1. Factual Date: 07/24/2026 (R.O.C. Year 115)
2. Reason for Announcement: In compliance with notification from the GreTai Securities Market
3. Convertible Bond Information:
a. Details of KAH-HAN 5 (Code: 64145): - Maturity Date: 08/16/2026 (R.O.C. Year 115) - Total Issuance Amount: NT$3,000,000,000 - Outstanding Issuance Balance at Month-End: NT$356,300,000 (unconverted amount as of 07/23/2026) - Latest Conversion Price: NT$263.1 per share - Closing Price of Underlying Stock (6414): NT$500 (as of 07/24/2026) - Closing Price of Convertible Bond (64145): NT$189 (as of 07/24/2026)
b. Whether any material information under Article 4 of the 'Procedures for Verification and Public Disclosure of Material Information by Companies with Securities Listed on the GreTai Market' applies: No
4. Other Matters to be Clarified: None
FACT BOX
- Source: PR Times
- Category: News
- Dates in source: 115/07/24 / 115/07/23