# Reg A Offering Statements - Form 1-A API Reference | SEC API > Complete API reference for the SEC EDGAR Reg A Offering Statements API covering Form 1-A. Every request parameter, every searchable field and every response attribute, with types, constraints and a live example response. Source: https://sec-api.io/api-reference/form-1a Offerings and capital raises POST`https://api.sec-api.io/reg-a/form-1a` Search the notification part, Part I, of every Form 1-A offering statement published on SEC EDGAR since June 2015, including the 1-A/A and 1-A POS amendments and the 1-A-W withdrawals. The API returns the issuer details, the offering terms and the reported financials as structured JSON, and new filings are searchable 300 milliseconds after EDGAR publishes them. [Read the guide for this API →](https://sec-api.io/docs/reg-a-offering-statements-api) ## Authentication Send the API key either as a header or as a query parameter. The header is preferred; the query parameter exists for cases where a header cannot be set, such as opening a URL directly in a browser. Authorization: required header The API key on its own. Do not prefix it with Bearer or any other word. Example `Authorization: YOUR_API_KEY` token: optional query parameter The API key, appended to the URL. Use this only when a header is not possible. ## Request body A JSON object. Content-Type must be application/json. query: required string The search expression in Lucene syntax, written as field:value. Every field listed under Searchable fields can be used, combined with AND, OR, ranges and wildcards. Example `employeesInfo.yearIncorporation:"2017"` from: string, Maximum 10000 Index of the first result to return, used for pagination. Increment by the value of size to page through results. Default `"0"` size: string, Maximum 50 Number of Form 1-A filings to return in one response. Default `"50"` sort: array of object Sort order. Each item maps one field to an order object, for example [{ "filedAt": { "order": "desc" } }]. Default `[{ "filedAt": { "order": "desc" } }]` order: string Either asc or desc. ## Searchable fields Every field below can be used inside query. 117 fields are searchable, and they match the structure of the objects returned in the response. | Field | Description | | --- | --- | | `accessionNo` | Unique EDGAR accession number, e.g. "0001731122-24-001065" | | `fileNo` | EDGAR file number tying related filings together (e.g. "024-12457") | | `formType` | Form type — "1-A", "1-A/A", "1-A POS", "1-A-W", "1-K", "1-K/A", "1-Z", "1-Z/A" | | `filedAt` | Date the filing was accepted by EDGAR | | `periodOfReport` | Reporting period covered by the filing (fiscal year end on annual reports) | | `cik` | Issuer CIK (leading zeros removed) | | `ticker` | Issuer ticker symbol at time of filing (if any) | | `companyName` | Issuer legal name | | `employeesInfo.issuerName` | Issuer registered name | | `employeesInfo.jurisdictionOrganization` | Jurisdiction of incorporation (state / country) | | `employeesInfo.yearIncorporation` | Year of incorporation | | `employeesInfo.sicCode` | Issuer SIC code | | `employeesInfo.irsNum` | IRS Employer Identification Number | | `employeesInfo.fullTimeEmployees` | Full-time employee count | | `employeesInfo.partTimeEmployees` | Part-time employee count | | `issuerInfo.city` | Issuer city | | `issuerInfo.stateOrCountry` | Issuer state / country | | `issuerInfo.zipCode` | Issuer ZIP / postal code | | `issuerInfo.industryGroup` | Industry group — Banking, Insurance, Other | | `issuerInfo.totalAssets` | Total assets (USD) | | `issuerInfo.totalRevenues` | Total revenues (USD) | | `issuerInfo.netIncome` | Net income (USD) | | `issuerInfo.totalLiabilities` | Total liabilities (USD) | | `issuerInfo.totalStockholderEquity` | Total stockholder equity (USD) | | `issuerInfo.nameAuditor` | Auditor name | | `summaryInfo.indicateTier1Tier2Offering` | Offering tier — "Tier1" or "Tier2" | | `summaryInfo.financialStatementAuditStatus` | Audit status — "Audited" or "Unaudited" | | `summaryInfo.securitiesOfferedTypes` | Securities offered types (equity / debt / etc.) | | `summaryInfo.totalAggregateOffering` | Total aggregate offering amount (USD) | | `summaryInfo.issuerAggregateOffering` | Aggregate offering by issuer (USD) | | `summaryInfo.pricePerSecurity` | Offering