Company: VSA
Filing Date: 2025-11-13
Form Type: 424B5
Source: 0001213900-25-109735
Chunk: 171

Company: VisionSys AI Inc
Filing Date: 2025-11-13
Form: 424B5
Chunk 171
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 the debt securities, including, among other things, the following:

| ● | the title of the debt securities; |

| ● | the price or prices (expressed as a percentage of the aggregate 
 principal amount) at which we will sell the debt securities;    |

| ● | any limit on the aggregate principal amount of the debt securities; |

| ● | the date or dates on which we will repay the principal on the                         
 debt securities and the right, if 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;                                                        |

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| ● | 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