Company: TLGYF
Filing Date: 2025-09-29
Form Type: S-4
Source: 0001213900-25-092592
Chunk: 356

Company: TLGY ACQUISITION CORP
Filing Date: 2025-09-29
Form: S-4
Chunk 356
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 cash prior to, or upon, the closing of the Business Combination. Amount represents the costs of financial advisory, legal, and other professional services, in connection with the Business Combination. (iii)Represents the settlement of convertible promissory notes from the former sponsor to TLGY in the amount of $2.9 million and the settlement of convertible promissory notes from the current Sponsor to TLGY in the amount of $3.0 million. TLGY has assumed that convertible promissory notes will be settled in cash, rather than converted to StablecoinX warrants. (iv)Amount represents the cash proceeds from shares sold to the Initial PIPE investors in the amount of $2.5 million. (v)Amount represents the cash proceeds from shares sold to the Additional PIPE investors in the amount of $16.0 million.

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(B) Cash and Investments held in Trust Account —Represents the reclassification of the funds associated with the Investments held in the Trust Account that become available at the closing of the Business Combination (after giving effect to the assumed no redemptions scenario, the assumed 50% redemptions scenario, and the assumed maximum redemptions scenario) and the impact of the redemption of TLGY’s Class A Redeemable Common Stock under the assumed no redemptions scenario, the assumed 50% redemptions scenario, and the assumed maximum redemptions scenario.

| Description                                                     |     | Note     |     | Assuming No 
 Redemptions |            |   |     | Assuming 50% 
 Redemptions  |            |   |     | Assuming Maximum 
 Redemptions      |            |   |
|:----------------------------------------------------------------|:----|:---------|:----|:------------|:-----------|:--|:----|:-------------|:-----------|:--|:----|:-----------------|:-----------|:--|
| Redemption of TLGY Class A Ordinary Shares                      |     | 4(B)(i)  |     | $           | —          |   |     | $            | (3,036,300 | ) |     | $                | (6,072,600 | ) |
| Reclassification of funds held in the Trust Account             |     | 4(B)(ii) |     |             | (6,072,600 | ) |     |              | (3,036,300 | ) |     |                  | —          |   |
| Pro Forma Adjustment-Cash and Investments held in trust account