price per security | | `summaryInfo.securitiesOffered` | Total securities offered | | `summaryInfo.outstandingSecurities` | Currently outstanding securities | | `summaryInfo.salesCommissionsServiceProviderName` | Sales-commissions service provider name | | `summaryInfo.auditorServiceProviderName` | Audit service provider name | | `summaryInfo.legalServiceProviderName` | Legal service provider name | | `summaryInfo.brokerDealerCrdNumber` | Broker-dealer CRD number | | `juridictionSecuritiesOffered.issueJuridicationSecuritiesOffering` | Jurisdictions where securities are offered | | `securitiesIssued.securitiesIssuerTitle` | Securities issuer title (e.g. share class) | | `unregisteredSecuritiesAct.securitiesActExcemption` | Securities Act exemption text for unregistered securities | | `id` | System-internal unique identifier of the filing record. | | `employeesInfo.cik` | Central Index Key (CIK) of the reporting entity, leading zeros kept. | | `issuerInfo.street1` | Primary street address of the principal executive offices of the issuer. | | `issuerInfo.street2` | Secondary address line of the principal executive offices of the issuer. | | `issuerInfo.phoneNumber` | Telephone number of the principal office. | | `issuerInfo.connectionName` | Name of the primary contact for correspondence about the filing. | | `issuerInfo.connectionStreet1` | Primary street address of the designated contact. | | `issuerInfo.connectionStreet2` | Secondary address line of the designated contact. | | `issuerInfo.connectionCity` | City of the address of the contact person. | | `issuerInfo.connectionStateOrCountry` | State or country of the address of the contact person. | | `issuerInfo.connectionZipCode` | Postal code of the address of the contact person. | | `issuerInfo.connectionPhoneNumber` | Telephone number of the designated contact. | | `issuerInfo.cashEquivalents` | Reported value of cash and cash equivalents on the balance sheet. | | `issuerInfo.investmentSecurities` | Value of investment securities held by the issuer. | | `issuerInfo.totalInvestments` | Total value of all investments reported by the issuer. | | `issuerInfo.accountsReceivable` | Total accounts receivable as reported in the financial statements. | | `issuerInfo.loans` | Value of loans reported by the issuer. | | `issuerInfo.propertyPlantEquipment` | Value of property, plant and equipment as reported on the balance sheet. | | `issuerInfo.propertyAndEquipment` | Combined value of property and equipment reported. | | `issuerInfo.accountsPayable` | Total accounts payable as reported in the financial statements. | | `issuerInfo.policyLiabilitiesAndAccruals` | Total policy liabilities and accruals reported. | | `issuerInfo.deposits` | Reported value of deposits on the balance sheet. | | `issuerInfo.longTermDebt` | Total long-term debt obligations reported. | | `issuerInfo.totalLiabilitiesAndEquity` | Combined total of liabilities and stockholder equity. | | `issuerInfo.totalInterestIncome` | Total interest income reported by the issuer. | | `issuerInfo.costAndExpensesApplToRevenues` | Total costs and expenses applicable to revenues. | | `issuerInfo.totalInterestExpenses` | Total interest expenses incurred by the issuer. | | `issuerInfo.depreciationAndAmortization` | Depreciation and amortisation expenses reported. | | `issuerInfo.earningsPerShareBasic` | Basic earnings per share calculated from the financial statements. | | `issuerInfo.earningsPerShareDiluted` | Diluted earnings per share calculated from the financial statements. | | `commonEquity.commonEquityClassName` | Designation or name of the common equity class. | | `commonEquity.outstandingCommonEquity` | Number of common equity shares outstanding. | | `commonEquity.commonCusipEquity` | CUSIP identifier of the common equity class. | | `commonEquity.publiclyTradedCommonEquity` | Where the common equity is publicly traded, for example OTCID, or NA when it is not. | | `preferredEquity.preferredEquityClassName` | Designation or name of the preferred equity class. | | `preferredEquity.outstandingPreferredEquity` | Number of preferred equity shares outstanding. | | `preferredEquity.preferredCusipEquity` | CUSIP identifier of the preferred equity class. | | `preferredEquity.publiclyTradedPreferredEquity` | Where