EX-1 2 ex1to13da113432007_110425.htm TRANSACTIONS IN SECURITIES

Exhibit 1

Transactions in the Securities of the Issuer Since the Filing of the Schedule 13D

Nature of the Transaction

Securities

Purchased/(Sold)

Price Per

Security($)*

Price Range ($)

Date of

Purchase/Sale

 

JUMANA CAPITAL INVESTMENTS LLC

Acquisition of Common Stock Upon Exercise of September 2025 Call Option ($5.00 Strike Price) 75,000 5.0000 - 09/19/2025
Purchase of Common Stock 32,777 4.9974 4.9800 - 4.9999 10/15/2025
Purchase of Common Stock 268,194 4.9319 4.8757 - 5.0500 10/16/2025
Purchase of Common Stock 42,342 4.9818 4.9137 - 4.9996 10/17/2025
Purchase of Common Stock 162,210 5.0475 - 10/20/2025
Sale of November 2025 Call Option ($5.00 Strike Price) (6,600) 0.4200 - 10/21/2025
Purchase of Common Stock 479,382 5.1560 5.1416 - 5.1975 10/21/2025
Purchase of Common Stock 250,000 4.0813 3.9731 - 4.1154 11/03/2025

 

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* The price reported in column Price Per Security ($) is a weighted average price if a price range is indicated in column Price Range ($). These securities were purchased or sold in multiple transactions at prices between the corresponding price ranges in the applicable row. The Reporting Persons undertake to provide the Issuer, any security holder of the Issuer or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of securities purchased or sold at each separate price.