Company: FUFU
Filing Date: 2025-08-26
Form Type: S-8 POS
Source: 0001213900-25-080502
Chunk: 12

Company: Bitfufu Inc.
Filing Date: 2025-08-26
Form: S-8 POS
Chunk 12
---
 immaterial may also impair our business operations. Our business, financial condition or results of operations could be materially and adversely affected by any of these risks. The trading price and value of our Class A Ordinary Shares could decline due to any of these risks, and you may lose all or part of your investment. This reoffer prospectus also contains forward-looking statements that involve risks and uncertainties. Our actual results could differ materially from those anticipated in these forward-looking statements as a result of certain factors, including the risks faced by us described below and elsewhere in this reoffer prospectus.

<div align='center'>3

USE OF PROCEEDS</div>

All of the Class A Ordinary Shares offered by the Selling Shareholders pursuant to this reoffer prospectus will be sold by the Selling Shareholders for their respective amounts. We will not receive any of the proceeds from these sales.

<div align='center'>4

CAPITALIZATION AND INDEBTEDNESS</div>

The following table sets forth our cash and cash equivalents and our capitalization as of June 30, 2025. The information in this table should be read in conjunction with and is qualified by reference to the financial information thereto and other financial information incorporated by reference into this prospectus, including our financial statements and related notes included in our current reports on Form 6-K and our annual report on Form 20-F, incorporated by reference herein.

| U.S.                                                              
 dollars in thousands (except number of shares and per share data) |     |   |         |
|:------------------------------------------------------------------|:----|:--|--------:|
| Cash and cash equivalents                                         |     | $ |  40,086 |
| Restricted cash and cash equivalents                              |     |   |       — |
| Total Cash                                                        |     | $ |  40,086 |
| Indebtedness:                                                     |     |   |         |
| Long-term loans                                                   |     |   |  40,000 |
| Long-term payables                                                |     |   | 101,301 |
| Total interest-bearing debts                                      |     |   | 141,301 |
| Shareholders’ equity:                                             |     |   |         |
| Ordinary Shares                                                   |     | $ |      16 |
| Additional paid-in capital                                        |     | $ |  88,596 |
| Noncontrolling Interest                                           |     | $ |   5,323 |
| Retained earnings                                                 |     | $ | 108,423 |
| Total shareholders