules and the reporting requirements of the Exchange Act. Accordingly, shareholders may have access to less information regarding the activities of the Company and its officers and directors than they otherwise may have if a class of the Company’s securities was registered under the Exchange Act.

ABOUT THE OFFERING

<div align='center'>WHO MAY INVEST IN THE OFFERING</div>

The Company is offering for sale in this Regulation A+ offering (the “Offering”) up to shares of its common stock, $0.0001 par value, for a purchase price of $.01 per share for a total offering amount of $250,000 in the event the shares are offered at$.20 per share . The shares are being offered for sale by this Offering Circular only to accredited investors, as such term is defined in Regulation D of the Securities and Exchange Commission (the “SEC”) under the Securities Act of 1933, as amended (the “Act”).

Accredited Investor

To be an “accredited investor,” an investor must come within any of the following categories, or be a person who the issuer reasonably believes comes within any of the following categories at the time of the sale of the shares to that investor:

| ● | Any                                                                                                                                          
 bank as defined in Section 3(a)(2) of the Act, or any savings and loan association or other institution as defined in Section 3(a)(5)(A)     
 of the act whether acting in its individual or fiduciary capacity; any broker or dealer registered pursuant to Section 15 of the             
 Securities Exchange Act of 1934; any insurance company registered under the Investment Company Act of 1940 or a business development         
 company as defined in Section 2(a)(48) of that Act; any Small Business Investment Company