Company: BLNE
Filing Date: 2025-10-21
Form Type: S-1
Source: 0001493152-25-018826
Chunk: 14

Company: Beeline Holdings, Inc.
Filing Date: 2025-10-21
Form: S-1
Chunk 14
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 capital and cash flows for continued operations for at least the next 12 months, which raises a risk of our potential inability to continue as a going concern. Our continued existence is dependent upon our obtaining the necessary capital to meet our expenditures, and we can provide no assurance that we will be able to raise adequate capital to meet our future working capital needs.

The market price of our shares of common stock is subject to volatility, which could result in substantial losses to investors.

The market price of shares of our common stock may fluctuate and has fluctuated significantly in response to factors, some of which are beyond our control, including:

| ● | the                                             
 impact of interest rates on Beeline’s business; |

| ● | our        
 liquidity; |

| ● | our                                      
 common stock remaining listed on Nasdaq; |

| ● | expansion        
 of our business; |

| ● | our                                                          
 success in implanting our SaaS and BeelineEQUITY businesses; |

| ● | our                                                   
 ability to increase our business and reduce expenses; |

| ● | actual                                          
 or anticipated variations in operating results; |

| ● | additions                                                        
 or departures of key personnel including our executive officers; |

| ● | the                                                                                        
 impact of geopolitical conflicts like the wars in Ukraine and Israel and the actions taken 
 by the Trump administration on the economy including tariffs;                              |

| ● | the                                             
 possibility of a recession or market down-turn; |

| ● | cybersecurity                                                        
 attacks or data privacy issues involving our products or operations; |

| ● | announcements                                                                                 
 by us or our competitors of significant acquisitions, strategic partnerships, joint ventures, 
 capital commitments, significant contracts, or other material developments that may affect    
 our prospects;                                                                                |

| ● | adverse                     
 regulatory developments; or |

| ● | general                                                                     
 market conditions including factors unrelated to our operating performance. |

| 9 |

Recently, the stock market, in general, has experienced extreme price and volume fluctuations due to, among other factors, concerns involving the actions of the Trump administration, rate of inflation, the Federal Reserve decisions on interest rates particularly in the short term, the impact of tariffs and trade wars and the outcome of the tariff litigation, supply chain shortages, recession fears, and geopolitical turmoil including the wars in Ukraine and the Middle East. The ongoing discourse on the conflicts in Ukraine and Israel are evidence of the political uncertainties. These and other factors have contributed to extreme volatility in the stock market thus far in 2025. Continued market fluctuations could result in