the preferred equity is publicly traded, or NA when it is not. | | `debtSecurities.debtSecuritiesClassName` | Designation or name of the debt securities class. | | `debtSecurities.outstandingDebtSecurities` | Total amount of debt securities outstanding. | | `debtSecurities.cusipDebtSecurities` | CUSIP identifier of the debt securities. | | `debtSecurities.publiclyTradedDebtSecurities` | Where the debt securities are publicly traded, or NA when they are not. | | `issuerEligibility.certifyIfTrue` | True when the issuer certifies that it meets the eligibility requirements. | | `applicationRule262.certifyIfNotDisqualified` | True when the issuer certifies that it is not disqualified under Rule 262. | | `applicationRule262.certifyIfBadActor` | Flag for bad actor disqualifications under SEC regulations. | | `summaryInfo.securitiesOfferedOtherDesc` | Further description of the securities offered when they are categorised as Other. | | `summaryInfo.offerDelayedContinuousFlag` | True when the offering is delayed or continuous. | | `summaryInfo.offeringYearFlag` | True when the offering is tied to a specific offering year. | | `summaryInfo.offeringAfterQualifFlag` | True when the offering follows qualification. | | `summaryInfo.offeringBestEffortsFlag` | True when the offering is conducted on a best efforts basis. | | `summaryInfo.solicitationProposedOfferingFlag` | True when the offering involves solicitation efforts. | | `summaryInfo.resaleSecuritiesAffiliatesFlag` | True when the securities offered include securities for resale by affiliates. | | `summaryInfo.securityHolderAggegate` | Aggregate value of securities held by existing security holders. | | `summaryInfo.qualificationOfferingAggregate` | Aggregate amount for securities offered as part of the qualification process. | | `summaryInfo.concurrentOfferingAggregate` | Aggregate amount for any concurrent offerings. | | `summaryInfo.underwritersServiceProviderName` | Name of the underwriter or service provider managing the offering. | | `summaryInfo.underwritersFees` | Fees charged by the underwriters for their services. | | `summaryInfo.salesCommissionsServiceProviderFees` | Fees for sales commissions services. | | `summaryInfo.findersFeesServiceProviderName` | Name of the service provider for finder fees. | | `summaryInfo.finderFeesFee` | Fee charged for finder services. | | `summaryInfo.auditorFees` | Fees for auditor services. | | `summaryInfo.legalFees` | Fees for legal services. | | `summaryInfo.promotersServiceProviderName` | Name of the service provider for promotional activities. | | `summaryInfo.promotersFees` | Fees charged for promotional services. | | `summaryInfo.blueSkyServiceProviderName` | Name of the Blue Sky compliance service provider. | | `summaryInfo.blueSkyFees` | Fees for Blue Sky compliance services. | | `summaryInfo.estimatedNetAmount` | Estimated net proceeds the issuer receives after deductions. | | `summaryInfo.clarificationResponses` | Further clarification or responses about the details of the offering. | | `juridictionSecuritiesOffered.jurisdictionsOfSecOfferedNone` | True when no jurisdictions are specified. | | `juridictionSecuritiesOffered.jurisdictionsOfSecOfferedSame` | True when the same jurisdictions apply across the offering. | | `juridictionSecuritiesOffered.dealersJuridicationSecuritiesOffering` | Jurisdictions that apply to dealers involved in the securities offering. | | `unregisteredSecurities.ifUnregsiteredNone` | True when no unregistered securities were issued. | | `securitiesIssued.securitiesIssuerName` | Name of the issuer of the securities issued. | | `securitiesIssued.securitiesIssuedTotalAmount` | Total amount of securities issued. | | `securitiesIssued.securitiesPrincipalHolderAmount` | Amount of securities held by the principal security holder. | | `securitiesIssued.securitiesIssuedAggregateAmount` | Aggregate amount of securities issued. | | `securitiesIssued.aggregateConsiderationBasis` | Basis on which the aggregate consideration for the issued securities is calculated. | ## Response A JSON object. Nested attributes are collapsed; expand one to see its fields. total: object How many Form 1-A filings matched the query. value: integer Number of matching filings. relation: string Either eq, meaning value is exact, or