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MyndTec Inc. Capital/Financing Update 2026

Feb 6, 2026

48176_rns_2026-02-06_b69057c7-07d4-41d2-96f2-6c1cf9f1f7a3.pdf

Capital/Financing Update

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FORM 72-503F REPORT OF DISTRIBUTIONS OUTSIDE CANADA

1. Full name, address and telephone number of the Issuer.

a) Full name of issuer
MyndTec Inc. / MyndTec Inc
b) Head office add ress
Street address 1900 Minnesota Crt., Suite 122 Province/State Ontario
Municipality Mississauga Postal code/Zip code L5N 3C9
Country Canada Telephone number +1 (416) 569-0430
c) Full legal name(s s) of co-issuer(s) (if applicable)

2. Type of security, the aggregate number or amount distributed and the aggregate purchase price.

Types of security distributed

Provide the following information for all distributions of securities relying on an exemption from section 2.3 or 2.4 of the Rule on a per security basis. Refer to the Instructions for how to indicate the security code. If providing the CUSIP number, indicate the full 9-digit CUSIP number assigned to the security being distributed.

Canadiar 1\$
Security code CUSIP
number (if
applicable)
Description of security Number of securities Single or
lowest
price
Highest
price
Total amount
UBS 1 common share and one half co
mmon share purchase wnt price
\$0.24 per Warrant Share until Feb
4 2029
650,970.0000 \$0.2000 \$0.2000 \$130,194.0000

Details of rights and convertible/exchangeable securities

If any rights (e.g. warrants, options) were distributed, provide the exercise price and expiry date for each right. If any convertible/exchangeable securities were distributed, provide the conversion ratio and describe any other terms for each convertible/exchangeable security.

Security code Underlying security Exercise price (Canadian \$) Expiry date (YYYY-MM-DD) Conversion ratio Describe other terms (if applicable)
code code Lowest Highest аррпсавіе)
WNT CMS \$0.2400 \$0.2400 2029-02-04 1:1 Each whole Warrant is exerc isable to acquire one Comm on Share (each, a "Warrant Share") at an exercise price of \$0.24 per Warrant Share until Feb 4, 2029.

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Date of distribution(s). 3.

Distribution date

State the distribution start and end dates. If the report is being filed for securities distributed on only one distribution date, provide the distribution date as both the start and end dates. If the report is being filed for securities distribued on a continuous basis, include the start and end dates for the distribution period covered by the report.

Start date 2026 02 04 End date 2026 02 04
YYYY MM DD YYYY MM DD

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underwriter that is acting as agent) in connection with the distribution(s) of the securities.
Dealer or underwriter information
Full legal name
Street address
Municipality Province/State
Country Postal code/Zip code
Telephone number Website (if applicable)

State the name and address of any person acting as dealer or underwriter (including an

4.

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Certification 5.

Certification

Provide the following certification and business contact information of an officer, director or agent of the issuer. If the issuer is not a company, an individual who performs functions similar to that of a director or officer may certify the report. For example, if the issuer is a trust, the report may be certified by the issuer's trustee. If the issuer is an investment fund, a director or officer of the investment fund manager (or, if the investment fund manager is not a company, an individual who performs similar functions) may certify the report if the director or officer has been authorized to do so by the investment fund.

The certification may be delegated, but only to an agent that has been authorized by an officer or director of the issuer to prepare and certify the report on behalf of the issuer. If the report is being certified by an agent on behalf of the issuer, provide the applicable information for the agent in the boxes below.

The signature on the report must be in typed form rather than handwritten form. The report may include an electronic signature provided the name of the signatory is also in typed form.

Securities legislation requires an issuer that makes a distribution of securities under certain prospectus exemptions to file a completed report of exempt distribution.

By completing the information below, I certify, on behalf of the issuer/investment fund manager, to the securities regulatory authority or regulator, as applicable, that I have reviewed this report and to my knowledge, having exercised reasonable diligence, the information provided in this report is true and, to the extent required, complete.

Name of Issuer/ investment
fund manager/agent MyndTec Inc.
Full legal name LEON Craig
Family name First given name Secondary given names
Title Chief Executive Officer
Telephone number +1 (416) 569-0430 Email address [email protected]
Signature /s/ "Craig Leon" Date 2026
02
06
YYYY
MM
DD