[8-K] Complete Solaria, Inc. Reports Material Event
Complete Solaria, Inc. entered September 2025 Note Purchase Agreements to privately issue 7.00% Convertible Senior Notes due 2029 with an aggregate principal amount of $22,000,000 and commitments to purchase an additional $225,000. The 7.00% Notes are expected to be issued on or about September 23, 2025 under the Indenture dated September 16, 2024.
The filing describes events of default including missed interest or principal payments, failures to convert, failure to give required notices, certain bankruptcy or insolvency events, and judgments or indebtedness thresholds (notably judgments of $10,000,000 or indebtedness in excess of $10,000,000) that could accelerate obligations. Exhibits include a Membership Interest Purchase Agreement dated September 21, 2025, related seller note and form agreements, and a press release dated September 22, 2025.
Complete Solaria, Inc. ha stipulato a settembre 2025 Accordi di Acquisto di Note per emettere privatamente Note Senior Convertibili al 7,00% con scadenza nel 2029 per un importo principale aggregato di $22,000,000 e impegni a comprare ulteriori $225,000. Le Note al 7,00% dovrebbero essere emesse indicativamente il 23 settembre 2025 ai sensi dell'Indenture datato 16 settembre 2024.
La documentazione descrive eventi di inadempienza tra cui mancati pagamenti di interessi o del capitale, inadempimenti nella conversione, mancata notificazione delle avvertenze richieste, determinati eventi di fallimento o insolvenza, e soglie di giudizi o indebitamenti (in particolare giudizi per $10,000,000 o indebitamenti superiori a $10,000,000) che potrebbero accelerare gli obblighi. Gli allegati includono un Accordo di Acquisto di Quote Sociali datato 21 settembre 2025, una nota del venditore correlata e modelli di accordi, e un comunicato stampa datato 22 settembre 2025.
Complete Solaria, Inc. suscribió en septiembre de 2025 Acuerdos de Compra de Notas para emitir de forma privada Notas Senior Convertibles al 7,00% con vencimiento en 2029 por un monto principal agregado de $22,000,000 y compromisos para comprar un adicional de $225,000. Se espera que las Notas al 7,00% sean emitidas alrededor del 23 de septiembre de 2025 conforme a la Escritura de Fideicomiso fechada el 16 de septiembre de 2024.
La presentación describe eventos de incumplimiento que incluyen pagos fallidos de intereses o principal, fallos en la conversión, failure de entregar avisos requeridos, ciertos eventos de bancarrota o insolvencia, y umbrales de juicios o endeudamiento (notablemente juicios de $10,000,000 o endeudamiento superior a $10,000,000) que podrían acelerar las obligaciones. Los anexos incluyen un Acuerdo de Compra de Intereses de Miembros fechado el 21 de septiembre de 2025, una nota del vendedor relacionada y modelos de acuerdos, y un comunicado de prensa fechado el 22 de septiembre de 2025.
Complete Solaria, Inc.는 2025년 9월에 비공개로 7.00% 전환 가능한 시니어 노트(만기 2029)를 발행하기 위한 노트 매입 계약에 서명했고, 총 principal 금액은 $22,000,000이며 추가로 $225,000를 매입하기로 약정했습니다. 7.00% 노트는 2024년 9월 16일에 체결된 인듀어런스에 따라 2025년 9월 23일경 발행될 예정입니다.
파일에는 이자 또는 원금 미지급, 전환 실패, 필요한 통지 미전달, 특정 파산 또는 지급불능 사건, 그리고 $10,000,000의 재판 또는 $10,000,000을 초과하는 부채와 같은 기준이 포함된 채무의 가속화 가능성에 대한 디폴트 이벤트가 설명되어 있습니다. 부속문서로는 2025년 9월 21일자 회원지분 매입계약(Membership Interest Purchase Agreement), 관련 매도인 어음 및 양식 계약서, 그리고 2025년 9월 22일자 보도자료가 포함되어 있습니다.
Complete Solaria, Inc. a conclu sept. 2025 des accords d’achat de notes pour émettre privatement des Obligations Senior Convertibles à 7,00 % arrivant à échéance en 2029, d’un montant principal aggregate de $22,000,000 et des engagements d’acheter un montant additionnel de $225,000. Les obligations à 7,00 % devraient être émises vers le 23 septembre 2025 selon l’Indenture daté du 16 septembre 2024.
Le dossier décrit des événements de défaut, notamment paiements d’intérêts ou du principal manqués, échecs de conversion, manquement à délivrer les avis requis, certains événements de faillite ou d’insolvabilité, et des seuils de jugements ou d’endettement (notamment des jugements de $10,000,000 ou un endettement supérieur à $10,000,000) qui pourraient accélérer les obligations. Les pièces jointes comprennent un Accord d’Achat d’Intérêts de Membres daté du 21 septembre 2025, une note du vendeur associée et des modèles d’accords, ainsi qu’un communiqué de presse daté du 22 septembre 2025.