gte, meaning value is a floor. data: array of object The matching filings, at most size per response. Form 1-A-W filings hold no structured data in EDGAR, so for those only the metadata fields from id to companyName are returned. id: string System-internal unique identifier of the filing record. accessionNo: string Accession number of the filing, for example 0001731122-24-001065. fileNo: string File number that ties the filings of one offering process together, for example 024-12457. formType: string Form type: 1-A, 1-A/A, 1-A POS or 1-A-W. filedAt: string Timestamp EDGAR accepted the filing, ISO 8601 in Eastern Time, for example 2024-05-15T16:17:15-04:00. periodOfReport: optional string Reporting period covered by the submission, YYYY-MM-DD. On annual reports this is the fiscal year end. cik: string CIK of the reporting entity, leading zeros removed. ticker: string Ticker of the issuer at the time of filing, when the issuer is publicly traded. An empty string otherwise. companyName: string Legal name of the issuer as provided in the filing. employeesInfo: array of object Registration details of the issuer and its employee counts. issuerName: string The registered name of the issuer as stated in its charter. jurisdictionOrganization: string The jurisdiction under which the issuer is organised or incorporated, for example NV. yearIncorporation: string The year the issuer was incorporated. cik: string Central Index Key (CIK) of the reporting entity, leading zeros kept. sicCode: number The Standard Industrial Classification (SIC) code representing the primary business activity of the issuer. irsNum: string The IRS Employer Identification Number of the issuer. fullTimeEmployees: number Total number of full-time employees reported by the issuer. partTimeEmployees: number Total number of part-time employees reported by the issuer. issuerInfo: object Address and contact details of the issuer, and the balance sheet and income statement figures reported in Part I. street1: string Primary street address of the principal executive offices of the issuer. street2: optional string Secondary address line of the principal executive offices of the issuer. city: string City where the principal office of the issuer is located. stateOrCountry: string State or country of the principal office address. zipCode: string Postal code of the principal office. phoneNumber: string Telephone number of the principal office. connectionName: string Name of the primary contact for correspondence about the filing. connectionStreet1: optional string Primary street address of the designated contact. connectionStreet2: optional string Secondary address line of the designated contact. connectionCity: optional string City of the address of the contact person. connectionStateOrCountry: optional string State or country of the address of the contact person. connectionZipCode: optional string Postal code of the address of the contact person. connectionPhoneNumber: optional string Telephone number of the designated contact. commentsEmailAddress: optional object Email address for receiving comments or queries about the filing. industryGroup: string Industry group classification of the issuer as defined by SEC guidelines: Banking, Insurance or Other. cashEquivalents: number Reported value of cash and cash equivalents on the balance sheet. investmentSecurities: number Value of investment securities held by the issuer. totalInvestments: optional number Total value of all investments reported by the issuer. accountsReceivable: number Total accounts receivable as reported in the financial statements. loans: optional number Value of loans reported by the issuer. propertyPlantEquipment: number Value of property, plant and equipment as reported on the balance sheet. propertyAndEquipment: optional number Combined value of property and equipment reported. totalAssets: number Total assets reported in the financial statements. accountsPayable: number Total accounts payable as reported in the financial statements. policyLiabilitiesAndAccruals: optional number Total policy liabilities and accruals reported. deposits: optional number Reported value of deposits on the balance sheet. longTermDebt: number Total long-term debt obligations reported. totalLiabilities: number Total liabilities