Company: KII
Filing Date: 2025-09-18
Form Type: S-1
Source: 0001213900-25-088883
Chunk: 317

Company: K2 Capital Acquisition Corp
Filing Date: 2025-09-18
Form: S-1
Chunk 317
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 a purchase price of $10.00 per Unit. Each Unit will consist of one Class A ordinary share and one Right entitling the holder to receive one -eighth(1/8) of one Class A share, so the holder must hold Rights in multiples of 8 in order to receive shares for all of their Rights upon closing of a Business Combination (“Right”). NOTE 4 — PRIVATE PLACEMENTS The Sponsor and the Private Placement Investor have agreed to purchase an aggregate of (i) 293,750 Private Placement Units (or up to 303,125 Private Placement Units if the underwriters’ over -allotmentoption is exercised in full) and (ii) 587,500 Restricted Class A Shares (or up to 606,250 Restricted Class A Shares if the underwriters’ over -allotmentoption is exercised in full), which shares would vest only upon the consummation of the initial Business Combination, at a combined price of $10.00 per Private Placement Security for an aggregate of $2,350,000 (or $2,425,000 if the over -allotmentoption is exercised in full). The Sponsor will subscribe to purchase 150,000 Private Placement Securities, consisting of (a) 187,500 Private Placement Units and (b) 375,000 Restricted Class A shares, for an aggregate purchase price of $1,500,000. The Private Placement Investor will subscribe to purchase directly from the Company an aggregate of 85,000 Private Placement Securities (or 92,500 Private Placement Securities if the over -allotmentoption is exercised in full), consisting of (a) 106,250 Private Placement Units (or up to 115,625 Private Placement Units if the underwriters’ over -allotmentoption is exercised in full) and (b) 212,500 Restricted Class A shares (or up to 231,250 Restricted Class A shares if the underwriters’ over -allotmentoption is exercised in full), for an aggregate purchase price of $850,000 (or $925,000 if the over -allotmentoption is exercised in full). The proceeds from the sale of the Private Placement Units will be added to the net proceeds from the Proposed Public Offering held in the Trust Account. If the Company does not complete a Business Combination within the Completion Window, the proceeds from the sale of the Private Placement Securities held in the Trust Account will be used to fund the redemption of the Public Shares (subject to the requirements