Company: XHG
Filing Date: 2025-10-29
Form Type: F-3/A
Source: 0001213900-25-103499
Chunk: 93

Company: XChange TEC.INC
Filing Date: 2025-10-29
Form: F-3/A
Chunk 93
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 any, to extend the maturity of the debt securities; |

| ● | the rate or rates (which may                                                                                                                
 be fixed or variable) per annum or the method used to determine the rate or rates (including any commodity, commodity index, stock exchange 
 index or financial index) at which the debt securities will bear interest, the date or dates from which interest will accrue, the date      
 or dates on which interest will be payable and any regular record date for any interest payment date;                                       |

| ● | the place or places where the                                                                                                                
 principal of, premium, and interest on the debt securities will be payable, and where the debt securities of the series that are convertible 
 or exchangeable may be surrendered for conversion or exchange;                                                                               |

| ● | any obligation or right we                                                                                                                 
 have to redeem the debt securities pursuant to any sinking fund or analogous provisions or at the option of holders of the debt securities 
 or at our option, and the terms and conditions upon which we are obligated to or may redeem the debt securities;                           |

| ● | any obligation we have to repurchase                                                                                                        
 the debt securities at the option of the holders of debt securities, the dates on which and the price or prices at which we will repurchase 
 the debt securities and other detailed terms and provisions of these repurchase obligations;                                                |

| ● | the denominations in which          
 the debt securities will be issued; |

| ● | whether the debt securities                                                           
 will be issued in the form of certificated debt securities or global debt securities; |

| ● | the portion of principal amount                                                                                           
 of the debt securities payable upon declaration of acceleration of the maturity date, if other than the principal amount; |

| ● | the currency of denomination 
 of the debt securities;      |

| ● | the designation of the currency,                                                                                         
 currencies or currency units in which payment of principal of, premium and interest on the debt securities will be made; |

| ● | if payments of principal of,                                                                                                           
 premium or interest on, the debt securities will be made in one or more currencies or currency units other than that or those in which 
 the debt securities are denominated, the manner in which the exchange rate with respect to these payments will be determined;          |

| ● | the manner in which the amounts                                                                                                             
 of payment of principal of, premium or interest on, the debt securities will be determined, if these amounts may be determined by reference 
 to an index based on a currency or currencies other than that in