Company: OXBRW
Filing Date: 2025-07-10
Form Type: 424B5
Source: 0001641172-25-018473
Chunk: 47

Company: OXBRIDGE RE HOLDINGS Ltd
Filing Date: 2025-07-10
Form: 424B5
Chunk 47
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 the terms of the units. Specific unit agreements will contain additional important terms and provisions and we will file as an exhibit to the registration statement of which this prospectus is a part, or will incorporate by reference from another report that we file with the SEC, the form of each unit agreement relating to units offered under this prospectus.

If we offer any units, certain terms of that series of units will be described in the applicable prospectus supplement, including, without limitation, the following, as applicable:

| ● | the                                                                                                               
 title of the series of units;                                                                                     |
| ● | identification                                                                                                    
 and description of the separate constituent securities comprising the units;                                      |
| ● | the                                                                                                               
 price or prices at which the units will be issued;                                                                |
| ● | the                                                                                                               
 date, if any, on and after which the constituent securities comprising the units will be separately transferable; |
| ● | a                                                                                                                 
 discussion of certain Cayman Islands tax considerations applicable to the units;                                  |
| ● | a                                                                                                                 
 discussion of certain United States federal income tax considerations applicable to the units; and                |
| ● | any                                                                                                               
 other terms of the units and their constituent securities.                                                        |

| 20 |

<div align='center'>PLAN OF DISTRIBUTION</div>

We may sell securities in any one or more of the following ways from time to time: (1) through agents; (2) to or through underwriters; (3) through brokers or dealers; (4) directly to purchasers, including through a specific bidding, auction or other process; or (5) through a combination of any of these methods of sale. The applicable prospectus supplement and/or other offering materials will contain the terms of the transaction, the name or names of any underwriters, dealers, or agents and the respective amounts of securities underwritten or purchased by them, the initial public offering price of the securities, and the applicable agent’s commission, dealer’s purchase price or underwriter’s discount. Any dealers and/or agents participating in the distribution of the securities may be deemed to be underwriters, and compensation received by them on resale of the securities may be deemed to be underwriting discounts.

Any initial offering price, dealer purchase price, discount or commission may be changed from time to time.

The securities may be distributed from time to time in one or more transactions, at negotiated prices, at a fixed price or fixed prices (that may be subject to change), at market prices prevailing at the time of sale