reported in the financial statements. totalStockholderEquity: number Total stockholder equity reported in the financial statements. totalLiabilitiesAndEquity: number Combined total of liabilities and stockholder equity. totalRevenues: number Total revenues generated during the reporting period. totalInterestIncome: optional number Total interest income reported by the issuer. costAndExpensesApplToRevenues: number Total costs and expenses applicable to revenues. totalInterestExpenses: optional number Total interest expenses incurred by the issuer. depreciationAndAmortization: number Depreciation and amortisation expenses reported. netIncome: number Net income as reported in the financial statements. earningsPerShareBasic: number Basic earnings per share calculated from the financial statements. earningsPerShareDiluted: number Diluted earnings per share calculated from the financial statements. nameAuditor: optional string Name of the auditor responsible for auditing the financial statements of the issuer. commonEquity: array of object One item per class of common equity of the issuer. commonEquityClassName: string Designation or name of the common equity class. outstandingCommonEquity: number Number of common equity shares outstanding. commonCusipEquity: string CUSIP identifier of the common equity class. publiclyTradedCommonEquity: string Where the common equity is publicly traded, for example OTCID, or NA when it is not. preferredEquity: array of object One item per class of preferred equity of the issuer. preferredEquityClassName: string Designation or name of the preferred equity class. outstandingPreferredEquity: number Number of preferred equity shares outstanding. preferredCusipEquity: string CUSIP identifier of the preferred equity class. publiclyTradedPreferredEquity: string Where the preferred equity is publicly traded, or NA when it is not. debtSecurities: array of object One item per class of debt securities of the issuer. debtSecuritiesClassName: string Designation or name of the debt securities class. outstandingDebtSecurities: number Total amount of debt securities outstanding. cusipDebtSecurities: string CUSIP identifier of the debt securities. publiclyTradedDebtSecurities: string Where the debt securities are publicly traded, or NA when they are not. issuerEligibility: object Certification that the issuer meets the eligibility requirements of the SEC. certifyIfTrue: boolean True when the issuer certifies that it meets the eligibility requirements. applicationRule262: object Certifications made under SEC Rule 262. certifyIfNotDisqualified: boolean True when the issuer certifies that it is not disqualified under Rule 262. certifyIfBadActor: optional boolean Flag for bad actor disqualifications under SEC regulations. summaryInfo: object Terms of the offering: tier, audit status, securities offered, amounts, service providers and their fees. indicateTier1Tier2Offering: string Whether the offering is classified as Tier 1 or Tier 2. Values: Tier1, Tier2. financialStatementAuditStatus: string Whether the financial statements are audited or unaudited. Values: Audited, Unaudited. securitiesOfferedTypes: array of string Types of securities offered. Values: Equity (common or preferred stock), Debt, Option, warrant or other right to acquire another security, Security to be acquired upon exercise of option, warrant or other right to acquire security, Tenant-in-common securities, Other(describe). securitiesOfferedOtherDesc: optional string Further description of the securities offered when they are categorised as Other. offerDelayedContinuousFlag: boolean True when the offering is delayed or continuous. offeringYearFlag: boolean True when the offering is tied to a specific offering year. offeringAfterQualifFlag: boolean True when the offering follows qualification. offeringBestEffortsFlag: boolean True when the offering is conducted on a best efforts basis. solicitationProposedOfferingFlag: boolean True when the offering involves solicitation efforts. resaleSecuritiesAffiliatesFlag: boolean True when the securities offered include securities for resale by affiliates. securitiesOffered: number Total number of securities offered in the transaction. outstandingSecurities: number Total number of securities currently