Company: TOP
Filing Date: 2025-04-30
Form Type: POS AM
Source: 0001213900-25-037641
Chunk: 57

Company: TOP Financial Group Ltd
Filing Date: 2025-04-30
Form: POS AM
Chunk 57
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 to issue additional debt securities of the same series; |

| ● | the price or prices at which we will sell the debt securities; |

| ● | the maturity date or dates of the debt securities on which principal 
 will be payable;                                                     |

| ● | the rate or rates of interest, if any, which may be fixed or variable,                                    
 at which the debt securities will bear interest, or the method of determining such rate or rates, if any; |

| ● | the date or dates from which any interest will accrue or the method 
 by which such date or dates will be determined;                     |

| ● | the conversion                                       
 price at which the debt securities may be converted; |

| ● | the date on which the right                                                               
 to convert the debt securities will commence and the date on which the right will expire; |

| ● | if applicable, the minimum                                                  
 or maximum amount of debt securities that may be converted at any one time; |

| ● | the right, if any, to extend the interest payment periods and the duration                                                   
 of any such deferral period, including the maximum consecutive period during which interest payment periods may be extended; |

| ● | whether the amount of payments of principal of (and premium, if any)                                                                       
 or interest on the debt securities may be determined with reference to any index, formula or other method, such as one or more currencies, 
 commodities, equity indices or other indices, and the manner of determining the amount of such payments;                                   |

| ● | the dates on which we will pay interest on the debt securities and                                            
 the regular record date for determining who is entitled to the interest payable on any interest payment date; |

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| ● | the place or places where the principal of (and premium, if any) and                                                               
 interest on the debt securities will be payable, where any securities may be surrendered for registration of transfer, exchange or 
 conversion, as applicable, and notices and demands may be delivered to or upon us pursuant to the indenture;                       |

| ● | if we possess the option to do so, the periods within                                                                             
 which and the prices at which we may redeem the debt securities, in whole or in part, pursuant to optional redemption provisions, 
 and the other terms and conditions of any such provisions;                                                                        |

| ● | our obligation, if any, to redeem, repay or purchase                                                                                
 debt securities by making periodic payments to a sinking fund or through an analogous provision or at