Company: RVRC
Filing Date: 2025-10-03
Form Type: S-1/A
Source: 0001213900-25-096094
Chunk: 173

Company: Revium Rx.
Filing Date: 2025-10-03
Form: S-1/A
Chunk 173
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 issues and risks. The chairman of the Board and independent members of the Board work together to provide
strong, independent oversight of the company’s management and affairs through its standing committees and, when necessary, special
meetings of directors.

Family Relationships

There are no family relationships between any of our officers and directors.

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Involvement in Certain Legal Proceedings

Our directors and executive officers have not been involved in any
of the following events during the past ten years:

| ● | Any bankruptcy petition filed by or against such person or any business of which such person was a general partner or executive officer either at the time of the bankruptcy or within two years prior to that time; |

| ● | Any conviction in a criminal proceeding or being subject to a pending criminal proceeding (excluding traffic violations and other minor offenses); |

| ● | Being subject to any order, judgment, or decree, not subsequently reversed, suspended, or vacated, of any court of competent jurisdiction, permanently or temporarily enjoining him from or otherwise limiting his involvement in any type of business, securities, or banking activities or to be associated with any person practicing in banking or securities activities; |

| ● | Being found by a court of competent jurisdiction in a civil action, the SEC or the Commodity Futures Trading Commission to have violated a Federal or state securities or commodities law, and the judgment has not been reversed, suspended, or vacated; |

| ● | Being subject of, or a party to, any Federal or state judicial or administrative order, judgment decree, or finding, not subsequently reversed, suspended, or vacated, relating to an alleged violation of any Federal or state securities or commodities law or regulation, any law or regulation respecting financial institutions or insurance companies, or any law or regulation prohibiting mail or wire fraud or fraud in connection with any business entity; or |

| ● | Being subject of or party to any sanction or order, not subsequently reversed, suspended, or vacated, of any self-regulatory organization, any registered entity or any equivalent exchange, association, entity, or organization that has disciplinary authority over its members or persons associated with a member. |

Director Independence

Our Board is currently
composed of four (4) members. Our Common Stock is not currently listed for trading on a national securities exchange and, as such, we
are not subject to any director independence standards. We determined that Mr. Matti Munk is considered an independent director as that
term is defined by NASDAQ Marketplace Rule 560