Company: SMNR
Filing Date: 2025-07-23
Form Type: S-4/A
Source: 0001193125-25-163401
Chunk: 775

Company: Semnur Pharmaceuticals, Inc.
Filing Date: 2025-07-23
Form: S-4/A
Chunk 775
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 redeemed prior to any such one-monthextension, unless the closing of the Company’s initial business combination has occurred, in exchange for a non-interestbearing promissory note payable upon consummation of an initial business combination. In connection with the extraordinary general meeting on April 11, 2025, shareholders holding 708,098public shares exercised their right to redeem such shares for a pro rata portion of the funds in the Company’s Trust Account. As a result, approximately $ 8.6million (approximately $ 12.17per share) was removed from the Trust Account to pay such holders. Following redemptions, the Company had 43,739public shares outstanding. On April 11, 2025 andMay 9, 2025, Scilex deposited an aggregate of $ 1,750, drawn down from the Extension Scilex Convertible Promissory Note, to the Trust Account to extend the time the Company has to consummate an initial business combination from April 11, 2025 to June 11, 2025. On June 11, 2025, Scilex deposited an additional $ 874.78, drawn down from the Extension Scilex Convertible Promissory Note, to the Trust Account to extend the time the Company has to consummate an initial business combination to July 11, 2025 . On July 11, 2025, Scilex deposited an additional $ 874.78, drawn down from the Extension Scilex Convertible Promissory Note, to the Trust Account to extend the time the Company has to consummate an initial business combination to August 11, 2025. F-33

DENALI CAPITAL ACQUISITION CORP. CONDENSED CONSOLIDATED BALANCE SHEETS

| Assets                                                                                                                                                                                                                                                        |     | March 31,2025 
 (Unaudited)   |             |   |     | December 31,2024 |             |   |
|:--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------|:----|:--------------|------------:|:--|:----|:-----------------|------------:|:--|
| Cash on hand                                                                                                                                                                                                                                                  |     | $             |       2,736 |   |     | $                |      16,868 |   |
| Total current assets                                                                                                                                                                                                                                          |     |               |       2,736 |   |     |                  |      16,868 |   |
| Cash