Company: CRAC
Filing Date: 2025-10-20
Form Type: POS462C
Source: 0001213900-25-100119
Chunk: 14

Company: Crown Reserve Acquisition Corp. I
Filing Date: 2025-10-20
Form: POS462C
Chunk 14
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 Cayman Islands as the same may be amended from time to time; •“equity -linkedsecurities” are to any securities of our Company which are convertible into or exchangeable or exercisable for, ordinary shares of our Company; •“Extension Period” are to both (a) the initial three month automatic extension granted to complete the initial business combination once a business combination agreement is entered into within 12months from the closing of this offering (no redemption rights shall be offered to our public shareholders in connection with any such extension from 12months to 15months if we have executed a business combination agreement for an initial business combination within 12months from the closing of this offering) and (b) any additional extension our shareholders may vote for by special resolution to amend our amended and restated memorandum and articles of association to extend the period of time that we have to consummate the initial business combination; •“founder shares” are to our Class B ordinary shares initially purchased by our sponsor in a private placement prior to this offering and, unless the context otherwise requires, our Class A ordinary shares issued upon the conversion thereof as provided herein; •“initial shareholders” are to the holders of our founder shares prior to this offering; •“letter agreement” refers to the letter agreement, the form of which is filed as an exhibit to the registration statement of which this prospectus forms a part; •“management” or our “management team” are to our officers and directors; •“non -managingsponsor investors” means the ten to fifteen institutional investors (none of which is affiliated with any member of our management, any other member of our sponsor or any other investor) and five to ten individual investors that we anticipate to purchase through the purchase of non -managingsponsor membership interests in the sponsor, an aggregate of 253,125 private placement units (or up to 281,250 if the underwriters’ over -allotmentoption is exercised in full) at a price of $8.00 per unit ($2,025,000 in the aggregate, or $2,250,000 if the over -allotmentis exercised in full) in a private placement that will close simultaneously with the closing of this offering. Subject to each non -managingsponsor investor purchasing, through the sponsor, the private placement units allocated to it in connection with the closing of this offering, the sponsor will issue membership interests to the non -managingsponsor investors at the closing of this offering reflecting interests in an