In a Current Report on Form 8-K filed on April 2, 2025, we disclosed that on March 31, 2025, the Company entered into a First Amended and Restated Discretionary Convertible Revolving Line Of Credit D…
On May 24, 2023, the Company entered into a short term note payable with a premium finance company to fund their technology services and cyber liability insurance.
opinion can significantly influence our business. Unfavorable publicity regarding us, for example, our product changes, product quality, litigation, or regulatory activity, or regarding the actions o…
. The Note matures on November 4, 2023 , at which time the outstanding principal amount under the Note, along with a flat funding fee of $ 160,000 is due and payable in full at loan maturity. In conn…
opinion can significantly influence our business. Unfavorable publicity regarding us, for example, our product changes, product quality, litigation, or regulatory activity, or regarding the actions o…
r pursuant to subsequent registration of shares of common stock of present stockholders, may have a depressive effect upon the price of the common stock in any market that may develop. FINRA sales pr…
VIP Play, Inc. Debt Obligations
Instrument
Description
Confidence
Evidence
VIPZ-DEBT
Debt stack $28.6M
90%
Market cache reports total debt of $28.6M.
VIPZ-DEBT-13358
Xbrl Convertible
90%
xbrl convertible detail from xbrl 2024-12-31.
VIPZ-DEBT-13357
Warrants outstanding: 4000000
90%
xbrl warrant detail from xbrl 2025-06-30.
VIP Play, Inc. Acquisitions
No acquisitions on recordNo completed or pending acquisitions found in our database for VIP Play, Inc..
VIP Play, Inc. Ownership
No ownership data on recordNo major institutional ownership relationships found in our database for VIP Play, Inc..
VIP Play, Inc. Extended Supply Chain Network
No secondary connectionsNo correlated companies found through shared supply chain relationships.