Company: RNGE
Filing Date: 2025-03-31
Form Type: 424B3
Source: 0001641172-25-001863
Chunk: 112

Company: RANGE IMPACT, INC.
Filing Date: 2025-03-31
Form: 424B3
Chunk 112
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 approved Rule 10b5-1 trading plan, pre-clearing all          
 transactions involving the Company’s securities by those individuals that have been                
 identified and informed by the Company in order to determine compliance with this Policy,          
 insider trading laws, Section 16 of the Exchange Act and Rule 144 promulgated under the Securities 
 Act of 1933, as amended.                                                                           |

| B. | Serving                                                                                       
 as the designated recipient at the Company of copies of reports filed with the SEC by Section 
 16 Individuals under Section 16 of the Exchange Act.                                          |

| C. | Periodically                                                                                      
 reminding all Section 16 Individuals regarding their obligations to report and periodic reminders 
 of the dates that the Blackout Periods described in this Policy begins and ends.                  |

| D. | Performing                                                                                   
 periodic cross-checks of available materials, which may include Forms 3, 4 and 5, Forms 144, 
 officer’s and director’s questionnaires, and reports received from the Company’s             
 stock administrator and transfer agent, to determine trading activity by Executive Officers, 
 directors and others who have, or may have, access to Inside Information.                    |

| E. | Circulating                                                                                    
 this Policy (and/or a summary thereof) to all employees, including Section 16 Individuals      
 and providing this Policy and other appropriate materials to new Executive Officers, directors 
 and others who have, or may have, access to Inside Information.                                |

| F. | Assisting                                         
 the Company in the implementation of this Policy. |

| G. | Coordinating                                                                                 
 with Company counsel regarding compliance activities with respect to Rule 144 requirements   
 and regarding changing requirements and recommendations for compliance with Section 16 of    
 the Exchange Act and insider trading laws to ensure that this Policy is amended as necessary 
 to comply with such requirements.                                                            |

<div align='center'>Inquiries</div>

This Policy is not intended to provide an exhaustive list of either the Material Nonpublic Information that Executive Officers, directors, employees, consultants or contractors may have about the Company (or other public companies) or the appropriate procedures for safeguarding Material Nonpublic Information. Any questions with respect to the applicability of this Policy to any information or transaction should be directed to the Company’s Insider Trading Compliance Officer.

| -7- |

Exhibit 21.1

<div align='center'>Subsidiaries</div>

| Name                          |     | State            
 of Incorporation |
| CLV                           
 Azurite Land,