Complete Solaria, Inc. hat im September 2025 Kaufverträge für Anleihen-Noten abgeschlossen, um privat 7,00%-Convertible Senior Notes mit Fälligkeit 2029 auszugeben, mit einem Gesamtnennbetrag von $22,000,000 und Verpflichtungen zum Kauf von zusätzlich $225,000. Die 7,00%-Notes sollen voraussichtlich rund um den 23. September 2025 gemäß dem am 16. September 2024 datierten Vertrag ausgegeben werden.
Die Unterlagen beschreiben Eventualitäten bei Verzug, einschließlich versäumter Zins- oder Kapitalzahlungen, Nichterfüllung der Umwandlung, Versäumung der erforderlichen Mitteilungen, bestimmte Insolvenz- oder Zahlungsunfähigkeitsereignisse und Schwellenwerte bei Gerichtsentscheidungen oder Verschuldung (insbesondere Urteile in Höhe von $10,000,000 oder eine Verschuldung über $10,000,000), die Verpflichtungen beschleunigen könnten. Anlagen umfassen eine Membership Interest Purchase Agreement vom 21. September 2025, dazugehörige Verkäufernote und Formverträge sowie eine Pressemitteilung vom 22. September 2025.
Complete Solaria, Inc. قد دخلت في اتفاقيات شراء سندات في سبتمبر 2025 لإصدار سري لسندات رفيعة المستوى قابلة للتحويل بنسبة 7.00% تستحق في 2029 بمبلغ رئيسي إجمالي قدره $22,000,000 والتزامات بشراء مبلغ إضافي قدره $225,000. من المتوقع إصدار سندات بنسبة 7.00% في أو حوالي 23 سبتمبر 2025 بموجب صك الإلتزام المؤرخ 16 سبتمبر 2024.
يصف الملف أحداث التخلف بما في ذلك فقدان مدفوعات الفوائد أو principal، فشل التحويل، فشل في تقديم الإخطارات المطلوبة، وبعض أحداث الإفلاس أو العجز، وحدود الأحكام أو الدين (خاصة أحكام قدرها $10,000,000 أو دين يتجاوز $10,000,000) التي قد تسرع الالتزامات. وتتضمن الملاحق اتفاق شراء مصلحة العضوية المؤرخ في 21 سبتمبر 2025، وسند البائع ذي الصلة ونماذج الاتفاقات، وبيان صحفي بتاريخ 22 سبتمبر 2025.
Complete Solaria, Inc. 已在2025年9月签署了备置购 Note 的协议,以私下发行年利率7.00%、到期日为2029年的高级可转换债券,总本金额为$22,000,000,并承诺再购买额外的$225,000。预计在 2025年9月23日左右,根据日期为 2024年9月16日的契约发行这些7.00% 的票据。
备案描述了默认事件,包括错过的利息或本金支付、未能进行转换、未能发出所需通知、某些破产或资不抵债事件,以及判决或负债阈值(特别是判决金额为$10,000,000或负债超过$10,000,000),这些可能加速义务的履行。附录包括日期为 2025年9月21日的成员权益购买协议、相关卖家票据和表格协议,以及日期为 2025年9月22日的新闻稿。
- $22,000,000 aggregate principal raised via 7.00% Convertible Senior Notes, providing immediate capital
- Additional commitments to purchase $225,000 of notes, indicating investor demand
- Execution of a Membership Interest Purchase Agreement dated September 21, 2025, signaling completed transactional steps and related documentation
- Notes include events of default that could accelerate obligations, including missed interest or principal and failure to convert within specified cure periods
- Cross-default exposure for existing or future indebtedness exceeding $10,000,000 could trigger acceleration
- Final judgments totaling $10,000,000 or more (not covered by insurance) could lead to default if not resolved within specified periods
Insights
TL;DR: Company secured a $22.0M convertible note financing and related contractual protections; this materially affects liquidity and capital structure.
The private issuance of $22.0 million of 7.00% convertible senior notes (plus $225k committed) represents a meaningful near-term capital infusion for the company. The coupon at 7.00% and convertibility terms (as governed by the Indenture) will affect interest expense and potential equity dilution upon conversion. The filing highlights standard and specific events of default, including cross-default triggers for indebtedness greater than $10.0 million and judgments of $10.0 million, which could accelerate repayment obligations and pose liquidity risk if breached. Exhibits point to a related asset purchase transaction executed September 21, 2025, which may be linked to strategic operations or asset consolidation.
TL;DR: Financing and a Membership Interest Purchase Agreement indicate concurrent capital raise and a transaction, both materially important to corporate strategy.
The inclusion of a Membership Interest Purchase Agreement dated September 21, 2025, alongside the note purchase agreements suggests simultaneous transactional activity and financing to support that activity. The structure—convertible senior notes under an existing Indenture—balances debt servicing with conversion optionality for holders. Key contract provisions disclosed (make-whole/fundamental change notice, conversion compliance, and cure periods) preserve purchaser protections and define timing sensitivities that management must manage carefully during post-closing integration of acquired interests.
Complete Solaria, Inc. ha stipulato a settembre 2025 Accordi di Acquisto di Note per emettere privatamente Note Senior Convertibili al 7,00% con scadenza nel 2029 per un importo principale aggregato di $22,000,000 e impegni a comprare ulteriori $225,000. Le Note al 7,00% dovrebbero essere emesse indicativamente il 23 settembre 2025 ai sensi dell'Indenture datato 16 settembre 2024.
