Citrine Global Corp announced that it has entered into an securities purchase agreements, pursuant to which the company agreed to issued promissory notes in the principal amount of $63,250 and received $55,000 in gross proceeds due to the original issue discount on February 9, 2024. The transaction will include participation from new lender, 1800 Diagonal Lending, LLC. The Note bears a one-time interest charge of 15% per annum, payable with outstanding principal in nine (9) payments of $8,081.89 for a total payback to the Lender of $72,737.00.

The Note is due in full on November 15, 2024. Any amount of the principal or interest on the Note which is not paid when due is subject to a default interest at the rate of twenty two percent (22%) per annum from the due date until the same is paid.