Company: TGNT
Filing Date: 2025-05-07
Form Type: S-1/A
Source: 0001477932-25-003416
Chunk: 31

Company: Totaligent, Inc.
Filing Date: 2025-05-07
Form: S-1/A
Chunk 31
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 cash flows.

Our stock price may be volatile, and purchasers of our common stock could incur substantial losses.

The stock market in general has experienced significant price and volume fluctuations that have often been unrelated or disproportionate to operating performance of individual companies, particularly following a public offering of a company with a small public float. There is the potential for rapid and substantial price volatility of our common stock. Broad market factors may seriously harm the market price of our common stock, regardless of our actual or expected operating performance and financial condition or prospects, which may make it difficult for investors to assess the rapidly changing value of our common stock. Additionally, the price and volume of our common stock may fluctuate significantly as a result of the following factors:

| ● | quarterly variations in our operating results compared to market expectations; |

| ● | adverse publicity about us, the industries we participate in or individual scandals; |

| ● | announcements of new offerings or significant price reductions by us or our competitors; |

| ● | fluctuations in stock market prices and volumes; |

| ● | changes in senior management or key personnel; |

| ● | changes in financial estimates by securities analysts; |

| ● | the market’s reaction to our reduced disclosure as a result of being an “emerging growth company” under the JOBS Act; |

| ● | negative earnings or other announcements by us or our competitors; |

| ● | defaults on indebtedness, incurrence of additional indebtedness, or issuances of additional capital stock; |

| ● | global economic, legal and regulatory factors unrelated to our performance; and |

| ● | the other factors listed in this “Risk Factors” section. |

If securities or industry analysts do not publish research or publish inaccurate or unfavorable research about our business, the market price for the shares and trading volume could decline.

The trading market for our common stock will depend in part on the research and reports that securities or industry analysts publish about us or our business. If research analysts do not establish and maintain adequate research coverage or if one or more of the analysts who covers us downgrades our common stock or publishes inaccurate or unfavorable research about our business, the market price for our common stock would likely decline. If one or more of these analysts cease coverage of our company or fail to publish reports on us regularly, we could lose visibility in the financial markets, which, in turn, could cause the market price or trading volume for our common stock to decline.

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We have never paid cash dividends on our stock and do not intend to pay dividends for the