La documentazione descrive eventi di inadempienza tra cui mancati pagamenti di interessi o del capitale, inadempimenti nella conversione, mancata notificazione delle avvertenze richieste, determinati eventi di fallimento o insolvenza, e soglie di giudizi o indebitamenti (in particolare giudizi per $10,000,000 o indebitamenti superiori a $10,000,000) che potrebbero accelerare gli obblighi. Gli allegati includono un Accordo di Acquisto di Quote Sociali datato 21 settembre 2025, una nota del venditore correlata e modelli di accordi, e un comunicato stampa datato 22 settembre 2025.
Complete Solaria, Inc. suscribió en septiembre de 2025 Acuerdos de Compra de Notas para emitir de forma privada Notas Senior Convertibles al 7,00% con vencimiento en 2029 por un monto principal agregado de $22,000,000 y compromisos para comprar un adicional de $225,000. Se espera que las Notas al 7,00% sean emitidas alrededor del 23 de septiembre de 2025 conforme a la Escritura de Fideicomiso fechada el 16 de septiembre de 2024.
La presentación describe eventos de incumplimiento que incluyen pagos fallidos de intereses o principal, fallos en la conversión, failure de entregar avisos requeridos, ciertos eventos de bancarrota o insolvencia, y umbrales de juicios o endeudamiento (notablemente juicios de $10,000,000 o endeudamiento superior a $10,000,000) que podrían acelerar las obligaciones. Los anexos incluyen un Acuerdo de Compra de Intereses de Miembros fechado el 21 de septiembre de 2025, una nota del vendedor relacionada y modelos de acuerdos, y un comunicado de prensa fechado el 22 de septiembre de 2025.
Complete Solaria, Inc.는 2025년 9월에 비공개로 7.00% 전환 가능한 시니어 노트(만기 2029)를 발행하기 위한 노트 매입 계약에 서명했고, 총 principal 금액은 $22,000,000이며 추가로 $225,000를 매입하기로 약정했습니다. 7.00% 노트는 2024년 9월 16일에 체결된 인듀어런스에 따라 2025년 9월 23일경 발행될 예정입니다.
파일에는 이자 또는 원금 미지급, 전환 실패, 필요한 통지 미전달, 특정 파산 또는 지급불능 사건, 그리고 $10,000,000의 재판 또는 $10,000,000을 초과하는 부채와 같은 기준이 포함된 채무의 가속화 가능성에 대한 디폴트 이벤트가 설명되어 있습니다. 부속문서로는 2025년 9월 21일자 회원지분 매입계약(Membership Interest Purchase Agreement), 관련 매도인 어음 및 양식 계약서, 그리고 2025년 9월 22일자 보도자료가 포함되어 있습니다.
Complete Solaria, Inc. a conclu sept. 2025 des accords d’achat de notes pour émettre privatement des Obligations Senior Convertibles à 7,00 % arrivant à échéance en 2029, d’un montant principal aggregate de $22,000,000 et des engagements d’acheter un montant additionnel de $225,000. Les obligations à 7,00 % devraient être émises vers le 23 septembre 2025 selon l’Indenture daté du 16 septembre 2024.
Le dossier décrit des événements de défaut, notamment paiements d’intérêts ou du principal manqués, échecs de conversion, manquement à délivrer les avis requis, certains événements de faillite ou d’insolvabilité, et des seuils de jugements ou d’endettement (notamment des jugements de $10,000,000 ou un endettement supérieur à $10,000,000) qui pourraient accélérer les obligations. Les pièces jointes comprennent un Accord d’Achat d’Intérêts de Membres daté du 21 septembre 2025, une note du vendeur associée et des modèles d’accords, ainsi qu’un communiqué de presse daté du 22 septembre 2025.
Complete Solaria, Inc. hat im September 2025 Kaufverträge für Anleihen-Noten abgeschlossen, um privat 7,00%-Convertible Senior Notes mit Fälligkeit 2029 auszugeben, mit einem Gesamtnennbetrag von $22,000,000 und Verpflichtungen zum Kauf von zusätzlich $225,000. Die 7,00%-Notes sollen voraussichtlich rund um den 23. September 2025 gemäß dem am 16. September 2024 datierten Vertrag ausgegeben werden.
Die Unterlagen beschreiben Eventualitäten bei Verzug, einschließlich versäumter Zins- oder Kapitalzahlungen, Nichterfüllung der Umwandlung, Versäumung der erforderlichen Mitteilungen, bestimmte Insolvenz- oder Zahlungsunfähigkeitsereignisse und Schwellenwerte bei Gerichtsentscheidungen oder Verschuldung (insbesondere Urteile in Höhe von $10,000,000 oder eine Verschuldung über $10,000,000), die Verpflichtungen beschleunigen könnten. Anlagen umfassen eine Membership Interest Purchase Agreement vom 21. September 2025, dazugehörige Verkäufernote und Formverträge sowie eine Pressemitteilung vom 22. September 2025.