secwatch / observer

Churchill Capital Corp XI — fact timeline

Source-grounded facts extracted from Churchill Capital Corp XI's SEC 8-K filings across all families, newest first. Each cites a verbatim SEC excerpt.

CCXI Churchill Capital Corp XI JSON
Equity Issuances

Churchill Capital Corp XI issued 500,000 units of unit to Churchill Sponsor XI LLC (the Sponsor) for $10.00 per Private Placement Unit.

“Simultaneously with the closing of the IPO, pursuant to the Private Placement Units Purchase Agreement, the Company completed the private sale of an aggregate of 500,000 units (the “ Private Placement Units ”) to the Sponsor at a purchase price of $10.00 per Private Placement Unit, generating gross proceeds to the Company of $5,000,000.”
Governance Changes

Churchill Capital Corp XI: Amended and restated memorandum and articles of association filed and effective (effective 2025-12-16).

“On December 16, 2025, in connection with the IPO, the Company filed its amended and restated memorandum and articles of association (the “ Amended and Restated Memorandum and Articles of Association ”) with the Cayman Islands Registrar of Companies, which was effective on December 16, 2025.”

Facts are extracted by an LLM and gated to those whose source quote is present verbatim in the filing text. Coverage is best-effort while backfill and monitoring mature; this is not yet a full-market index. See methodology.