outstanding. pricePerSecurity: number Offering price per individual security. issuerAggregateOffering: number Aggregate monetary value of the securities offered by the issuer. securityHolderAggegate: number Aggregate value of securities held by existing security holders. qualificationOfferingAggregate: number Aggregate amount for securities offered as part of the qualification process. concurrentOfferingAggregate: number Aggregate amount for any concurrent offerings. totalAggregateOffering: number Total aggregate value of the offering. underwritersServiceProviderName: optional string Name of the underwriter or service provider managing the offering. underwritersFees: optional number Fees charged by the underwriters for their services. salesCommissionsServiceProviderName: optional string Name of the service provider handling sales commissions. salesCommissionsServiceProviderFees: optional number Fees for sales commissions services. findersFeesServiceProviderName: optional string Name of the service provider for finder fees. finderFeesFee: optional number Fee charged for finder services. auditorServiceProviderName: optional string Name of the service provider for auditing services. auditorFees: optional number Fees for auditor services. legalServiceProviderName: optional string Name of the legal services provider involved in the offering. legalFees: optional number Fees for legal services. promotersServiceProviderName: optional string Name of the service provider for promotional activities. promotersFees: optional number Fees charged for promotional services. blueSkyServiceProviderName: optional string Name of the Blue Sky compliance service provider. blueSkyFees: optional number Fees for Blue Sky compliance services. brokerDealerCrdNumber: optional string CRD number assigned to the broker-dealer involved in the offering. estimatedNetAmount: number Estimated net proceeds the issuer receives after deductions. clarificationResponses: optional string Further clarification or responses about the details of the offering. juridictionSecuritiesOffered: object Jurisdictions in which the securities are offered. jurisdictionsOfSecOfferedNone: boolean True when no jurisdictions are specified. jurisdictionsOfSecOfferedSame: optional boolean True when the same jurisdictions apply across the offering. issueJuridicationSecuritiesOffering: array of string Jurisdictions that apply to the issuance of the securities offering, for example FL and NY. dealersJuridicationSecuritiesOffering: optional array of string Jurisdictions that apply to dealers involved in the securities offering. unregisteredSecurities: optional object Statement on unregistered securities issued by the issuer. ifUnregsiteredNone: boolean True when no unregistered securities were issued. securitiesIssued: optional array of object One item per class of unregistered securities issued. securitiesIssuerName: string Name of the issuer of the securities issued. securitiesIssuerTitle: string Title of the securities issued, for example Series A Convertible Preferred Stock. securitiesIssuedTotalAmount: number Total amount of securities issued. securitiesPrincipalHolderAmount: number Amount of securities held by the principal security holder. securitiesIssuedAggregateAmount: string Aggregate amount of securities issued. aggregateConsiderationBasis: optional string Basis on which the aggregate consideration for the issued securities is calculated. unregisteredSecuritiesAct: optional object Exemption claimed under the Securities Act for the unregistered securities. securitiesActExcemption: string The exemption relied on, for example 15 U.S.C. s. 77d(a)(2); Regulation D 506(b). ## Status codes | | | | --- | --- | | `200` | Success. The response holds total and data. | | `400` | The request body could not be parsed, or the Lucene expression in query is malformed. | | `403` | The API key is missing, or it is not valid. | | `429` | Too many requests. Slow the request rate and retry. | | `500` | Server error. Retry, and report it if it persists. | ## Request example POST https://api.sec-api.io/reg-a/form-1a ```json { "query": "employeesInfo.yearIncorporation:\"2017\"", "from": "0", "size": "10", "sort": [{ "filedAt": { "order": "desc" } }] } ``` ```python from sec_api import Form1AApi form1AApi = Form1AApi("YOUR_API_KEY") response = form1AApi.get_data({ "query": "employeesInfo.yearIncorporation:\"2017\"", "from": "0", "size": "10", "sort": [{"filedAt": {"order": "desc"}}], }) print(response["data"]) ``` ```javascript const { form1AApi } = require("sec-api"); form1AApi.setApiKey("YOUR_API_KEY"); const response = await form1AApi.getData({ query: 'employeesInfo.yearIncorporation:"2017"', from: "0", size: "10", sort: [{ filedAt: { order: "desc" } }], }); ``` ```bash curl -X POST https://api.sec-api.io/reg-a/form-1a \ -H "Authorization: YOUR_API_KEY" \ -H "Content-Type: application/json" \ -d '{ "query": "employeesInfo.yearIncorporation:\"2017\"", "from": "0", "size": "10", "sort": [{ "filedAt": { "order": "desc" } }] }' ``` ## Response example 200 OK · application/json ```json { "total": { "value": 1954, "relation": "eq" }, "data": [ { "id": "3049ff20a7a655422f33f02c192c75bf", "accessionNo": "0001493152-26-012984", "fileNo": "024-12729", "formType": "1-A", "filedAt": "2026-03-26T17:11:42-04:00", "cik": "1587603", "ticker": "", "companyName": "WINNERS, INC.", "employeesInfo": [ { "issuerName": "Winners, Inc.", "jurisdictionOrganization": "NV", "yearIncorporation": "2007", "cik": "0001587603", "sicCode": 7990, "irsNum": "26-0764832", "fullTimeEmployees": 0, "partTimeEmployees": 2 } ], "issuerInfo": { "street1": "401 RYLAND STREET", "street2": "SUITE 200-A", "city": "RENO", "stateOrCountry": "NV", "zipCode": "89502", "phoneNumber": "917-767-0075", "connectionName": "Jim Byrd", "industryGroup": "Other", "cashEquivalents": 537, "investmentSecurities": 0, "accountsReceivable": 200000, "propertyPlantEquipment": 0, "totalAssets": 475537, "accountsPayable": 483052, "longTermDebt": 355718, "totalLiabilities": 838770, "totalStockholderEquity": -363233, "totalLiabilitiesAndEquity": 475537, "totalRevenues": 495, "costAndExpensesApplToRevenues": 0, "depreciationAndAmortization": 0, "netIncome": -978989, "earningsPerShareBasic": 0, "earningsPerShareDiluted": 0 }, "commonEquity": [ { "commonEquityClassName": "Common", "outstandingCommonEquity": 53115625, "commonCusipEquity": "97478A304", "publiclyTradedCommonEquity": "OTCID" } ], "preferredEquity": [ { "preferredEquityClassName": "Series A Preferred", "outstandingPreferredEquity": 0, "preferredCusipEquity": "000000000", "publiclyTradedPreferredEquity": "NA" } ], "debtSecurities": [ { "debtSecuritiesClassName": "NA", "outstandingDebtSecurities": 0, "cusipDebtSecurities": "000000000", "publiclyTradedDebtSecurities": "NA" } ], "issuerEligibility": { "certifyIfTrue": true }, "applicationRule262": { "certifyIfNotDisqualified": true }, "summaryInfo": { "indicateTier1Tier2Offering": "Tier1", "financialStatementAuditStatus": "Unaudited", "securitiesOfferedTypes": [ "Equity (common or preferred stock)" ], "offerDelayedContinuousFlag": true, "offeringYearFlag": false, "offeringAfterQualifFlag": false, "offeringBestEffortsFlag": true, "solicitationProposedOfferingFlag": false, "resaleSecuritiesAffiliatesFlag": false, "securitiesOffered": 10000000, "outstandingSecurities": 53115625, "pricePerSecurity": 0.5, "issuerAggregateOffering": 5000000, "securityHolderAggegate": 0, "qualificationOfferingAggregate": 0, "concurrentOfferingAggregate": 0, "totalAggregateOffering": 5000000, "legalServiceProviderName": "James S. Byrd, P.A.", "legalFees": 115000, "estimatedNetAmount": 4885000, "clarificationResponses": "In payment for legal fees related to this Offering, the Company will issue 200,000 shares of stock to James S. Byrd, P.A., at the price of $.50 per share, under this Regulation A Offering once qualified." }, "juridictionSecuritiesOffered": { "jurisdictionsOfSecOfferedNone": true, "issueJuridicationSecuritiesOffering": [ "FL", "NY" ] }, "securitiesIssued": [ { "securitiesIssuerName": "Winners, Inc.", "securitiesIssuerTitle": "Series A Convertible Preferred Stock", "securitiesIssuedTotalAmount": 149346690, "securitiesPrincipalHolderAmount": 0, "securitiesIssuedAggregateAmount": "$1,345,935 valued at $0.10 per share for settlement of monies owed; 12,490,000 Shares of MoneyLine Sports, Inc. plus $200,000.00 as part of September 30, 2025 Reorganization and Stock Purchase Agreement." } ], "unregisteredSecuritiesAct": { "securitiesActExcemption": "15 U.S.C. s. 77d(a)(2); Regulation D 506(b)" } } ] } ```